Trustees Records, Vol. 5, 1870 (page 282d)

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Status: Indexed

6

TREASURER'S REPORT.

The TREASURER Reports the following Abstract of RECEIPTS and
EXPENDITURES for the Forty second year, 1873.


Cash balance from the preceeding year ... .... .... .... $83.36
He has received from sundry parties: -
For sale of Lots and Graves in Public Lots ... .... .... $49,108.17
" [For] Deeds and Transfers, etc ...... .... .... 360.81
" [For] Labor and Materials, as follows:
___ Interments and Brick Graves ............... $7,041.83
___ Wood, Apples, Hay, etc ..................... 241.06
___ Rents ............................. 125.00
___ Greenhouse Sales ................. 497.27
___ Annual Care of Lots .............. 16,516 34
___ Filling, grading, sodding, building Tombs, and other improvements of Lots ......... 37,525.61
___ ___ 61,947.11
From Income of Investments ... .... .... 570.44
" [From] Massachusetts Horticultural Society, -
For one-quarter part of Expenditures, as follows: -
___ Filling up and Improving Land on Marigold Path $1,155.00
___ Watriss Lot .............. 385.00
___ Garden, Yew and Fountain Avenues ........ 99.80
___ Between Lime and Fountain Avenues ........ 50.00
___ Hazel Dell and Linden Paths ........... 58.06
___ Between Chapel and Asphodel Paths ........ 112 34
___ Moving a portion of fence around Watriss Lot . 164.75
___ ___ $2,024.95
___ Chant Lot purchase, annexed to Cemetery by vote of Trustees, ......... 2,739.00
___ One-quarter of .................. $4,763.95 is 1,190.99
" [From] Notes Receivable ... .... .... 20,000.00
___ ___ ___ ___ 133,177.52
___ ___ ___ ___ $133,260.88

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