General Special $8,554,754 00 154,422 32 RECAPITULATION. Appropriations, $8,719,863 78 318,121 19 85,335 16 28,000 62 11,791 66 136,169 90 66,404 52 3,242 79| 3,780 10 95,000 00 15,809 73 888 50 120,127 84 97,569 00 135,113 43 $8,709,176 32 Less to be pro- $8,719,863 78 *There has been transferred from the Reserved Fund to the appropriation, for Sewers, etc.. Grammar School House, Ward 9 $20,000 00 • $22,500 00 $4,674,971 33 $4,072,527 15 Expended. 1,928 11 12,808 14 6,664 66 230,000 00 34,838 73 $4,674,971 33 2,958,159 67 197,478 81 20,664 84 15,999 38 6,908 34 87,330 10 33,595 48 5,757 21 2,134 90 904.000 00 9,190 27 4,111 50 69,972 16 593,431 00 39,886 57 27,634 70 $4,044,892 45 $15,903,060 67 $7,633,131 00 $8,269,929 67 | SPECIAL APPROPRIATIONS. [Under this head, the appropriations are the balances brought from last financial year, and appropriations made the present financial year.] OBJECT OF APPROPRIATIONS. Atlantic Avenue (loan) Back Bay and Surface Drainage (revenue) Grammar School-house, Ward 1 (loan) Hook and Ladder House, Fourth Street Iron Fence, Commonwealth Avenue (reserved fund) • New Lunatic Hospital (loans and appro. New Sheds, West City Stables (reserved fund) Oliver Street (revenue) Police Station-house, No. 6 (res'd fund) Prim'y School-house, Appleton St (loan) Prim'y School-house, Berlin St. (loan) Prim'y School-house, Fayette St. (loan), Prim'y School-house Lot, Yeoman Street (loan) · Roxbury Latin School (reserved fund) Ward Room, Ward 9, and Hose House Advanced by Treasurer Loan, Revenue, or from Transfers. $1,199,856 75 43,232 15 14,000 00 550,000 00 4,527 99 636,221 73 693,110 59 137,940 00 30,000 00 1,250,000 00 168,500 00 90,000 00 113,000 00 10,454 03 16,000 00 5,500 00 108,154 68 3,000 00 13,484 73 13,000 00 60,000 00 58,000 00 41,000 00 18,000 00 3,000 00 139,664 83 12,441 03 2,084 40 2,000 00 5,000 00 8,170 47 54,000 00 295,174 19 117,743 14 17,100 00 3,000 00 59,825 80 100 00 408 80 1,013 29 7,956 55 119 45 Unexpended. 244,695 07 92,516 16 222,807 26 7,070 00 135,317 98 365 82 14,234 30 1,011,068 33 81,500 00 50,810 00 347 56 2,500 00 500 00 25,020 43 (#11,535.70 ad.by Tr. 6,126 75 38,841 30 6,873 25 21,158 70 48,767 53 39,940 00 9,232 47 1,060 00 900 00 79,839 03 12,441 03 1,984 40 1,591 20 3,986 71 213 92 53,880 55 50,479 12 25,226 98 90,545 30 4,443 49 723 93 5,500 00 107,807 12 277,192 74 592,930 00 20,082 50 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 December draft: |