Operaciones de caja correspondientes a Mayo de 1892
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The image contains news about the cash operations carried out in the municipal treasury, from May 1 to 20, 1892. The Extract begins by presenting the amount of the previous balance, and continues to present the income from direct tax, placed in the market square, Slaughterhouse, Cemetery and Fines, as well as what was received for the rights to the Almotacén and bullring, taxes on permitted games, and on foreign merchandise. On the other hand, it expresses the expenses conceived in that period of time, given by payments such as in the Department of the Treasury, the legislative, Judicial, cemeteries, charities and rewards, and miscellaneous expenses. After knowing all the income and expenses, a final balance or cash existence of $26,697 is known. News published in the Municipal Registry. August 16, 1892.