Documents of the Senate of the State of New York, Volume 9, Issues 12-18E. Croswell, 1904 - New York (State) |
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Results 1-5 of 67
Page 6
... 00 Total .. Paid out $ 26,718 62 26,350 08 Balance on hand in bank .. $ 368 54 Appropriation made to September 30 , 1903 . · $ 27,000 00 Received from Comptroller .. 26,700 00 Amount due $ 300 00 Increase of balance over report of 1902 ...
... 00 Total .. Paid out $ 26,718 62 26,350 08 Balance on hand in bank .. $ 368 54 Appropriation made to September 30 , 1903 . · $ 27,000 00 Received from Comptroller .. 26,700 00 Amount due $ 300 00 Increase of balance over report of 1902 ...
Page 10
... 00 $ 26,430 08 Maintenance fund appropriated .. $ 27,000 00 Received from State ... 26,700 00 Balance $ 300 00 Increase of balance in bank over report of 1902 ... 349 92 Total saved of appropriation .. $ 649 92 Donations received from ...
... 00 $ 26,430 08 Maintenance fund appropriated .. $ 27,000 00 Received from State ... 26,700 00 Balance $ 300 00 Increase of balance in bank over report of 1902 ... 349 92 Total saved of appropriation .. $ 649 92 Donations received from ...
Page
... Total assets 33,600 00 17,000 00 $ 158,880 00 · $ 1,074 15 2,470 00 1,000 00 $ 163,424 15 IV . Its liabilities consist of : A 5 % promissory note discounted at the Marine Bank , September 27 , 1898 , endorsed by T. Guilford Smith ...
... Total assets 33,600 00 17,000 00 $ 158,880 00 · $ 1,074 15 2,470 00 1,000 00 $ 163,424 15 IV . Its liabilities consist of : A 5 % promissory note discounted at the Marine Bank , September 27 , 1898 , endorsed by T. Guilford Smith ...
Page 9
... 00 $ 1,943 00 $ 5.00 • • 1,800 00 750 00 Chapter 434 , Laws of 1902 . ' AA ' Conduit and manholes . · November 1 ... Totals for three months ending December 21 , 1902 , as shown by supplemental report of 1902 $ 11 74 92 44 Total for year ...
... 00 $ 1,943 00 $ 5.00 • • 1,800 00 750 00 Chapter 434 , Laws of 1902 . ' AA ' Conduit and manholes . · November 1 ... Totals for three months ending December 21 , 1902 , as shown by supplemental report of 1902 $ 11 74 92 44 Total for year ...
Page 10
... 00 47 49 21 05 29 52 213 35 1 66 69 64 816 81 30 00 • 44 64 431 91 2,000 00 1,568 18 10 50 $ 1,568 18 25 00 25 00 ... Totals for three months ending December 31 , 1902 , as shown by supplemental report for 1902 Totals for year ending ...
... 00 47 49 21 05 29 52 213 35 1 66 69 64 816 81 30 00 • 44 64 431 91 2,000 00 1,568 18 10 50 $ 1,568 18 25 00 25 00 ... Totals for three months ending December 31 , 1902 , as shown by supplemental report for 1902 Totals for year ending ...
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00 IO OO 00 Judgment 00 July Albany April Architect Armory articles of clothing August August 11 August 20 building C. W. Winspear cadets carbon cates Certifi chapter 307 Chapter 599 Charles Clerk Contracts and esti Cosgrave Dean & Havens December 31 draughtsman electric Elmira Reformatory ending December 31 ending September 30 engineer estimate F. E. Corwith F. L. Frost F. W. Robertson February February 26 G. L. Heins George girls Gould & Nowlen Hoffman Island Hospital Hudson Humane Society institution J. E. Ewell James John July 25 June Laws March 20 Miss months ending December November November 12 O. H. Burritt O. V. Sage October 22 office supplies plumbing priations reappropriation report for 1902 Rochester September 18 September 21 September 30 shown by supplemental stenographer street Superintendent supplemental report three months ending tion Totals for three W. B. Armstrong W. P. Spratling William York