SPECIAL APPROPRIATIONS. [Under this head, the appropriations are the balances brought from the last financial year, and appropriations made the present financial year.] Expended. Back Bay Bridges (loan) Police Station House, District Nine (loan and transfer) Shawmut Avenue Extension (loan) $ 7,697 19 $ 1,282 43 135,070 00 10,000 00 81,067 80 34,923 21 322,750 00 9,337 69 15.350 00 4.100 00 48,000 00 134,879 50 16,152 60 Soldiers' Relief (revenue) Suffolk Street District (loans) Ticknor Bequest (transfer) 147,355 93 389.021 93 2,060 51 Water to Deer Island (loans) Water Street Grade Damages (transfer) Water Works, Wards 13, 14, 15, and 16 (loans) 107,014 96 Widening and Grading Dudley and other Streets (loan) 44,792 08 1,155 53 Widening Eliot Street (loan and transfer) 23,712 72 Widening Federal Street (loans) 1,103 03 Widening Hanover Street (loans). 161,264 73 Widening Hanover Street, No. 2 (loans) 89,504 76 Widening Kingston Street (loan) Widening Tremont Street (loans) |