Statement showing the Current Expenses paid out of
the Income of the Company, from 31st March,
1862, to 31st March, 1863
|
|
|
From 1st April 1862, |
From
1st Oct., |
Total |
|
to
1st Oct., 1862 |
1862, to 1st April, 1863
|
|
Repairs of Road |
$5,995 25 |
$20,422 57 |
$26,417 82 |
Repairs of Bridges |
235 15 |
235 15 |
470 30 |
Repairs of
Engines, Cars etc |
4,164 47 |
14,178 39 |
18,342 80 |
Train Expenses |
8,336 94 |
16,817 80 |
25,154 74 |
Depot Expenses |
9,924 97 |
22,115 61 |
32,040 58 |
Officers' Salaries |
4,645 78 |
4,669 68 |
9,315 46 |
Wood |
1,737 84 |
14,508 73 |
16,246 57 |
Current Contingent
Expenses |
1,317 74 |
1,264 26 |
2,582 00 |
Oil and Lights |
391 67 |
2,830 05 |
3,221 72 |
Newspapers,
Advertising, etc |
728 15 |
519 45 |
1,247 60 |
Cotton Waste |
62 65 |
0 |
62 65 |
Stationery |
88 32 |
78 25 |
166 57 |
Cattle Killed |
78 00 |
104 00 |
182 00 |
Lost and Damaged
Goods |
368 56 |
1,303 29 |
1,671 85 |
Insurances |
92 33 |
0 |
92 33 |
Refund Freight and
Fare |
154 24 |
1,518 09 |
1,672 33 |
Postage |
32 00 |
10 00 |
42 00 |
Bridge Expenses |
0 |
630 00 |
630 00 |
Telegraph Expenses |
0 |
332 80 |
332 80 |
Taxes |
0 |
125 90 |
125 90 |
|
$38,354 06 |
101,664 02 |
140,072 08 |
J. B.
Winston, Treasurer |
|