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- URBAN DISTRICT OF PRESTATYN.

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URBAN DISTRICT OF PRESTATYN. An Abstract of the Accounts of the Prestatyn Urban District Council for the Year ended 31st March, 1904. RECEIPTS. £ f. d. EXPENDITURE. £ s. d. General District Rate •• 1,668 13 3 Sewerage 118 13 7h\ Water Undertaking ••• 744 7 7 Roads (other) -457 6 5^ County Council (grant towards roads) 80 0 0 Scavenging 72 0 0 Moiety of Sdarics-Medica1 Officer of Hospital Expenses 9 0 0 Health and Inspector of Nuisanccs 24 0 5 Water Supply. 154 12 7 Fees and Licences 7 3 6 Public Lighting ..1 77 4 6 2 Miscellaneous. 26 13 7 Fire Brigade 26 8 6 2 Private Street Works 76 8 5 Public Offices 22 18 8 ———————— Establishment Charges 126 16 9 2,627 6 9 Election Expenses 2 4 2 In Treasurer's hand commencement of year 17 12 2 Legal Expenses 44 5 0 Clerk's 13 16 6 Miscellaneous 37 4 11 Owing on Account of Private Street Works 409 8 5 Salaries 296 4 3 Balance (adverse) due to Treasurer 100 16 9 —————— 1,444 19 6 In respect of Loans—Principal Repaid Sewerage £ 195 17 10 Public Officea 40 0 0 Fire Engine 43 10 0 Waterworks 115 16 10 395 4 8 Interest (including Income Tax) Sewerage "1 101 1 Ii Public Offices 37 2 6 Fire Engine 12 3 0 Waterworks 597 6 11 Cost of Water Act, 1901 90 0 0 —————— 837 14 4 Balance- Pri va te Street Works 409 8 5 General 76 8 5 In Clerk's hand 31st March, 1904 2 9-3,169 0 61 £3,16D 0 6 RECEIPTS EXPENDITURE From Loans. Out of Loans. £ s. d. £ s. d. Balances of Loans from previous year 1,544 17 11 Spent, previous year, in anticipation of Loan 57 6 6 Sewerage and Surface Water Drainage 1,475 0 0 Sewerage and Surface Water Drainage 793 4 9 Private Street Works 600 0 0 Private Street Works 505 3 5 Water Works 1,000 0 0 Water Works 1,350 0 3 Public Offices and Fire Station 767 0 0 Balances at end of year Sewerage and Surface Water Drainage 624 8 9 Private Street Works. 94 16 7 Public Offices and Fire Station 7 11 3 Waterworks 420 6 5 £ 4,619 17 11 f 4,619 17 11 STATEMENT AS TO LOANS. Amount owing 31st March, 1903. Paid off during the Year. Amount owing 31st March, 1904 £ s. d. £ s. d. £ s. d. Sewerage Works ••• •• 2,577 0 8 120 13 10 2,4.56 6 10 Nant Hall Road Sewer ••• 300 16 0 /5 4 0 22o 12 0 Meliden Road and High Street n n Private Street Works ••• ••• n e-~ i! o 1st Loan, Water Works ••• ••• (j io o *'o-« II 'i onfl 6,000 0 0 42 8 11 5,9o7 11 1 o"J — — 1,000 0 0 Coat of Water Act, 1901 2,250 0 0 2,250 0 0 Fire Station and Public Offices .1,200 0 0 40 0 0 1,160 0 0 Fire EngiQe 348 0 0 43 10 0 304 10 0 922,605 1 10 £ 395 4 8 £ 25,284 17 2 ——— — —— V. — The whole of the Accounts have been audited and certified to be correct by WILLIAM GRIFFITH, ESQUIRE, District Auditor, on the 28th October, 1904. Council Offices, Prestatyn, JOHN HUGHES, 8th:November, 1904. CLERK TO THE COUNCIL.

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