Relación de las operaciones de la caja de la Tesorería del Distrito, del 1 al 15 de Enero de 1879
Fecha
Autores
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 list of cash operations of the District Treasury, from January 7 to 15, 1879. The document details the disbursements of the treasury's cash, specifying the amount of money assigned to each person or department for various purposes. The previous balance is mentioned, as well as the income generated by direct tax, market place and fines, in addition to the income from the administration of cemeteries and refunds. The expenditures cover different departments such as the legislative, government, judicial, as well as cemeteries and various treasury expenses. A total of expenses is presented, which allows the positive cash existence to be calculated. This process is repeated during the mentioned days. News published in the Municipal Registry. February 1, 1879.
