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Papers of Father Mathew Temperance Halls
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Draft letter to Walter Glynn Doolin

Draft letter to Walter Glynn Doolin, engineer, drawing attention to the ‘many defects’ in Father Mathew Hall which must be rectified without delay. The defects mainly relate to poor drainage facilities.

Draft Resolution

Draft resolution forwarded by Fr. Angelus Healy OSFC, Vice-President, Father Mathew Hall. Fr. Angelus suggest that the resolution ‘asks two things … first to endorse the work of the Irish Temperance Association and secondly to appeal for further financial support to enable the Hall Committee to extend their temperance propaganda’. The resolution refers to efforts to curtail the sale of alcohol on Sundays. The report notes that ‘we have Sunday drinking not in the interest of the public but in the interest of the publican’.

Healy, Angelus, 1875-1953, Capuchin priest

Dublin Drama Festival Rules

Rules of the Dublin Drama Festival held under auspices of the Father Mathew Hall, Church Street. The competition is confined to amateur drama groups, and players must be bona fide members of the group they are playing with. The winners qualified for the All-Ireland Drama Festival.

Entertainments

The sub-series contains records relating to various forms of entertainment performed at Father Mathew Hall, Church Street, Dublin. These included exhibitions, concerts, comedic sketches, dramatic plays and until the late 1960s an annual Christmas pantomime. The records also refer to the dancing, choral and orchestra classes which were routinely held in the Hall.

Expenditure Account Book

Account book of the Sacred Heart Sodality attached to Father Mathew Hall, Church Street. Details are provided in relation to routine expenses such as postage, stationary and repair work on the Hall. The journal appears to have used later as a register book for members, and as a sales book for a film screening in the Hall.

Expenditure and Receipt Book

Expenses and receipt book for Father Mathew Hall, Church Street. The entries are recorded under date, details and totals of expenses and receipts. Most of the expenditure relates to services and utilities such as rent, electricity, salaries and repairs. An annotation on the first page reads ‘Continuation from old ledger’ (see CA HA/1/3/12).

Expenditure and Receipt Book

Expenditure and receipt book for Father Mathew Hall, Church Street. The inside cover is annotated with a ‘History of Fr. Mathew Hall – copied from the other ledger (1881-1926)’. The history reads: ‘1891: Hall in Church St. formally opened up by Archbishop Walsh. Fr. Columbus Maher OSFC (President)’. The history chronicles extensions, leases and other financial matters concerning the Hall property. The remainder of the volume is made up of expenditure and receipt accounts from Sept. 1934-Sept. 1937. Expenditure is listed under the headings of details, cash and cheques. Receipts are listed under details, cash, total and lodgements. The entries include figures for rents (to the Merchant Tailors), rates (to Dublin Corporation) and the sales of tickets for pantomimes and for various badges, medals, certificates and other paraphernalia.

Expenditure and Receipt Book

Expenditure and receipt book for Father Mathew Hall, Church Street. An annotation on the front cover reads ‘Day book’. The entries are recorded under date, details and totals of expenses and receipts. Most of the expenditure relates to services and utilities such as rent, electricity, salaries and repairs. The receipts record monies mostly accruing from the showing of films, the sales of tickets and badges, and the use of the Hall for cards and billiards games.

Expenditure and Receipt Book

Expenditure and receipt book for Father Mathew Hall, Church Street. The first two pages of the volume contain a ‘History of Fr. Mathew Hall’ copied from an earlier ledger (see CA HA/1/3/8). An entry on page 6 refers to the order of the Hall Committee for the discontinuation of the showing of motion pictures (Oct. 1937). Expenditure is listed under the headings of details, cash and cheques. Receipts are listed under details, cash and lodgements. The entries for expenditure include figures for rents, rates and taxes, salaries, utilities and the purchase of various sundries. The receipts include monies accruing from the sales of tickets and the use of the billiards room.

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