Browght forward.......... • * * * * * * * * * * * * * * * * * * LOAN, REVENUE, AND SPECIAL APPROPRIATIONS. – Concluded. Revenue Loans issued in 1901–1902. ..Appropria- Total 7,000 00 1,549 00 200,000 00 $2,042,800 00 $1,079,900 00 ()BJECT OF APPROPRIATIONS. Balances from Brought forward ..... to go to e o & s & e o & # * * * g o o os e o s to e o 'o o is to • * * * g e o & to $ to * is is e o so e s to $ to so o t e o e o 'o e e & # ing and construction . . . . s e o 'o o so to e o 4 & & 8 & $ so to * * * * * * * * * * * * * > * † to $ to o is a 4 & e e o o to to a to e o e o e o e o o & a to $ to o e s u & e o go to 33,493 92 14,848 84 * * * * * * * * g e o e o go s is to e & e o e o £ to e s to a o * * * * * * e o is to g g g to s & s e o a to e o e o so e 20,485 93 28,095 82 e is & to $ to e g o & © to $ & e to go to $ to go is e o e a to o $ so fê. to a to # * * * * * * * * g is e g a s g o e s is so e s to s e to o e o e o os e o e o e o o 50,000 00 * * * * * * * * g e e e is to $5,316,120 35 40,936 41 45,000 00 1 See page 19. RECAPITULATION. Ar Balances Revenue Loans issued Appropria- Total September Expendi- Balances Loans ODA received dur- OnS, tures authorized but 1900–1901. İing 1901–1902.] in 1901–1902. 1901–1902. Credits. Draft. for 1901–1902.] Unexpended.] not issued. Regular Department Appropriations. . . . . . . . . . . . . . . . . . . . $162,988 45 $91,206 24 . . . . . . . . . . . . . . . . $18,849,076 24 $19,103,270 93 $1,315,99596|$10,639,802 90 $8,463,468 03 Loan, Revenue, and Special Appropriations..... ........ 2,814,568 37| 3,448,402 61| $2,092,800 00 1,079,900 00. 9,435,670 98 780,427 62 6,278,152 89| 3,998,154 44 $9,614,101 00 .” $2,977,556 82 $3,539,608 851 £2,092,800 00|$19,928,976 24 $28,538,941 911 $2,096,423 58 $16,917,955 79|$12,461,622 47| $9,614,161 00 Less to be provided for. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . a o os o is to so to e o to o 840,636 35 o $11,620,986 12 WATER DEPARTMENT. Appropria- || September | Expendi- Balances Current Expenses. . . . . . . . . . . . . . $863,000 00 $71,432 90 $512,115 90 $350,884 10 Interest. . . . . . . . . . . . . . . . . . . . . . . . . 550,637 50 135 00 281,654 00 | 268,983 50 $1,413,637 50 $71,567 90 $793,769 90 $619,867 60 Refunded rates . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 148 00 1,346 96 |