¶ $1,290 00 Revenue added. Carried forward * $2,010 30 of this amount brought from last year. † Transferred from Incidental Expenses to Contingent Funds, - Joint Committees, Transferred from House of Industry to,-Quarantine Department, New Work Shop, Deer Island, Receiving House, (C Co $1,060 25 289 84 6,753 56 923 81 4,309 06 4,378 38 374 30 3,518 95 11,126 57 503 72 1,435 50 661 30 438 30 28,548 79 5,883 81 1 42 60 37 28,116 94 226,396 61 25,726 91 2,466 28 876 13 469 01 10,194 50 4,117 79 $145,096 40 73,000 00 17,000 00 8,255 13 13,000 00 12,289 39 13,124 46 $13,124 46 7,465 12 12,315 28 *10,010 30 7,765 65 2,244 65 $5,756,249 19 $5,223,282 52 $551,147 04 906 17 76,261 29 34,354 39 2,878 59 4,043 80 5,586 23 8,154 65 26,903 72 11,391 09 8,744 87 710 61 334 88 $1,000 00 $624 46 463 86 315 28 $1,403 60 $5,756,249 19 $5,223,282 52 10,000 00 6,577 17 $73,460 00 *115,183 78 73,460 00 153,545 50 **872,474 88 9,565 00 118,874 61 2,500 00 933,775 00 ††25,210 61 †7,844 86 14,998 39 500 00 274,000 00 586,000 00 150,000 00 $9,514,557 16 $9,532,737 53 † $2,224 53 of this amount brought from last year. Expended. 863,658 81 8,151 22 118,874 61 2,315 39 933,775 00 7,844 86 4,998 39 53,789 65 ** Transferred from School Instructors to:- School Expenses, S. C., †† Transferred from Surveyor's Department to:- Survey of Roxbury, * Transferred from Reserved Fund to appropriation for: - Health Department, $14,000 00. Sewers, 18,874 61. 50,000 00. East Boston Ferries, 5,000 00. Fire Alarm Dep't, 9,045 89. 40,000 00. Fire Department, School Houses P. B., 20,895 72. RECAPITULATION. Appropriations, 11,210 35 214,175 30 500 00 59,824 70 295,850 13 47,145 03 102,854 97 $8,546,633 11 $986,104 42 Bal. Unexpended. $551,147 04 3,422 83 2,312 39 2,454 50 8,816 07 399 00 1,413 78 184 61 1,423 99 SPECIAL APPROPRIATIONS. [Under this head, the appropriations are the balances brought from the last financial year, and appropriations made the present financial year.] Engine and Hose House, Tremont Street (loan) . • Engine House No. 4, etc. (loan) Oliver Street (revenue) Police Station House, District Nine (loans and transfer) · Primary School-house, Shurtleff District (transfer) Rainsford Island (loan) Roxbury Latin School (transfer) Shawmut Avenue Extension (loan) Rebuilding Lyman School-house (loan) Repairing House of Correction (reserved fund) Stony Brook Land (reserved fund) • Water Works, Wards 13, 14, and 15 (loans) • Water Works, Wards 13, 14, 15, and 16 (loan) Water to Deer Island (loans) Water Street Grade Damages (transfer) Widening and Grading Dudley and other Streets (loan) Widening Eliot Street (loan) Widening Federal Street Bridge (loan) UNCOMPLETED PUBLIC BUILDINGS AND PUBLIC WORKS, MAY 1, 1871. TOTAL APPROPRIATIONS AND EXPENDITURES FOR EACH. 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: |