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28,548 79
5,883 81

1 42

60 37 28,116 94 226,396 61 25,726 91 2,466 28

876 13

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County of Suffolk
East Boston Ferries
Engineer's Department.
Fire Alarm Department.
Fire Department
Health Department
Interest and Premium
Incidental Expenses
Lamps
Markets
Mount Hope Cemetery

Add Revenue rec'd, $18,180 37
Militia Bounty
Overseers of the Poor
Old Claims
Paving
Police
Printing and Stationery:
Public Baths
Public Buildings
Public Institutions, viz.:

House of Industry
House of Correction
Lunatic Hospital
Pauper Expenses
Steamboat “Henry Morrison"
Quarantine Department
Office Expenses
Receiving House, Deer Island
New Work Shop
Laying Water Pipe and Boilers,

Deer Island

275,000 00 246,451 21 258,500 00 252,616 19 18,000 00 17,998 58 42,763 89 42,763 89 399,310 00 399,249 63

364,000 00 335,883 06 1,252,000 00 1,025,603 39

789,976 00 64,249 09 350,000 00 347,533 72 10,500 00 9,623 87 21,000 00 38,711 36 50,000 00 39,805 50 67,200 00 63,082 21 1,500 00

593 83 1,000,000 00 923,738 71 607,500 00 573,145 61 35,000 00 32,121 41 37,000 00 32,956 20 95,000 00 89,413 77

469 01

10,194 50
4,117 79

906 17
76,261 29
34,354 39
2,878 59
4,043 80
5,586 23

$145,096 40

8,154 65 26,903 72 11,391 09 8,744 87

710 61

Carried forward

90,000 00 73,000 00 17,000 00 13,000 00 $13,124 46

7,800 00
$12,315 28
$10,463 86

136,941 75
63,096 28
61,608 91

8,255 13
12,289 39
13,124 46

7,465 12 12,315 28 10,463 86

334 88

*10,010 30

7,765 65

2,244 65

.

$5,756,249 19 $5,223,282 52 $551,147 04 * $2,010 30 of this amount brought from last year. Trausferred from Incidental Expenses to Contingent Funds, - Joint Committees,

$1,000 00 | Transferred from House of Industry to,--Quarantinc Department,

$624 46 New Work Shop, Deer Island, 463 86 Receiving House,

315 28

$1,403 60

af $1,290 00 Revenue added.

OBJECT OF APPROPRIATIONS.

Amount of each
Appropriation.

Expended.

Bal. Unexpended.

Brought forward

$5,756,249 19 $5,223,282 52 $551,147 04 Public Lands .

10,000 00 6,577 17 3,422 83 Public Library

173,460 00 73,460 00 Reserved Fund

*115,183 78 112,871 39 2,312 39 Salaries

156,000 00 153,545 50 2,454 50 Schools and school-houses, viz.: School Instructors

**872,474 88 863,658 81 8,816 07 School Expenses, School Committee **68,743 46 68,743 46 Salaries Officers, School Committee **23,281 66 23,281 66 School-houses, Public Buildings 260,895 72 260,496 72

399 00

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Total Appropriations, $9,500,743 00

$8,546,633 111 $986,104 42 Balances from 1870–1, 6,064 16 Revenue,

7,750 00

$9,514,557 16 Add Revenue.

18,180 37

$9,532,737 531

* Transferred from Reserved Fund to appropriation for: - Health Department, $14,000 00.

Sewers,

18,874 61. † $2,224 53 of this amount brought from last year. Bridges,

8,000 00. $ $1,829 33 of this amount brought from last year. East Boston Ferries, 50,000 00. | $6,460 00 Revenue added.

City Hospital,

5,000 00. Salaries,

19,000 00. Fire Alarm Dep't,

9,045 89. Fire Department,

40,000 00. School Xouses P. B., 20,895 72.

$184,816 22.

** Transferred from School Instructors to:- School Expenses, 8. C.,

Salaries Officers, 8. C.,

$1,743 46

781 66

$2,525 12

tt Transferred from Surveyor's Department to:- Survey of Roxbury,

Survey of Dorchester,

$620 33
169 06

$789 39

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SPECIAL APPROPRIATIONS.

[Under this head, the appropriations are the balances brought from the last financial year, and appropriations made the present financial year.]

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Additional Supply of Water (reserved fund)
Atlantic Avenue (loans)
Back Bay Bridges (loan)
Bell Tower Lewis School-house (reserved fund)
Broadway Extension (loans)
Canton Street Grading (loan)
Cha's Riv. & Warren Bridges (rev. and reserved fund)
Columbus Avenue Extension (loan)
Cragie's and West Boston Bridges (revenue)
Chestnut Hill Reservoir (loans)
Church Street District (loans and transfer)
Engine and Hose House, Tremont Street (loan)
Engine House No.4, etc. (loan)
Engine House No. 15 (transfer)
Fort Hill Improvement (loan).
Grading Madison Square (transfer)
Harrison Avenue Extension (loan)
High Service, South Boston (loan)
Home for Poor, Deer Island (transfers)
Inspection of Buildings (reserved fund)
Memorial Monument, Boston Common (transfer)
New Building House of Correction (transfer).
New Lunatic Hospital (loans and appropriation)
New Main Pipe, East Boston (reserved fund)
New Water Pipes, East Boston (loan)
Oliver Street (revenue).
Police Station House, District Nine (loans and transfer)
Poor-house Estate, Ward 16 (reserved fund)
Primary School-house Lot, L street (loan)
Primary School-house, Shurtleff District (transfer)
Public Library Building (loan)
Rainsford Island (loan)
Rebuilding Lyman School-house (loan)
Repairing House of Correction (reserved fund)
Roxbury Latin School (transfer)
Bcollay's Building (loan).
Shawmut Avenue Extension (loan)
Smith Estate, Bulfinch street (loan)
Soldiers' Relief (revenue)
Stony Brook Land (reserved fund)
Suffolk Street District (transfer and loans)
Ticknor Bequest (transfer)
Water Works, Wards 13, 14, and 15 (loans)
Water Works, Ward 16 (loan)
Water Works, Wards 13, 14, 15, and 16 (loan)
Water to Deer Island (loans)
Water Street Grade Damages (transfer)
Widening Boylston Street (loan).
Widening Eliot Street (loan)
Widening Federal Street Bridge (loan)
Widening Federal Street (loans)
Widening Hanover Street (loans).
Widening Hanover Street, No. 2 (loans)
Widening Kingston Street (loan)
Widening Knceland Street (loan).
Widening Tremont Street (loans and transfer)

$ 10,000 00
580,739 87
175,000 00

1,400 00
112,017 52
47,597 79
11,551 57
475,000 00
65,048 50
26,228 05
29,913 92
20,000 00
60.000 00
25,000 00
677,795 26

12,000 00 150,143 00 30,000 00 225,000 00

6,471 39 75,000 00

3,000 00 105,891 62 24,369 67 21,000 00

1,506 60 44,000 00

6,000 00 26,000 00 35,915 75 50,000 00 40,000 00 35,000 00 48,000 00

2,500 00 1,669 42 24,247 75 12,267 22 11,170 00 34,662 31 5,648 00

75,000 00

500 00 104,222 20

121 92

8,732 78 ($9,663 40 advanced by Treasurer.)

9,337 69

352 00 26,000 00

79 94 22,719 52

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35,835 81
27,280 48
40,000 00
31,987 67

1,500 00 134,977 25 132,905 06

55,000 00 237,298 34

2,000 00 1,658,759 92

3,000 00 14,716 25 137,701 29 300,000 00

43,945 65 100,000 00

3,292 95 150,000 00 48,727 17 85,000 00

1,619 41 269,797 37 140,522 77 160,907 00 150,000 00

9,648 74

3,012 33 48,000 00

134,879 50 16,152 60

.

154,355 93

.

.

1,500 00

97 75 116,752 46 55,000 00 82,942 41

2,000 00 1,227,937 47

939 49 14,716 25 137,701 29 190,837 53 40,656 34 58,164 82

430,822 45

2,060 51

C

105,207 92
25,014 45
484 25

16 38
108,532 64
51,018 01
60,803 47

109,162 47

3,289 31 41,835 18

3,292 95 44,792 08 23,712 72 84,515 75

1,603 03 161,264 73

89,504 76 100,103 53 150,000 00

7,925 74

.

1,723 00

Advanced by Treasurer

$7,097,909 68

9,663 40

$3,558,142 70 Less provided for

$3,550,243 98

813 60

$7,107,573 08

$3,549,430 38

UNCOMPLETED PUBLIC BUILDINGS AND PUBLIC WORKS,

MAY 1, 1871.

TOTAL APPROPRIATIONS AND EXPENDITURES FOR EACH.

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The following table shows the total amount of appropriations made from time to time by the City Council, and the objects for which they were made, — the amount expended, and balance unexpended, including the April draft:

OBJECT OF APPROPRIATIONS.

Loan, Revenue,

or from Transfers.

Expended.

Unexpended.

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Atlantic Avenue (loans)
Broadway Extension (loans)
Canton Street Grading (loans)
Chestnut Hill Reservoir (loans)
Church Street District (loans)
Fort Hill Imprarement (loan)
Harrison Avenue Extension (loan)
New Lunatic Hospital (loans and

appropriation).
New Main Pipe, East Boston (re-

served fund)
Oliver Street (revenue and loan)
Primary School-house, Shurtleff

District (transfer)
Scollay's Building (loan)
Shawmut Avenue Extension (loan)
Suffolk Street District (transfer and

loans)
Water Works, Wards 13, 14, 15 (l’ns)
Water Works, Ward 16 (loan)
Water to Deer Island (loans)
Widening Boylston Street (loan)
Widening Eliot Street (loan)
Widening Federal Street (loans)
Widening Hanover Street (loans)
Widening Hanover St., No. 2 (l'ns)
Widening Kingston Street (loan)
Widening Tremont Street (loans

and transfer)

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Advanced by Treasurer

$15,278,316 04' $13,538,743 90 $1,905,583 26

165,781 12

$15,444,127 16

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IN BOARD OF ALDERMEN, April 8, 1872.
Laid on the table and ordered to be printed.
Attest:

S. F. McCLEARY,

City Clerk.

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