Road District Balance Sheets




68 TARANAKI GOVERNMENT GAZETTE.

COMMISSIONERS of the 6th Road
District in account with the Ratepayers.

Receipts. £ s. d.
To balance from former Commissioners ... 0 1 4
Rates from August, 1872,
to June, 1873 ... 22 16 2
Capitation grant ... 15 0 0

                    £36 17 6

Expenditure. £ s. d.
Repairs of Bell Road ... 2 10 0
Repairs from Turnpike to
Burton’s Hill, including shingle ... 22 3 6
Repairs from Burton’s Hill to
Sedge’s and the remainder
of the bush ... 10 10 0
Printing account ... 0 9 6
Commissioners’ fees ... 1 2 9
Balance in hand of Commissioners ... 0 1 9

                    £36 17 6

John L. Newman,
W. J. Baldwin, Commissioners.
Edwin George,
T. White, Auditors.
A. Kyngdon,

THE Commissioners of No. 10 (or Upper
Mangorei) Road District in account
with the Ratepayers for 1872-3.

Receipts. £ s. d.
Cash from late Commissioners ... 6 4 11½
Cash from Provincial Treasurer
(capitation grant) ... 73 10 1
Cash from Provincial Treasurer
(rates) ... 26 19 6
Balance of rates in Treasury ... 2 10 0

                    £108 4 6½

Expenditure. £ s. d.
Repairs and improvements
below Coad’s gate ... 27 0 0
Repairs and improvements
between Coad’s gate and
the inland end of road ... 74 18 7
Grass seed ... 1 3 4
Files ... 0 2 9
Advertising ... 0 19 6
Stationery ... 0 2 11½
Commissioners’ allowance ... 1 7 5
Balance cash in Treasury ... 2 10 0

                    £108 4 6½

R. Wells,
W. J. Wells, Commissioners.
C. Oliver,
G. Oliver, Auditor.

THE Commissioners of No. 11 (or Huirangi) Road District in account
with the Ratepayers for 1872-3.

Receipts. £ s. d.
By rates ... 64 17 9
Sale of timber ... 1 2 6
Capitation allowance ... 50 10 0
Balance due to Commissioners ... 4 10 4

                    £121 0 7

Expenditure. £ s. d.
Richmond Road ... 22 15 8
Wortley Road ... 11 19 0
Lepper Road ... 16 3 0
Corbett Road ... 10 18 0
Cross Road ... 28 8 6
Kelly Road ... 11 10 0
Northeote Road ... 2 0 0
Miscellaneous ... 4 0 5
Commissioners’ allowance ... 3 6 0

                    £121 0 7

G. Furnival, Chairman.
Examined and found correct.
John Kelly, Auditor.

THE Commissioners of No. 12 District
in account with the Ratepayers for
the half-year 1872-3.

Receipts. £ s. d.
Cash from Treasurer (rates) ... 84 15 3
Cash from Treasurer (provincial grant) ... 8 6 8
Cash from Treasurer (capitation) ... 12 1 6
Due to Commissioners ... 10 19 2

                    £111 2 2

Expenditure. £ s. d.
On the Avenue Road ... 2 0 0
Albert Road and branches ... 86 16 3
Kent Road and branches ... 39 14 0
Grass, per vouchers ... 8 14 7
Advertising ... 1 11 0
Stationery ... 0 2 8
Commission fees, 5 per cent ... 4 6 6
Due to Commissioners from last year ... 17 16 8

                    £111 2 2

James Hill,
James Batten, Commissioners.
Henry Henderson,
Examined and found correct.
T. King, Auditor.
R. J. Collins,



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Online Sources for this page:

VUW Te Waharoa PDF Taranaki Provincial Gazette 1873, No 12





✨ LLM interpretation of page content

🏗️ Balance Sheet for 6th Road District

🏗️ Infrastructure & Public Works
Road District, Balance Sheet, Taranaki
  • John L. Newman, Commissioner
  • W. J. Baldwin, Commissioner
  • Edwin George, Auditor
  • T. White, Auditor

🏗️ Balance Sheet for No. 10 Road District

🏗️ Infrastructure & Public Works
Road District, Balance Sheet, Taranaki
  • R. Wells, Commissioner
  • W. J. Wells, Commissioner
  • C. Oliver, Auditor
  • G. Oliver, Auditor

🏗️ Balance Sheet for No. 11 Road District

🏗️ Infrastructure & Public Works
Road District, Balance Sheet, Taranaki
  • G. Furnival, Chairman
  • John Kelly, Auditor

🏗️ Balance Sheet for No. 12 Road District

🏗️ Infrastructure & Public Works
Road District, Balance Sheet, Taranaki
  • James Hill, Commissioner
  • James Batten, Commissioner
  • Henry Henderson, Auditor
  • T. King, Auditor
  • R. J. Collins, Auditor