General Special $8,554,754 00 154,422 32 $8,709,176 32 Expended. $8,718,595 73 47,500 00 78,637 95 275,868 32 76,147 85 23,632 42 10,328 32 118,317 96 59,424 39 2,335 96 RECAPITULATION. Appropriations, 3,262 10 83,728 61 Bal. Unexpended. * There has been transferred from the Reserved Fund to the appropriation, for Sewers, etc.. $20,000 000. 2,257 01 17,816 71 11,327 40 232,500 00 43,362 05 13,489 62 613 50 101,500 47 97,144 00 122,107 91 4,386 50 88,599 53 593,856 00 52,892 09 $4,149,965 91 $4,575,734 91 9,419 41 Less provided for 7,105 09 $4,568,629 82 Expended. 239,731 68 29,852 15 20,367 58 8,371 68 105,182 04 40,575 61 6,664 04 2,652.90 11,271 39 904,000 00 11,510 38 $8,718,595 73 $4,149,965 91 $4,568,629 82 $15,188,362 60 $6,525,950 32 $8,662,412 28 SPECIAL APPROPRIATIONS. [Under this head, the appropriations are the balances brought from last financial year, and appropriations made the present financial year.] 100 00 219 80 869 91 7,905 96 195,380 85 92,326 16 167,714 80 127,591 90 283,123 42 191,356 19 365 82 14,364 30 1,098,969 31 81,500 00 55,950 00 572 00 4,443 49 6,670 00 5,500 00 107,807 12 3,000 00 21,590 41 ($21,403.98 ad.by Tr.) 5,865 10 29,678 57 7,134 90 30,321 43 58,000 00 40,100 00 900 00 17,100 00 900 00 3,000 00 51,575 80 88,089 03 12,441 03 1,984 40 1,780 20 4,130 09 264 51 54,000 00 99,793 34 25,416 98 332,285 20 7,808 58 $6,448,362 89 $2,375,984 41 $4,093,782 46 21,403 98 $6,469,766 87 UNCOMPLETED PUBLIC BUILDINGS AND PUBLIC WORKS, MAY 1, 1869. 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 November draft: |