Operaciones de caja correspondientes a Junio de 1892
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The image contains a news item about the extracts from the cash operations corresponding to June 1892, from June 21 to July 31. At the beginning of the period, a previous cash balance of $35,017 is reported. During this period, income was generated mainly by rentals of shops and stalls in the market place, as well as the rental of house plans, income from cemeteries and fines. The second extract details income from direct taxes, the rental of premises in the Municipal Palace, the slaughterhouse, grocery store, games and merchandise. The expenditures, on the other hand, were allocated to various departments including the legislative, government, police, Treasury, judicial, miscellaneous expenses and others. After calculating the statements, an existing balance as of July 31, 1892 of $24,487 was obtained. News published in the Municipal Registry. August 22, 1892.