Operaciones de caja correspondientes a Octubre de 1891
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The image contains news about cash operations corresponding to October 1891 in the Municipal Treasury of Bogotá. During the period from October 21 to 31, and with an initial existence of 25,995 pesos, the income for the period was mainly generated by rentals of stores in the market square, income from cemeteries, fines and others, reaching a total of 29,393 pesos . The expenditures, for their part, were allocated to the legislative department, government, police, treasury, judicial department, miscellaneous expenses, public works and charity department, adding up to a total of 8,235 pesos. This resulted in a final available balance of 21,155 pesos at the end of October. In addition, a preliminary statement is provided from the first days of November until the 30th, revealing a balance of 16,716 pesos. News published in the Municipal Registry. December 18, 1891.
