Operaciones de caja. Noviembre 1877
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The image contains news about the presentation made by the Treasurer to the Municipality, the fiscal situation and the state of public works in the District. Bogotá, February 15, 1878. In this report, the Treasurer presents a detailed analysis of the public finances of the District corresponding to the year 1877. The budgeted income and those actually received are highlighted, as well as the expenses incurred in various departments such as police, public works, government, finance and other essential services. The cash balance at the end of the year is recorded at 7,412.35 pesos. Additionally, a detailed breakdown of cash operations during the period from November 20 to 30, 1877 is provided, detailing day-by-day income and expenses, culminating in a final daily balance of 10,717 pesos. News published in the Municipal Registry. March 1, 1878.