Operaciones de caja correspondientes a Agosto de 1891
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The image contains news about the cash operations corresponding to August 1891 in the Municipal Treasury. The initial existence of 16,675 increased due to income from multiple sources, such as direct taxes, rentals of stalls in the market square and the University Hotel, as well as from shops and other concepts such as public slaughterhouse, storage fees, cemeteries, fines and house plan leases. These income, added to the previous existence, totaled 21,578 pesos. However, expenses corresponding to payments made by the police department, Treasury, cement, miscellaneous expenses, charities and rewards reduced the available balance to 19,933, at the end of the period from August 1 to 20. During the remaining days of the month, from August 21 to 31, 1891, financial movements continued to be recorded, resulting in a final balance of 17,227. News published in the Municipal Registry. October 1, 1891.
