Annual Reports of the Various Office & Standing Committees |
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Page 14
... construction of sewers ... ....... Special assessments , opening and widening streets ......... Special assessments , construction of board walks .......... STATEMENT Of the Revenue disbursed during the fiscal year ending $ 951,038 76 ...
... construction of sewers ... ....... Special assessments , opening and widening streets ......... Special assessments , construction of board walks .......... STATEMENT Of the Revenue disbursed during the fiscal year ending $ 951,038 76 ...
Page 15
... construction of sewers ... Special assessments , opening and widening streets .... Special assessments , construction of board walks ...................................................... . Balance on hand December 31 , 1876 ..............
... construction of sewers ... Special assessments , opening and widening streets .... Special assessments , construction of board walks ...................................................... . Balance on hand December 31 , 1876 ..............
Page 25
... 2 , ..... Grading and paving streets , .. Opening streets , .. Sewer construction , .. 3,931 57 5,598 76 6,124 45 2,482 23 1,422 25 $ 27,709 58 STATEMENT OF THE Receipts from various sources during the month 3 GO COMPTROLLER'S REPORT . 25.
... 2 , ..... Grading and paving streets , .. Opening streets , .. Sewer construction , .. 3,931 57 5,598 76 6,124 45 2,482 23 1,422 25 $ 27,709 58 STATEMENT OF THE Receipts from various sources during the month 3 GO COMPTROLLER'S REPORT . 25.
Page 26
... No. 2 , ........ Grading and paving streets , .. Sewer construction , .. 2,465 35 3,467 07 10,697 60 7,127 56 Opening streets , .. 6,443 10 STATEMENT 27 27 OF THE Receipts from various sources during $ 75,838 28 26 COMPTROLLER'S REPORT .
... No. 2 , ........ Grading and paving streets , .. Sewer construction , .. 2,465 35 3,467 07 10,697 60 7,127 56 Opening streets , .. 6,443 10 STATEMENT 27 27 OF THE Receipts from various sources during $ 75,838 28 26 COMPTROLLER'S REPORT .
Page 27
... .. 8,793 88 . Grading and paving streets , ......... Sewer construction , ..... Opening streets , .. 3,851 10 4,721 70 6,704 97 $ 40,645 19 COMPTROLLER'S REPORT . STATEMENT OF THE Receipts from various sources COMPTROLLER'S REPORT .
... .. 8,793 88 . Grading and paving streets , ......... Sewer construction , ..... Opening streets , .. 3,851 10 4,721 70 6,704 97 $ 40,645 19 COMPTROLLER'S REPORT . STATEMENT OF THE Receipts from various sources COMPTROLLER'S REPORT .
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66 John Adam Snyder alley ANNUAL REPORT April assessment August avenue Bothwell Campbell Chas Christ City of Allegheny coal cobble stone Committee Common Councils COMPTROLLER'S REPORT Contingent fund David David Hastings David Jones December December 26 dist door relief election expenses Ernest Faber February feed for department Fire engines George Grading and paving hay for department Henry horses hose carriage J. C. McIntyre Jacob James James Bothwell January John Lehman John Lutz Jones Joseph Joseph Mears July June labor on streets law in councils lumber Macferron March McNaugher Michael Egan National Bank November October ordained and enacted ordinance Patrick Howard paving streets pay roll pipe Poor fund R. D. McGonnigle R. T. White repairing tools Robert salary Samuel Select and Common September Sewer Sewer fund Sinking fund Smith T. F. Grubbs Thos Troy Hill voucher ward scales WARRANTS COUNTERSIGNED Water rents Wharves and landings
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Page 9 - AND CONDITION OF THE TREASURY. The amount of money in the city treasury, Jan.