Trustees Records, Vol. 5, 1870 (page 350)

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Status: Indexed

350

8

TREASURER'S REPORT.

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The TREASURER reports the following Abstract of RECEIPTS and
EXPENDITURES for the Forty-third year, 1874.


Cash balance from the preceding year ..... ... ... $5,585.14
He has received from sundry parties: -
For sale of Lots and Graves in Public Lots ..... ... $28,147.60
" [For] Deeds and Transfers, etc .... ... 475.68
" [For] Labor and Materials, as follows:
Interments and Brick Graves ..... $7,882.70
Wood, Apples, Hay, etc ..... 265.18
Rents ....... 125.00
Greenhouse Sales ....... 326.45
Annual Care of Lots .... 15,847.69
Filling, grading, sodding, and other improvements of Lots ..... 24,662.50
___ ___ 49,109.52
From Income of Investments ...... .... 572.57
" [From] Massachusetts Horticultural Society, -
For one-quarter part of Expenditures, as follows: -
Completing the Fence around Chant Lot .... $801.42
Grading and filling Indian Ridge ..... 302.60
" [Grading] " [and] " [filling] around Halcyon Lake ........ 1,096.12
" [Grading] " [and] " [filling] " [around] Marigold Path ....... 125.25
" [Grading] " [and] " [filling] Falcon Avenue ........ 1,095.62
" [Grading] " [and] " [filling] Swan, Eagle and Circuit Avenues on the Stone Farm ...... 2,071.37
One-quarter of ......... $5,492.38 is 1,373.09
" [From] Notes Receivable ..... .... 19,000.00
___ ___ ___ 98,678.46
___ ___ ___ $104,263.60

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