Financial Report




232

ACCOUNT of Receipts and Disbursements

of the Redclyffe Road Board, Province of Hawke’s Bay, for the year ended the 30th day of June, 1875.

Receipts.

£ s d
Balance in hand 1st July, 1874 67 16 1
General Rates 30 0 0
Special 24 0 0
Rates collected for construction of Roads ...
Rates collected for repairs of Roads ...
Subscriptions by Ratepayers or others for ordinary or special works 5 0 0
Contributions 59 0 0
Contributions from Provincial Government, in addition to rates or subscriptions 200 0 0
Contributions from Roads District Fund Account, under “The Payments to Provinces Act, 1870,” ...
Ditto under “The Payments to Provinces Act, 1871” 107 6 8
Receipts from other sources, viz.: Tolls ...
Total Receipts 307 6 3

Expenditure.

£ s d
Balance due to Treasurer or Bank on July 1, 1871 (being amount over-expended in former year), now repaid ...
New Roads — Survey and Construction 286 14 10
Existing Roads — Repairs and improvements 37 10 0
Other Works, viz.: Purchase of tools, materials, and implements 5 14 6
Expenses — Collection of rates, Collection of tolls, Salaries and rent ...
Printing and Advertising 0 14 0
Miscellaneous 0 12 0
331 5 4
Balance in hand of Chairman on 30th June, 1874 102 17 5

Total Expenditure | £434 2 9

JOHN BENNETT,
Chairman.

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

September 27, 1875.

Office of Redclyffe Road Board,
August 9, 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 65





✨ LLM interpretation of page content

🏗️ Redclyffe Road Board Financial Report for 1874-75

🏗️ Infrastructure & Public Works
27 September 1875
Road Board, Financial Report, Hawke's Bay, Receipts, Expenditure
  • JOHN BENNETT, Chairman
  • G. E. G. RICHARDSON, Provincial Auditor