Relación de las operaciones de la caja de la Tesorería del Distrito, del 13 al 26 de Marzo de 1878
Fecha
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 operations of the District Treasury from March 13 to 26, 1878. The document provides a detailed report of the income and expenditure of the treasury, specifying the person or beneficiary entity and the amount assigned for each purpose. The previous balance is mentioned, as well as the income generated from fines, leases, licenses and the market place. Expenditures include payments for guards, the police section and advances. It is noted that as of the 15th, no expenses are recorded. It shows a comparison between the days in which there were both income and expenses, which allows calculating the cash stock. This process is repeated throughout the aforementioned days, providing a view of the financial transactions carried out during that period. News published in the Municipal Registry. April 1, 1878.
