*0 BOARD OF WORKS FOR THE LIMEHOUSE DISTRICT. STATEMENT of ACCOUNTS, REPORTS. &c., from Lady-day, 1865, to Lady-day. 1866. BOARD OF WORKS for the LIMEHOUSE DISTRICT: STATEMENT of ACCOUNTS, REPORTS, &c., from Lady-day, 1865, to Lady-day. 1866. BOARD OF WORKS FOR THE limehouse district, 1865-1666. MEMBERS FOR LIMEHOUSE Mr. THOMAS BLUNDELL. " BENJAMIN DIXON, " JAMES GILL. " WILLIAM GRAY, " JOSEPH HITCH, " WILLIAM RUNDELL HODGE " JOHN LONGMORE HOLMES, " JAMES EDWARD HORN, " ROBERT JOHNSON, " WILLIAM NATHAN, " FREDERICK PEACHEY, " JAMES THOMAS ROBERTSON " WILLIAM STEWART, " JAMES WILTON, " JOHN WOODLEY. MEMBERS FOR WAPPING. Mr. EDWARD MIDDLETON, " ROBERT MORTON, " EDWARD RICHARDSON. MEMBERS FOR RATCLIFF. Mr. EDWIN AUGUSTUS CREER. " JAMES GILRUTH, " GEORGE GOWLAND. " FRANCIS HARRISON. " EDWARD CHARLES HOOD. " JOSEPH MYERSCOUGH, " JAMES HICKS PARKINSON, " HENRY ROLLINSON, " JOSEPH HUGHES. " HENRY SHEPHERD. " JOHN SHERREN. " THOMAS WALTER MEMBERS FOR SHADHELL Mr. JOHN ARTHUR, " THEOPHILUS T. BIDDULPH " ROBERT BOYD, " DANIEL ROSS, " WILLIAM RUMSEY, " JOHN WATERS. BENJAMIN DIXON, Esq., represents 0the Board at the Metr0opolitan Board of Works. OFFICES OF THE BOARD. WHITE HORSE STREET, COMMERCIAL ROAD, EAST. TREASURER—WILLIAM JAMES LANCASTER, Esq., London Joint Stock Bank. CLERK OF THE BOARD-MR. THOMAS WRAKE RATCLIFF. SURVEYOR-MR. CHARLES DUNCH. MEDICAL OFFICER OF HEALTH—MR. THOMAS ORTON. INSPECTORS OF NUISANCES AND STREETS, For No. 1 District—GEORGE HURLOCK. For No. 2 District—WALTER BURGIN. For No. 3 District—THOMAS STACE. OFFICE CLERK—JAMES BENSLEY. No. I. Revenue and Outlay Account for the year, from Lady-day, 1865, to Lady-day, 1866. 2. Revenue and Outlay General Purposes Account. 3. Revenue and Outlay Sewers Account. 4. Parish Of Limehouse General Purposes Account. 5. Ditto Sewers Acouunt. 6. Hamlet of Ratcliff General Purposes Account. 7. Ditto Sewers Account. 8. Parish of Shadwell General Purposes Account. 9 Ditto Sewers Account. 10. Parisii of Wapping General Purposes Account. 11. Ditto Sewers Account. 12. Statement op Liabilities and Assets. 13. Ditto of Contracts. 14. Ditto op Old Bonds, paid off. 15. Return of Muneys raised on Loan at Interest. 16. Report of Surveyor. No.+ 1. BOARD OF WORKS F??? LIMEHOUSE DISTRICT. Comprising the Parish of Limehouse, the Hamlet Hiff, and the Parishes of Shad well and Wapping. Revenue and Outlay from L??? 865, to Lady-day, 1866. REVENUE. OUTLAY. £ s. £ s. d. Balance brought forward 834 11 ???arges for Paving 2,386 2 5 To Cash of Overseers of the Parishes in the District upon Orders of Contribution, viz:— ???ghting 3,053 5 10 ???eansing and Watering 1,822 10 1 General purposes 14,650 0 0 ???done and Materials 887 19 6 Sewerage purposes 1,290 0 0 ???rinals 43 18 0 15,940 0 ???arges on Rates— „ Ditto to meet Precept of Metropolitan Board 2,177 31 Interest £846 0 8 „ Ditto for Main Drainage 3,630 133 Principal repaid 1,868 10 6 ,, Ditto Reinstatements of Paving 262 15 ??? 2,714 11 2 „ Ditto Contributions to Sewers 71 19??? ???nprovements 646 13 8 „ Ditto Rents, Sundries, &c 319 2??? ???ommon charges and Sundries 1,224 1 2 „ Ditto of River Lee Trust 540 2??? ???ompensations 150 17 11 ???arliamentary proceedings 1,276 16 6 ???ent—Shadwell Stone Yard 12 0 0 ???xpenditure on Sewers Account 6,707 15 9 Balance 2,849 15 6 £ 23,776 7??? £23,776 7 6 ???hereby certify that we have examined and allowed the Accounts, of which this Account is an abstract. ???ed this 19th day of July, 1866. Richard Jolly, Jun. W. Ashley, J. H. Ridgway. Auditors. No. 2. GENERAL PI???ES ACCOUNT. Revenue and Outlay from L???805, to Lady day, 1866. REVENUE. OUTLAY. £ s. £ s. d. Balance brought forward 937 3 ???aving 2,386 2 5 To Cash received of Overseers of Parishes in the District upon Orders of Contribution 14,650 0 ???ighting 3,053 5 10 ???leansiug and Watering 1,822 10 1 „ Ditto for Reinstatements of Pavements 262 15 ???tone and Materials 887 19 6 ,, Ditto Rents, &c. 319 2 ???rinals 43 18 0 „ Ditto of River Lee Trust, Narrow Street Bridge 500 0 ???harges on Rates— „ Ditto from Paving Loan Account 484 11 Interest £846 0 8 • Principal repaid 1,868 10 6 2,714 11 2 ???mprovement Account 646 13 8 Common charges and Sundries 1,221 1 2 Compensations 150 17 11 Parliamentary proceedings 1,276 16 6 Rent—Shadwell Stone Yard 12 0 0 Balance 2,934 17 5 £14,153 13 £17,153 13 8 LOAN ACCOUT???AVING.) To Balance brought forward 484 11 1??? Balance carried to Limehouse General Account 484 11 11½ ???& hereby certify that we have examined and allowed the Accounts, of which this Account is an abstract. ???ted this 19th day of July, 1866. Richard Jolly, Jun. W. Ashley, J. H. Ridgway, Auditors. No. 3. SEWE???OUNT. Revenue and Outlay from La???865, to Lady -day, 1866. REVENUE. OUTLAY. £ s. £ s. d. To Cash received of Overseers of the Parishes in the District on Orders of Contribution 1.290 0 Balance brought forward 587 4 9 ???rayment to Metropolitan Board amount of precept for general purposes 2,177 3 11 „ Ditto of ditto to meet Orders of Metropolitan Board 2,177 3 „ Ditto of Main Drainage 3,030 13 Ditto for Main Drainage 2,932 12 0 „ Ditto for Contributions to Sewers 71 19 ???ewers Construction 142 3 0½ „ Ditto of River Lee Trust Sewers Works Limehouse 40 2 ???Openings 26 2 7 Balance 85 1 ???Repair 34 11 8¾ ???Cleansing and Cleansing Cesspools 41 9 5 ???mprovements 6 19 6 ???incidental Works 19 3 ???Carting deposit 10 8 6 ???Flushing and Gullies 164 15 11 ???Common Charges 696 15 5 ???Charges on Rates— Interest 188 17 1 Principal repaid 266 13 3 455 10 4 4.7,295 0 £7,295 0 6 ???? hereby certify that we hare examined and allowed the Accounts, of which this account is an abstract. ???ted this 19th day of July,1860. Richard Jolly, Jun. W. Ashley, J. H. Ridgway, Auditors. No. 4. PARISH OF LIMEHOUSE ???NERAL PURPOSES ACCOUNT. Revenue and Outleay from La???1865, to Lady-day, 1866. REVENUE. OUTLAY. £ s, £ s. d. Balance brought forward 1,204 12 1 ???vaving 591 7 8} To Cash of Overseers upon Orders of Contribution 5,250 0 ???ighting 1,178 3 0 ,, Ditto for Reinstatements of Paving 68 11 ???leaning and Watering 717 8 11 ,, Ditto of Rents &c 23 5 ???tone and Materials 693 2 10 ,, Ditto of River Lea Trust 500 0 ???mprovement Account 12 2 2 ,, Ditto from Paving Loan Account 484 11 11 ???Charges on Rates — Interest £403 8 5 Principal repaid 1,722 14 11 2,126 3 4 Compensations 49 5 0 Common charges and Sundries 441 16 1 Parliamentary expenses 868 16 10 Balance 852 15 3¼ £7,531 £7,531 1 1¾ ???hereby certify that we have examined and allowed the Account of which this account is an abstract. ???ated this 19th day of July, 1866. Richard Jolly Junr. W. Ashley. J. H. Ridgway. Auditors. No. 5. PARISH OF LIMEHOUSE ???VERS ACCOUNT. Revenue and Outlay from Lad ???1865, to Lady-day, 1866. REVENUE. OUTLAY. £ s. £ s. d. To Cash of Overseers upon Orders of Contribution 690 0 Balance brought forward 666 8 6¾ „ Ditto Contributions to Sewers 61 3 ???ewers construction 77 11 10 „ Ditto of Overseers Metropolitan Board General Expenditure 786 17 ???Opening 21 6 0 „ Ditto of ditto on account of Main Drainage 1,796 2 ???Repair 8 14 9½ „ Ditto of River Lea Trust Sewers Work Limehouse 40 2 Cleansing and Cleansing Cesspools 39 19 5½ ???improvements 6 19 6 ???dncidental Works 13 11 5¾ ???Carting deposit 1 1 0 Flushing and Gullies 61 18 5 Common charges and Sundries 261 19 2 Charges on Rates— Interest ... 131 2 11 Principal repaid 193 15 6 324 18 5 ''Metropolitan Board General Expenditure 786 17 6 „ Main Drainage 1,098 1 0 Balance 5 3 3½ £3,374 4 1 £3,374 4 11 ???e hereby certify that we have examined and allowed the Accounts ot which this account is an abstract. ated this 19th day of July, 1866. Richard Jolly, Jun. V. Ashley. J. H. Ridgway. Auditors. No. 6. HAMLET OF RATCLIFF???ERAL PURPOSES ACCOUNT. Revenue and Outlay form Lad???1865, to Lady-day, 1866. REVENUE. OUTLAY. £ s. d. £ s. d. Balance brought forward 223 9 ??? ???ving 1,068 9 91 To Cash of Overseers upon Orders of Contribution 3,600 0 ??? ???dighting 778 8 1 ,, Ditto for Reinstatements of Paving 26 6 ??? ???eansing and Watering 504 17 9 „ Ditto Rents, Dilapidations &c 142 9 11 ??? one and Materials 178 17 0 Charges on Rates — Interest 173 12 10 Principal repaid 61 11 10 235 6 8 ???ompensations 34 19 9 ???common charges and Sundries 318 12 3 ???Parliamentary expenses 330 13 7 Balance 542 0 10¾ £3992 5 9 £3992 5 9¼ ???hereby certify that we have examined and allowed the Accounts of which this account is an abstract. ???ed this 19th day of July 1866. Richard Jolly Jun. W. Ashley. J. H. Ridgway. Auditors. No. 7. HAMLET OF RATCLIFF SEWERS ACCOUNT. Revenue and Outlay from La???1865, to Lady-day, 1866. REVENUE. OUTLAY. £ s. £ s. d. Balance brought forward 66 8 seweres construction 10 2 7 To Cash of Overseers upon Orders of Contribution 180 0 ???penings 1 15 1 „ Ditto Contributions to Sewers 2 16 ???repairs 10 4 8¾ ,, Ditto of Overseers Metropolitan Board General Expenditure 597 18 ???leansig and Cleansing Cesspools 1 9 11½ ,, Ditto ditto Main Drainage 769 10 ???ncidental Works 1 10 1 Balance 58 10 ???arting deposit 0 9 0 ???lushing 43 8 9 ???Common charges 183 11 6 ???Metropolitan Board General Expenditure 597 18 6 Ditto Main Drainage 769 10 0 ???charges on Rates— Interest 24 7 1 Principal repaid 30 16 5 55 3 6 £1675 3 £1,675 3 8¼ ???hereby certify that wo have examined and allowed the Accounts of which this account is an abstract. ???ed this 19th day of July, 1866. ???Riciiard Jolly, Jun. W. Ashley. J. H. Ridgway. Auditors. No. 8. PARISH OF SHADWELL ???NERAL PURPOSES ACCOUNT. Revenue and Outlay from La ???865.), to Lady-day, 1866. REVENUE. OUTLAY. £ s. £ s. d. To Cash of Overseers upon Orders of Contribution 3,000 0 Balance brought forward 342 11 0¾ ., Ditto Reinstatements of Pavements 99 16 ???ving 137 12 8½ ???ghting 659 16 6 ???eansing and Watering 323 9 7 ???one and Materials 15 15 2 ???charges on Rates— Interest £134 2 2 Principal repaid 42 11 10 176 14 0 ???compensations 9 3 5 ???common charges 230 8 4 ???Parliamentary expenses 38 13 1 ???rent of Stone Yard 12 0 0 Balance 1,153 12 10¾ £3,099 16??? £3,099 16 4 ???hereby certify that we have examined and allowed the Accounts of which this account is an abstract. ??? this 19th day of July, 1866. Richard Jolly Junr. W. Ashley. J. h. Ridgway. Auditors. No. 9. PARISH OF SHADWELL SEWERS ACCOUNT. Revenue and Outlay from La???1865, Lady-day, 1866. REVENUE. OUTLAY. £ s. £ 8. d. Balance brought forward 19 9 ???sewer construction 42 12 5½ To Cash of Overseers upon Orders of Contribution 220 0 ???penings 2 14 5 „ Ditto Contributions to Sewers 4 3 ??? repairs 12 16 2½ „ Ditto Metropolitan Board General Expenditure 400 10 ??? cidental Works 3 18 8 „ Ditto Main Drainage 533 2 ???arting deposit 6 4 6 Balance 20 2 ???ushing 30 1 9 ???common Charges 127 3 6 ???metropolitan Board General Expenditure 400 10 10 ???Ditto ditto Main Drainage 533 2 0 Charges on Rates— Interest 16 17 8 Principal repaid 0 21 5 11 38 3 7 £1,197 7 £1,197 7 11 ???hereby certify that we have examined and allowed the Accounts, of which this account is an abstract. ??? this 19th day of July, 1866. Richard Jolly, Jun. W. Ashley, J. H. Ridgway, Auditors. No. 10. PARISH OF WAPPING GENERAL PURPOSES ACCOUNT. Revenue and Outlay from La ???l865, to Lady -day, 1866. REVENUE. OUTLAY. • £ s. £ s. d. To Cash of Overseers upon Orders of Contribution 2,800 0 Balance brought forward 148 7 3¼ „ Ditto Reinstatements of Pavements 68 1 ???aving 588 12 7½ „ Ditto Rents, &c 153 7 ???Lighting 436 18 3 ???Cleansing and Watering 276 13 10 ???Stone and Materials 0 4 6 ???Urinals 43 18 0 ???Charges on Rates- Interest 134 16 3 Principal repaid 41 10 11 176 7 2 ???mprovement Account 634 11 6 ???Compentions 57 9 9 ???Common charges 233 4 6 ???Parliamentary proceedings 38 13 0 Balance 386 8 4¼ £3,021 8 1 £3 £3,021 8 9 ???hereby certify that we have examined and allowed the Accounts of which this account is an abstract. ???ted this 19th day of July 1860. Richard Jolly Jun. W. Ashley. J. H. Ridgway. Auditors. No. 11. PARISH OF WAPPING SEWERS ACCOUNT. Revenue and Outlay from Lad ???1865, to Lady-day, 1866. REVENUE. OUTLAY. £ s. £ s. d. To Cash of Overseers upon Orders of Contribution 200 0 Balance brought forward 6 14 7¼ ,, Ditto Contributions to Sewers 3 16 ???sewers Construction 11 16 2 „ Ditto Metropolitan Board General Expenditure 391 17 ???penings 0 12 7 „ Ditto Main Drainage 531 19 ???repairs 2 16 0 Balance 11 12 ???cidentals 0 3 2 ???arting deposit 2 14 0 ???dushing and Gullies 29 7 0 ???common charges 124 1 3 ???Metropolitan Board General Expenditure 391 17 1 ???Main Drainage 531 19 0 ???Charges on Rates— Interest £16 9 5 Principal repaid 20 15 5 37 4 10 £1,139 5 £1,139 5 ¼ ???hereby certify that we have examined and allowed the Accounts, of which this Account is an abstract. ??? this 19th day of July, 1860. Richard Jolly, Jun. W. Ashley, J. H. Ridgway. Auditors. No. 12. LIABILITIES. ANNUITIES. £ s.??? RATCLIFF PAVEMENT COMMISSION. Ratcliff Paving Commission Debt, apportioned as follows:— ???itioned as follows:— To Ratcliff £1,691 10 7 To Ratcliff £42 13 8 To Wapping 608 9 5 To Shadwell 11 4 0 2,300 0 To Wapping 9 2 4 Shad well Pavement Commission Debt 1,900 0 63 0 0 Wapping ditto 1,000 0 Ditto, borrowed by the Board 400 0 ASSETS. Executrix of Mr. Dinmore 960 0 British Empire Life Assurance Company 1,2283 6 Balance in hands of Treasurer 2,849 15 6 General Annuity Endowment Association l,950 0 £2,849 15 6 No. 13. CONTRACTS. 1865. March 25th, Messrs. Mowlem and Co., paving works As per scheduled of prices. \ 1864. Nov. 25th. Messrs. Mowlem and Co., broken granite 13s. 11d. per to July 13th. Mr. R. Hubbard, sewers work As per scheduled of prices. Nov. 26th. Mr. W. Flower, for gravel ballast 4s. 2d. per ya??? Sept. 28th. Mr. J. Rollinson, scavenging and watering ... £245 0 Sep. 28th. Mr. C. T. Parsons, ditto £69 0 No. 14. PARTICULARS OF PAYMENT OFF BY BOAR??? AMOUNTS SECURED BY OLD BONDS, &c. WHEN PAID OFF. NAMES OF HOLDERS. OLD COMMISSIONS. AMOUNT. 1857. 18th March W. WALTON, Esq. Wapping Pavement £300 0 0 1858. 18th October J. ClIARRINGTON, Esq. Shadwell Pavement 100 0 0 1859. l6th April GEORGE WARD, Esq. Ratcliff Pavement 200 0 0 ,, ,, Ditto. Ditto 200 0 0 ,, ,, Ditto. Ditto 200 0 0 ,, ,, WILLIAM CREW, Esq Ditto 200 0 0 ,, ,, THOMAS DINMORE, Esq. Ditto 200 0 0 ,, ,, SAMUEL FOULGER, Esq Ditto 200 0 0 ,, ,, Miss GIBB. Ditto 200 0 0 ,, ,, ... Messrs. E. & P. ARMET. Ditto 200 0 0 Ditto. Ditto 200 0 0 1859. 5th October ... E. HATFIELD, Esq. Commercial Road Debt 191 15 6 ,, ,, J. WALKER, Esq. Ditto 172 11 11 1860. 16th January Executors of THOMAS WARD, Esq. Ditto 0 18 10 ,, ,, Miss GIBB. Ratcliff Pavement 200 0 0 ,, ,, Ditto. Ditto 200 0 0 ,, ,, Ditto. Ditto 200 0 0 ,, 24th January S. FOULGER, Esq. Ditto 100 0 0 „ 17th October Executor of J. OLIVER, Esq. Wapping Pavement 500 0 0 1862. 10th April ... Rev. THOMAS BAKER. Commercial Road Debt 1,073 18 9 ,, ,, Executors of J. FLETCHER, Esq. Shad well Pavement 400 0 0 ,, ,, C. W. ORDE, Esq. Ditto 300 0 0 ,, ,, Executors of THOMAS WEST, Esq. Ditto 300 0 0 „ 21st May T. CLEGIIORN, Esq. (Assignee Ratcliff Pavement 200 0 0 Miss Palmer.) 1863. April 1st Executors of J. LOUCH, Esq. Shadwell Pavement 300 0 0 1864. December 9th Messrs. E. & P. ARMET. Ratcliff Pavement 200 0 0 ,, ,, Ditto. Ditto 200 0 0 ,, ,, Miss GIBB. Ditto 200 0 0 ,, ,, Trustees of S. FOULGER, Esq. Ditto 200 0 0. ,, ,, Ditto. Ditto 200 0 0 1865. March 22nd Trustees of II. F. JOHNSON, Esq. Commercial Road Debt 134 4 10 ,, Sept. 20th JOHN HODGSON, Esq. Ditto 824 12 7 £,8298 2 5 No. 15. RETURN OF MONI???AISED ON LOAN AT INTEREST. No. Date of Mortgage. Amount. Rate of Interest. Secured on. For what purpose Borrowed. From whom Borrowed For what Term. Repayments. 1 1857, January 7 £400 £5 Wapping General Ra??? ???or Improvements at Wapping. R. Stephenson. Three Years. The whole £400 2 1857, January 7 £400 £5 Ditto. Ditto. W. Maud. Ditto. The whole £400 3 1857, January 7 £400 £5 Ditto. Ditto. W. Walton. Ditto. None. 4 1857, September 2 £300 £5 Ditto. Ditto. R. Stephenson. Ditto. The whole £300 5 1858, September 29 £1,800 £4½ Limehouse General Rate. ???For Paving Works in Limehouse. Thos. Dinmore Fifteen Years, to be repaid by fifteen equal annual instalments. £840 6, 7, & 8 1858, October 27 £3,000 £4 Limehouse Sewer Rat ???For Sewers Work in Limehouse. General Annuity Endowment Association. Twenty Years, to be repaid by twenty equal annual instalments. £1,050 9 1857, September 21 £5,000 £4 Limehouse General Rate. ???For Paving Works in Limehouse. British Empire Life Assurance Company. Fifteen Years, to be repaid by fifteen equal annual instalments. £2,000 10 1860, September 5 £5,000 £4½ Ditto. Ditto. Ditto. Ditto. £1,666 13s. 4d. 11 1862, July 23 £7,000 £4½ General Rates of??? Limehouse District??? For Board's new Offices. Ditto. Twenty Years, to be repaid by twenty equal annual instalments. £1,050 £23,300 £7,706 13s. 4d.