Road Board Financial Account




66

ACCOUNT

of Receipts and Disbursements of the Redclyffe Road Board,
Province of Hawke’s Bay, for the year ended the 30th day of June, 1873.

Receipts.

Balance in hand 1st July, 1872... 10 9 2
General Rates ... 30 0 0
Special ... ...
Rates collected for construction of Roads ... ...
Rates collected for repairs of Roads ...
Subscriptions by Ratepayers or others for ordinary or special works ... ...
Contributions from Provincial Government ...
Contributions from Roads District Fund Account, under "The Payments to Provinces Act, 1871."
Ditto, ditto, 1873
Mar. 26: 36 0 0
April 25: 12 0 0
May 5: 12 0 0 60 0 0
Balance due of allotment, 1871-2 13 6 8
————
73 6 8

Receipts from other sources, viz.:
Tolls.
————
£113 15 10

Expenditure.

New Roads—Survey and construction ... ...
Existing Roads—Forming and Repairing, 1872 ... 9 5 0
———— 9 5 0

Other Works viz.:
Purchase of tools, materials and implements ...

Expenses — Collection of Rates
Collection of tolls
Salaries and rent...
Printing and advertising ... 1 3 3
Miscellaneous ... 1 5 0
———— 2 8 3
£11 13 3

Balance in hands of Chairman, June 30, 1873... 102 2 7
————
£113 15 19

JOHN BENNETT,
Chairman.

Examined and found correct.
G. E. G. RICHARDSON,
Provincial Auditor.

Office of Redclyffe Road Board,
June 30, 1873.

Printed, under the authority of the Government of the Province of Hawke’s Bay, by
DINWIDDIE, MORRISON & Co., Printers for the time being to such Government.




Online Sources for this page:

VUW Te Waharoa PDF Hawke's Bay Provincial Gazette 1874, No 17





✨ LLM interpretation of page content

🏗️ Financial Account of Redclyffe Road Board

🏗️ Infrastructure & Public Works
30 June 1873
Financial account, Road Board, Receipts, Expenditure, Hawke's Bay
  • JOHN BENNETT, Chairman
  • G. E. G. RICHARDSON, Provincial Auditor