SOUTH ST. PANCRAS COMMITTEE.] RECEIPTS AND PAYMENTS. RECEIPTS. For the year ending September 30th, 1884. To Balance in hand and at Bankers, as per last Account PAYMENTS. By Balance due to Hon. Secretary, as per last Account. Rent 99 Fuel, Lighting, Cleaning, &c. . Salaries to Enquiry Agent, Clerk, and Housekeeper 152 Collector's Poundage Stationery and Printing Postage £332 3 1 Relief money paid into Bank direct. Brand for stamping sewing machines Salary to Secretary. d 32 1 19 0 5 4 6 37 10 03000060 325 18 1 650 £332 3 1 SOUTH ST. PANCRAS COMMITTEE.] GENERAL RELIEF ACCOUNT. Cash Statement for the year ending September 30th, 1884. PAYMENTS. £ s. d. By Balance due to Hon. Secretary, as per last account. 5 11 7 6 6 556 17 5 3 15 0 9 6 1 10 0 £582 3 2 14 1 Cash in hand received for future outlay on certain Special Cases 33 7 6 1 4 6 Balance Sheet for the year ending September 30th, 1884. RECEIPTS. To Funds available for Loans, as per last account WENHAM, ANGUS & Co., Auditors. £615 10 8 SOUTH ST. PANCRAS COMMITTEE.] PENSION ACCOUNT. Cash Statement for the year ending September 30th, 1884. RECEIPTS. £ S. d. To Balance in hand September 30, 1883, as per last WENHAM, ANGUS & GO., Auditors. £283 14 0 No. 6265 3115 6062 |