✨ 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.
- ... £ s. d. ... £ s. d.
Nov. 15. By balance in Bank ... ... ... 0 10 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.
- 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."
✨ LLM interpretation of page content
🏗️ Jones' Flat Mining Drainage Board Financial Statement
🏗️ Infrastructure & Public Works15 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
Westland Provincial Gazette 1870, No 20