Relación de las operaciones de Caja de la Tesorería del Distrito del 28 de Febrero al 6 de Marzo de 1879
Fecha
Autores
Autor corporativo
Título de la revista
ISSN de la revista
Título del volumen
Editor
Compartir
Director
Altmetric
Archivos
Resumen
The image contains a news item about the Municipal Treasury, presenting the list of cash operations carried out from February 18 to March 6, 1879. This document details the inflows and outflows of funds during the specified period, beginning with the mention of the existence to date. Among the income, those from taxes, fines and the water branch stand out. On the other hand, the expenditure of funds destined to the Legislative Department, the Police Department, the Treasury Department, Public Works Department, the Government Department and various expenses are specified. The report concludes with the balance existing on the last day of the aforementioned date after comparing income and expenses. News published in the Municipal Registry. July 15, 1879.
