Road Board Financial Report




ACCOUNT of Receipts and Disbursements of the Papakura Road Board, Province of Hawke’s Bay, for the year ended the 30th day of June, 1875.

Receipts.

Balance in hand
1st July, 1874 22 3 3
General Rates 66 14 6
Special ...
Rates collected
for construction
of Roads ... ...
Rates collected
for repairs of
Roads ... ...
Subscriptions by
Ratepayers or
others for ordi-
nary or special
works ... ...

Contributions 66 14 6

from Provincial
Government, in
addition to rates
or subscriptions
Contributions
from Roads
District Fund
Account, under
"The Payments
to Provinces
Act, 1870,"
Ditto under "The
Payments to Pro-
vinces Act, 1871" 136 0 0

Receipts from other
sources, viz.:
Tolls ...

                            £224 17 9

Expenditure.

Balance due to
Treasurer or
Bank on July 1,
1871 (being
amount over-ex-
pended in for-
mer year), now
repaid ... ...

New Roads — Sur-
vey and Con-
struction 20 7 6

Existing Roads —
Repairs and im-
provements 19 17 5

Other Works, viz.:
Purchase of tools,
materials, and im-
plements 19 11 10

Expenses — Col-
lection of rates
Collection of tolls
Salaries and rent
Printing and Ad-
vertising 1 0 0
Miscellaneous 1 0 0
Balance at Bank
New Zealand 164 1 2

                            £224 17 9

A. M’HARDY,
Chairman.

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

Office of Papakura Road Board,
July 17, 1875.

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 1875, No 59





✨ LLM interpretation of page content

🏗️ Account of Receipts and Disbursements of the Papakura Road Board

🏗️ Infrastructure & Public Works
17 July 1875
Financial report, Road Board, Receipts, Expenditure, Papakura, Hawke's Bay
  • A. M'HARDY, Chairman
  • G. E. G. RICHARDSON, Provincial Auditor