Extracto. Operaciones de caja de Mayo de 1893
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The image contains a news item about the Municipal Treasury, presenting the list of cash operations carried out from March 1 to 16, 1892 and 1893. This document details the inflows and outflows of funds during the specified period, beginning with the mention of the previous existence. Among the income, direct taxes and taxes on merchandise, rents, proceeds from cemeteries and slaughterhouse privileges, rights on raffles, on warehouses, games and uses stand out. On the other hand, the expenditure of funds destined for departments, such as the Department of the Treasury, for cemeteries, charities, miscellaneous expenses and public works are specified. The report concludes with the balance existing on the last day of the statement. News published in the Municipal Registry. May 20, 1893.
