Operaciones de caja correspondientes a Diciembre de 1892
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The image contains news about cash operations corresponding to December 1892, specifically from the 15th to the 31st of the month. The municipal treasury reports a previous existence of $19,961. Income for the period comes from various sources, including direct tax, rentals of shops and stalls in the market place, as well as warehouse fees, cemeteries, fines, taxes on games, foreign merchandise, exploitation and rental of house plans, among others. The expenditures, for their part, are allocated to payments in the legislative, government, police, treasury, judicial, cemeteries, miscellaneous expenses, public works and charity departments. In addition, the extract of the first 20 days of the month of January 1892 is presented, and a final existing balance of $19,207 pesos is revealed. News published in the Municipal Registry. February 10, 1892.
