Identificatie
referentie code
Titel
Datum(s)
- c.1922 (Vervaardig)
Beschrijvingsniveau
Omvang en medium
1 p.; manuscript
Context
Naam van de archiefvormer
archiefbewaarplaats
Geschiedenis van het archief
Directe bron van verwerving of overbrenging
Inhoud en structuur
Bereik en inhoud
Financial statement and extract from an annual report detailing the ‘Church Building Fund’, balancing receipts against construction expenses. Under ‘Receipts’, major income sources include cash from Cahill's estate ($1,200), general subscriptions ($2,401), a contribution from the Extension Society ($500), funds from Friends of Capuchin Order ($100), and a 9-month loan ($1,000). The ‘Expenses’ section lists construction and utility costs, including excavation ($122.90), a major payment to contractor T. P. Ware ($5,036.20), electric works ($134.86), preliminary heating work ($56.70), plumbing ($59.51), painting ($34.10), and a heating plant ($500.00). Additional notes at the bottom mention individual donations from Mr. Kelleher ($250) and Mr. Marsh ($100), concluding with a noted present debt of $7,250.
