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CORPORATION FINANCE.

The return of the Corporation receipts, expenditure, &c, for the month of May shows the receipts to be ,£1467 12s Od, including:—Rates, JCG33 lis; licenses and fees, .£165 9s Gd ; water, .£334 19s 6d ; contractors' deposits, .£llO. The expenditure amounted to .£6OOO 17s Id, the principal items being as follow :—Salaries (general account), .£192 3s 9d ; street lighting, .£165 6s lid; street cleaning, repairs, destructor and nightsoil, .£I2BB 2s; waterworks account, c£4o6 7s; Library account, ,£290 Is 3d ; city improvements loan account, .£lO5 12s 3d ; drainage loan account, .£1795 19s lOd; interest account, .£l3O 4s lid; charitable aid account, .£9Bl 2s 9d; Fire Brigade, drainage, city reserves and miscellaneous, .£645 16s sd. The bank account on 31st May was:— Cr. balance city improvements loan account, .£8695 2s lOd; dr. balance general account, .£11,550 12s ; cr. balance drainage loan account, .£131,278 15s lid; dr. balance cemetery account, .£6lO 15s; dr. balance Te Aro reclamation account, .£SBOO 2s 4d ; cr. balance Library (books) account, .£616 Os lid; rates outstanding at 31st May, .£3841 os lid; rents outstanding at 31st May, .£684 16s lid.

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Permanent link to this item

https://paperspast.natlib.govt.nz/newspapers/NZMAIL18940615.2.51

Bibliographic details

New Zealand Mail, Issue 1163, 15 June 1894, Page 18

Word Count
183

CORPORATION FINANCE. New Zealand Mail, Issue 1163, 15 June 1894, Page 18

CORPORATION FINANCE. New Zealand Mail, Issue 1163, 15 June 1894, Page 18