Road District Financial Reports




TARANAKI GOVERNMENT GAZETTE.

COMMISSIONERS of No. 8 Road District

in account with Ratepayers.

Dr.

To Rates 1871-72 £ s. d.
Capitation 57 3 9 ½
35 2 5
Balance from retiring Commissioners 5 16 3
£90 2 5½

Cr.

£ s. d.
Repairing South Road 22 6 7½
Forming Timaru Road 92 5 8
Repairing Bench Road 18 11 6
Forming Albion Road 16 6 0
Forming Simpson Road 14 12 6
Stationery 3 0 0
Commissioner’s fees 2 17 2
Balance on hand 19 11 3
£98 2 5½

Alfred P. Rawson,
William Salmon,
Commissioners.

Examined and found correct.
Philip P. Friske,
J. C. Honeyfield,
Auditors.

THE Commissioners of the 11th District in account with Ratepayers.

RECEIPTS.

£ s. d.
Balance in hand from retiring Commissioners 8 3
Rates 61 6 9
Capitation 35 10 0
Dog tax 7 10 0
Amount due to Commissioners 9 8
£105 4 8

EXPENDITURE.

£ s. d.
Repairs on Wortley Road 6 8 0
Repairs on Richmond Road 22 9 3
Repairs on Manutahi Road 13 7 6
Repairs on Hellier Road 6 10 0
Repairs on Lepper Road 14 0 0
Repairs on Mataitawa Road 24 18 10
Repairs on Kelly Road 10 1 9
Repairs on Te Arei Road 2 0 0
Miscellaneous 2 0 0
Commissioner’s allowance 3 9 4
£105 4 8

George Marshall,
Commissioner.

Examined and found correct.
John Kelly,
Wm. May Cleave,
Auditors.

BALANCE SHEET of No. 17 Road District.

RECEIPTS.

£ s. d.
Cash received from Provincial Treasurer 17 5 9
Balance in hand from last year 3 14 9½
Labour 4 11 6
Dog tax 3 10 0
Balance due to P. Elliot 1 9 9½
£30 2 10

EXPENDITURE.

£ s. d.
To carting shingle, and labour 0 10 0
For printing 10 0
Collection of dog rates 10 6
Commissioners’ fees 1 6
£30 2 10

Peter Elliot,
Chairman No. 17 Road District.

Examined the above account, and find it correct.
Richard Chilman,
Provincial Auditor.

August 1, 1872.

Examined and found correct.
Arthur Standish.

THE Commissioners of the twenty-first or Matatawa Road District in account with the Ratepayers for 1871-72.

RECEIPTS.

£ s. d.
Cash received by Commissioners
By general rates 33 16 0
By capitation grant 42 0 0
By dog rates 1 0 0
By balance due Commissioners 4 5 9
£81 0 9

EXPENDITURE.

£ s. d.
Cash expended by Commissioners:
By work done on Aekworth Road 22 8 0
By work done on Richmond Road 9 11 10
By work done on York Road 2 12 6
By work done on Kelly Road 6 3 0
By work done on Lepper Road 14 15 0
By work done on Wortley Road 12 10 8
By work done on Cartwright Road 4 0 0
By contingencies, grass seed, etc. 7 5 3
By Commissioners’ allowance on rates 1 14 0
£81 0 9

John Andrews,
Chairman Commissioners No. 21 District.

Examined and found correct.
G. Furnival,
Thomas Wright,
Auditors.



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Online Sources for this page:

VUW Te Waharoa PDF Taranaki Provincial Gazette 1872, No 22





✨ LLM interpretation of page content

🏗️ Financial account of No. 8 Road District Commissioners

🏗️ Infrastructure & Public Works
Financial Report, Road District, Receipts, Expenditure
  • Alfred P. Rawson, Commissioner
  • William Salmon, Commissioner
  • Philip P. Friske, Auditor
  • J. C. Honeyfield, Auditor

🏗️ Financial account of the 11th Road District Commissioners

🏗️ Infrastructure & Public Works
Financial Report, Road District, Receipts, Expenditure
  • George Marshall, Commissioner
  • John Kelly, Auditor
  • Wm. May Cleave, Auditor

🏗️ Balance Sheet of No. 17 Road District

🏗️ Infrastructure & Public Works
1 August 1872
Financial Report, Road District, Receipts, Expenditure
  • Peter Elliot, Chairman
  • Richard Chilman, Provincial Auditor
  • Arthur Standish, Auditor

🏗️ Financial account of the 21st or Matatawa Road District Commissioners

🏗️ Infrastructure & Public Works
Financial Report, Road District, Receipts, Expenditure
  • John Andrews, Chairman
  • G. Furnival, Auditor
  • Thomas Wright, Auditor