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MERTHYR TYDFIL URBAN DISTRICT…

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MERTHYR TYDFIL URBAN DISTRICT COUNCIL. Abstract of Accounts for the Year Ended 31st March, 1895. General Water s, General Water „ RECEIPTS. District Works Total. EXPENDITURE. District Works a** 1,7 Total. Rate. Account. Account Rate. Account. Account 1894.—Marcli 26th. £ s. d. £ ». d. £ s. d. £ s. d. 1894.—March 26th. £ »• d. £ s. d. £ s. d. £ s. d. To balance in Treasurer's hands 724 12 2 532 1 3 1306 13 5 By Balance due to Treasurer 2134 1 11 2134 1 11 » >) Collector's hands 31 17 8 31 17 8 Collector 34 10 5J> 34 10 5^ 1895.—March 31st. 1895.—March 31st. To General District Rate made 4th April, 1894, and Scavenging 1562 7 5 1562 7 5 Arrears of former Rate 10792 18 3 Emptying Ashpits 2917 16 2 2917 16 2 Allowances 188 10 A, Street Watering 102 9 7 102 9 7 Arrears carried forward 401 7 3 589 17 7i 10203 0 7i 10203 0 7, "Cleaning and Repairing Sewers 1197 5 6 1197 5 6 To General District Rate made 1st August, 1894, and 2 „ Merthyr Vale Sewers. 40 10 0 40 10 0 Arrears of former Rate 11211 14 4 Morlais Culvert 83 3 7 83 3 7 Allowances 208 3 221 Private Sewers 9 4 6 9 4 6 Arrears carried forward 531 4 9 739 7 lla 10472 6 4i 10472 6 4 2 Salaries 1983 18 3 395 0 0 247 18 2 2626 16 5 To General District Rate made 5th December, 1895, and Maintenance of Hospital—Merthyr 315 16 8 315 16 8 Arrears of former Rate 11268 11 4^ M 1 Dowlais 478 2 8 478 2 8 Allowances 76 9 1 .Repairs of Highways and Footpaths 5947 5 2 5947 5 2 Arrears carried forward 826 19 1 903 8 2 10365 3 2? 10365 3 2i Caedraw Bridge 452 7 3 452 7 3 To Water Rent for, Quarter 24th June, 1894, and „ Stone Crashing Machine 32 6 8 32 6 8 Arrears of former Quarter 2554 7 9 Dowlais Yard 23 11 5 23 11 5 Allowances 134 15 7 Treharris Yard 54 15 0 54 15 0 Arrears carried forward 833 12 0 968 7 7 1526 0 2 1586 0 2 Repairs of Main Roads and Footpaths 1190 8 6 1190 8 6 ■lo Water Rent for Quarter 29th Sept., 1894, and „ Street Works and Improvements 73 12 5 73 12 5 Arrears of former Quarter 2551 1 8 Collector's Commission J 401 21 1.34 0 535 2 8 Allowances 42 15 5 Rates and Taxes 89 11 8 557 13 5 647 5 1 Arrears carried forward 887 4 9i 930 0 2^ 1621 1 5i 1621 1 5s Street Lighting 1808 3 3 1808 3 3 To Water Rent for Quarter 25th Dec., 1894, and Rents 454 15 4 6 15 0 461 10 4 Arrears of former Quarter 2755 15 8i Printing-and Stationery 1. 161 4 8 49 4 6 13 6 0 223 15 2 Allowances 35 15 3 Establishment Charges 192 7 2 29 9 7 221 16 9 Arrears carried forward 1090 19 2^ 1126 14 b!z 1629 1 3 1629 1 3' Town Clock 18 9 10 18 9 10 To Water Rent for Quarter 31st March, 1895, and Fire Apparatus 14 17 9 14 17 9 Arrears of former Quarter 2967 3 2J, Diunfectants. 93 15 7 93 15 7 Allowances. 64 0 0 Lepal Charges 545 18 8 1121 14 0 241 4 6 1908 17 2 ) Arrears carried forward 1092 8 8J> 1156 8 8J, 1810 14 6 1810 14 6 Elect-oii Ex 267 10 5 267 10 5 j I » Private Improvements 294 1" 11. 294 13 11 Treastieer's lai-y 150 120 150120 Sundry Accounts, Jobbing and Materials 141 2 9 141 2 9 Compensations 4 17 0 0 10 0 1 0 0 6 7 0 Magistrates' Fines, &c 12 11 2 12 11 2 "e rinals 23 6 6 23 6 6 .HouseReuts. 161 3 8 161 3 8 Cab Shelter 0 10 3 0 10 3 11 Rent of Pentwyn 31 10 0 31 10 0 Notifications Infectious Diseases 64 13 6 64 13 6 Rent of Land 1 17 0 1 17 0 General Repairs to Works and Mains 2616 18 0 2616 18 0 >: Weighing Machine Tolls 23 11 6 23 11 6 Upper Neutdd Works, Labour and Teamwork 1145 15 5 1145 15 5 » Licences 22 2 0 22 2 0 Materials 250 16 6 250 16 6 >, Deposit Fee with Railway Plan 110 110,, „ Railway 88 8 0 88 8 0 1, Bank Charges Refunded 54 6 0 54 60 Workmen's Huts 929 6 9 929 6 9 M Caerphilly District Council, Profits 011 Waterworks. 2 14 6 2 14 6 Carriage of Goods 27 19 8 27 19 8 .Merthyr Guardians, Hospital Account 225 0 0 225 0 0 Instaii-netits of Loans 4883 14 11 1253 10 5 6137 5 4 >> Moiety Election Expenses 99 13 5 99 13 5 Intercut on Loans 2287 13 7 2909 18 6 5197 12 1 M County Council Grants—Roads 1303 13 10 1303 13 10 » Added Area 40 0 0 40 0 0 Balance in Treasurer's Hands 7749 13 11 7749 13 11 Surveyoi and Clerk 30 0 0 30 0 0 Collector's Hands 29 3 9i 29 3 92 Special Grant—Improvements 131 17 8 131 17 8 „ M.O.H. and Inspector 185 0 0 185 0 0 M Aljerdare District Council 1184 5 0 1184 5 0 Balance due to Treasurer. 1843 1 6 5079 16 11 6922 18 5 „ to Collector 1 3 6 1 3 6 JB55712 9 3i 9103 17 9J 5079 16 11 49896 4 0 JB55712 9 3J, 9103 17 9i 5079 16 11 49896 4 0 r_ GEORGE L. GIBSON, Esq., the Local Government Board Assistant District Auditor, audited the several Accounts, of which the foregoing is an Abstract, and compared the several payments, for which the 1 Measurer takes credit, and certified that, subject to the disallowances which he made, the same appeared to be correct ahd legal. And that the Balances of the Cash Account, namely, Seven thousand seven hundred and ■orty-nine pounds thirteen shillings and elevenpence (General District Rate), agrees with the Treasurer's own Account, as having been in his hands, and One thousand eight hundred and forty-three pounds one shilling and sixpence (Water Works Account), and Five thousand and seventy-nine pounds sixteen shillings and elevenpence (Suspense Account), as having been due to the Treasurer at the time of closing such Accounts. W. ROWLAND HARRIS, Dated this 2nd day of March, 1896. ACCOUNTANT.

MERTHYR TYDFIL SCHOOL BOARD.

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MERTHYR TYDFIL.

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Family Notices

THURSDAY, MARCH 5TH, 1896.

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