Drainage Board Financial Statement




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

RECEIPTS.

  1. Nov. 15. Balance in Bank of New Zealand ... ... £ s. d. 0 10 2

  2. Drainage Rates collected 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. Working Expenses, Ross United Steam Drainage Company ... 1140 4 11
    Tail Races and Drainage Tunnels ... 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 5

    „ 15. Balance ... ... ... ... 102 19 5

F. W. MORGAN,
Chairman.

ALEXANDER DIMANT,
Clerk.

Drainage Board Office,
Ross, June 7, 1870.

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



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Online Sources for this page:

VUW Te Waharoa PDF Westland Provincial Gazette 1870, No 22





✨ LLM interpretation of page content

🌾 Financial Statement of Jones' Flat Mining Drainage Board

🌾 Primary Industries & Resources
7 June 1870
Financial Statement, Drainage Board, Mining, Receipts, Expenditure, Ross
  • F. W. Morgan, Chairman of Drainage Board
  • Alexander Dimant, Clerk of Drainage Board

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