46

Schedule C.—Continued.

1882.

CASH BOOK.

SHROFF.

364

$

$

Amount Received, January, Amount of Account,

39,537,13 119.70 26,592.61 130.29 2,166.51 589,30 5,295.03 252.03 39,139.73 294.88 4,004,95 1,008.48 12,945,25 1,386.17 30,918.48 891.58

90,878.68

300.65

Balance from last month,

51,341.55

180.85

Cash received during month,...

39,537.13

119.70

February,

Do.

do.,

160,569.69 4,722.43

1,722.43

78,046.96 51,454.35

240.88 60.59

165,312.12

26,592.61

180.29

March.

Do.

do.,

73,438.22

767.23

71,281.71

177.93

2,156.51

589.30

April,

Do.

do.

71,634.85

458.20

i

66,839,82

206.17

5,295,03

252,03

May,

Do.

do..

105,218.57

66,078.84

473.58 178.70

39,139.73

294.88

Bulances.

Jane,

Do.

do.,

65,008.43

1,012.25

51,341.55 180.85

61,003.48

3.77

51,154.35

71,281.71

60,59 $77.93

66,339.82

206,17 €6,078.84 178.70 61,003.18 3.77 58,480.97 75.58 63.612.25 162.45

4,004.95

1,008.48

July,

Do.

do.,

71,426.22

1,461.75

58,480.97

75.58

489,592.97 1,046.04 €1,199.12 180.70

12,945,25

1,386.17

August,

Do.

30.,

94,530.73 63,612,25

1,054.03 162.45

30,918.48

891.58

Schedule D.

Fees received by the Registrar of Companies under The Companies Ordinances,

1865,

.$1,038.60

Brought forward................................ $6,022.66

1866,

743.00

1874,

217.24

1867,

308.56

1875,

138.00

1868,

358.00

1876,

66.00

1869,

129.00

1877,

546.00

1870,

1,826.00

1878,

583.50

1871,

601.50

1879,

96.00

1872,

533.00

1880,

890.00

1873,

395.00

1881,

873.50

$6,022.66

(17) $9,432.90

$554.88

In 1882 up to 31st August, the fees received have been $297, and to 30th September, $309.

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