Annual Report 1897

Annual Report 1897

Sample of the Information contained in the Annual Report for the Year 1897

Report of Town Officers
FOR THE YEAR ENDING FEB. 15, 1897
ABSTRACT OF RECEIPTS AND DISBURSEMENTS

RECEIPTS

Cash on hand Feb. 15, 1896 . $1,5133.68
Total receipts during year .       10,681.63
—————- $12,215.31
DISBURSEMENTS

Total disbursements .                    $10,812 68
Cash on hand Feb. 15, 1897 .           1,402 63
—————- $12,215.31

DEBT

Liabilities Feb. 15, 1986 .                      $6,246.51
Assets Feb. 15, 1891 .                                5,499 25
——————
Balance debt of Town Feb. 15,      1896 $747.26
Assets Feb. 15, 1897 .                              $5,241.31
Liabilities, Feb. 15, 1897 .                        5,241 41
Balance in favor of town .                  —————- $148 90