Mining Drainage Board Financial Statement




96

BALANCE SHEET SHEWING THE RECEIPTS AND EXPENDITURE OF
THE JONES’ FLAT MINING DRAINAGE BOARD FOR THE HALF-YEAR
ENDING 14TH MAY, 1870.

RECEIPTS.

  1. ... £ s. d. ... £ s. d.
    Nov. 15. By balance in Bank ... ... ... 0 10 2
  2. May 14. " Collected Rates to date ... ... ... 1741 10 10
    " " " Overdraft at Bank ... ... ... 112 3 11
    " " " Cash in hand ... ... ... 9 4 6
    ... ... ... 102 19 5
    ... ... ... £1845 0 5

EXPENDITURE.

  1. May 14. To Working Expenses, Ross United Steam Company ... 1140 4 11
    " " " Tail Races and Protective Works ... ... 524 2 2
    " " " Subsidy to Road Board (Storm Channel) ... ... 50 0 0
    " " " Stationery ... ... ... 10 8 0
    " " " Law Expenses ... ... ... 1 1 0
    " " " Office Furniture ... ... ... 3 10 0
    " " " Petty Cash ... ... ... 15 14 4
    " " " Eight months Salary to Clerk ... ... 100 0 0
    ... ... ... £1845 0 4
    " 15. " Balance ... ... ... 102 19 5

F. W. MORGAN,
Chairman.

ALEXANDER DIMANT,
Clerk.

Drainage Board Office,
Ross, 15th May, 1870.

Printed by JOSEPH PHILIP KLEIN, authorised Printer for the time being of the "County
of Westland Gazette."




Online Sources for this page:

VUW Te Waharoa PDF Westland Provincial Gazette 1870, No 20





✨ LLM interpretation of page content

🏗️ Jones' Flat Mining Drainage Board Financial Statement

🏗️ Infrastructure & Public Works
15 May 1870
Financial Statement, Receipts, Expenditure, Mining Drainage, Jones' Flat
  • F. W. Morgan, Chairman of the Drainage Board
  • Alexander Dimant, Clerk of the Drainage Board

  • F. W. Morgan, Chairman
  • Alexander Dimant, Clerk