t 7,512 97 Carried forward T $20,279 75 of this amount brought forward from last year. Sundry Accounts. Primary School-house, Fayette Street. ‡72,594 00 of this amount brought forward from last year. § 3,127 94 of this amount brought for ward from last year, and less $5,000 00 transferred to Girls High and Normal School-house. $6,355,862 20 $4,330,950 34 $2,036,048 83 and $19,600 00 transferred from and $2,900 00 transferred from † 1,078 60 Transferred from the Reserved Fund to the Appropriation for: Advertising, City Hospital, Repairing Steamboat Henry Morrison, Sewers and Drains, Sealers of weights and measures, East Boston Ferries, Fire Department, SPECIAL APPROPRIATIONS. [Under this head, the appropriations are the balances brought from last financial year, and appropriations made the present financial year.] Engine and Hose House, East street (loan) * 1,702 57 1,157 16 545 41 Harrison Avenue Extension (loan) Primary School-house, Shurtleff District (loan) Engine House No. 4 (reserved fund) Engine-house No. 4, Dorchester (balance Dor. ap.) Fort Hill Improvement (loan) Gibson School Fund (transfer). Grading New Streets (reserved fund) Home for Poor, Deer Island (transfer). Iron Fence, Commonwealth avenue (transfer). 75,000 00 75,000 00 16,070 06 107,729 91 1,838 29 105,891 62 25,000 00 504 56 24,495 44 Primary School-house, Sixth street (loans) 37,269 69 17,646 03 Primary School-house, Yeoman street (loan) 19,623 66 $ 37,453 00 37,408 62 44 38 Roxbury Latin School (transfer from Reserved Fund) 2,000 00 2,000 00 135,000 00 22 75 Sea Wall, Deer Island (transfer) 134,977 25 12,000 00 Shawmut Avenue Extension (loan) Soldiers' Relief (revenue). 133,498 05 Water Works, Wards 13, 14, 15 (loans) Suffolk Street District (transfer and loan) . . . . 172,315 04 Water Works, Ward 16 (loan) 23,073 17 375,000 00 Water to Deer Island (loans) 89,582 21 285,417 79 74,840 80 2,402 72 Widening Boylston street (loan) 72,438 08 115,000 00 90,744 21 Widening Eliot street (loan) 24,255 79 178,736 00 165,476 78 Widening Federal street (loans) 13,259 22 16,275 29 14,655 88 Widening Hanover street (loan) 1,619 41 168,158 75 123,361 38 Widening Hanover street, No. 2 (loan) 44,797 37 605,170 00 445,871 45 159,298 55 Widening Kingston street (loan). 225,000 00 Widening Tremont street (loans) 225,000 00 21,764 06 Winthrop Street Primary School-house (res'd fund) 12,000 00 6,965 34 5,034 66 * Transferred from Engine and Hose House, East Street, to Engine House, No. 4, Dorchester, $3,500.00, and to Girls' High and Normal School-house, $1,000. † Transferred to Grammar School-house, Ward 1, $2,900.00, and to Girls' High and Normal Schoolhouse, $10,400.00. Transferred to Girls' High and Normal School-house, $3,200.00. UNCOMPLETED PUBLIC BUILDINGS AND PUBLIC WORKS, MAY 1, 1870. 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 January draft: †Transferred to Girls' High and Normal School-house, $3,200.00. *$2,900 transferred from Primary School-house, Fayette St., to Grammar School-house, Ward 1, and to Girls' High and Normal School-house, $10,400.00.. |