BOROUGH FINANCE.
TREASURER'S STATEMENT. During the month of June the sum of £2,690 5/9 was received and has been placed to the credit of the following accounts: — District Fund £2,664 16/9, Drainage Construction Loan £25 9/-. The ledger balances at the 30th June were as follows: Imprest Cash £lO, General £568 4/9, Deserves £ls 13/3, Sanitation £SO 14/6, Town Hall £l4B 6/11, Waterworks £79 16/4, all at debit, a total of £872 15/9. The accounts at credit were: — Cemetery £B4 2/7, Drainage Construction Loan £6B 12/8, Gasworks £491 15/6, Hospital and Char. Aid £5 16/2, House Drainage £166 14/7, Interest. £445 9/10, Library £lO9 18/7, Town Hall Pictures £155 4/2, Water and Drainage £24 15/11, a total of £1,552 10/-. SUMMARY. Cr. Iml Com. ac 84 2 7 Acs. at dr. 872 15 9 Cr. bal. W. and D. Loan 24 15 11 Do., D. Con. Loan 68 12 8 Do., Dist. Fund ac 502 3 1 Acs at Cr. 1552 10 0 Totals £1552 10 0 £1552 .10 0
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Manawatu Herald, Volume XLVI, Issue 2759, 17 July 1924, Page 4
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170BOROUGH FINANCE. Manawatu Herald, Volume XLVI, Issue 2759, 17 July 1924, Page 4
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