Trustees Records, Vol. 5, 1870 (page 052)

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Status: Indexed

52

Treasurer's Report.

Treasurer's Report.

The Treasurer reports the following Abstract
of Recipts and Expenditures for the Thirty=ninth year, 1870.


Cash balance from preceding year ___ ___ $2.438.11
He has received from sundry parties:
For Sales of Lots, and Graves in Public Lots ___ $32.607.09
" [For] Deeds and Transfers, etc. ___ 442.83
" [For] Labor & Materials, as follows:
Interments and Brick Graves $5.872.62
Wood and Apples 683.25
Hay $207.46 Rent $100.– Horse $100.– 407.46
Greenhouse Sales 594.94
Annual Care of Lots 9.775.96
Filling, grading, sodding, building Tombs, & other improvements of Lots 20,911.38
___ ___ 38.245.61
From Income of Investments ___ 3.330.58
" [From] Massachusetts Horticultural ^Soc'y.
For ¼ part of expenditures as follows: –
Filling up and improving Lands on
Cuphea Path, Drain between St Matthew's &
St Paul's P. L., Cesspool & Drain on Cedar Av.,
Drain & Cesspool on Locust Av. Drain on
Fountain Av. 536.58
Filling Lands on Maple, Viburnum and Halcyon Avenues 3353.46
Carried forward 3890.04 74.626.11 2438.11

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