Showing 6456 results

Archival description
Irish Capuchin Archives
Advanced search options
Print preview Hierarchy View:

3003 results with digital objects Show results with digital objects

Recapture of Hugh McAteer

A clipping of an article referring to the recapture of the republican leader Hugh McAteer on the Falls Road in Belfast. The article is taken from the ‘Belfast Telegraph’ (20 November 1943).

Receipt account

Statement of monies received by members of the Father Mathew Temperance Hall Committee. The statement includes entries for monies received per Fr. Columbus Maher OSFC from street collections, the sale of various cards and other sources.

Receipt and Expenditure Account Book

Receipt and expenditure book for the Capuchins, Holy Trinity Friary, Cork. The expenditure accounts relate primarily to the purchase of groceries and sundries, the payment of salaries and utilities, rent payments, and travel expenses. Income entries include monies derived from donations, Mass stipends and dues, retreats and missions and other benefactor sources.

Receipt and Expenditure Book

Weekly receipt and expenditure book for the Capuchin friars, Holy Trinity Friary. The receipts include monies derived from mass stipends, collections and St. Anthony’s Bread offerings. Weekly totals (less salary expenses and other deductions) are provided. The first page notes that on 4 Jan. 1982 the ‘work of restoration and redesign of the Church began’, and that weekly accounts would be provided until this work is completed.

Receipt and Expenditure Book

Receipt and expenditure book for the Church Street Friary. The accounts give details of monies received by the friars and expenditure on provisions (coals, newspapers, and sundries), payments made to organists, to the ‘burial society’ and other outlays. Among the friars referred to are Fr. Bonaventure (John) Buckley OSFC (b. 1809), guardian of the Church Street Friary, Fr. Thomas David Ashe OSFC (d. 8 Nov. 1877). A note on the first page refers to the visitation of Fr. Victor of Chamonix OSFC, Commissary General of the Irish Capuchins, who found these accounts to be correct and that the balance had been placed in the hands of the bursar ‘to pay for the chalices’. The accounts are signed by Br. Augustine Dunne OSFC (d. 1860) and are dated 28 June 1856.

Receipt and Expenditure Book

Monthly receipt and expenditure book for the Capuchin community, Church Street. The pages are pre-paginated. Receipt entries relate primarily to income derived from masses, street collections and from shrines. Expenditure entries refer to specific cheque payments and items listed in cash expenditure and day books. Gilt title to spine reads ‘Ledger’.

Receipt and Expenditure Book

Receipt and expenditure book of the brothers of the Third Order fraternity attached to the Capuchin Friary, Church Street. The volume includes receipts of subscriptions received from brothers and isolated tertiaries. Expenditure entries include monthly masses, postage, preacher stipends and newsletter publications.

Receipt and Expenditure Book

Receipt and expenditure book of the Capuchin community of St. Mary of the Angels, Church Street. Most of the income entries relate to monies received from mass and vespers’ collections and chaplaincy duties. Occasional reference is also made to the building fund for St. Mary of the Angels. The expenditure accounts include entries for wages, groceries, and household goods, stationary, travel expenses, insurance payments and other sundries. A loose account by Fr. Salvator Maria Corrigan OFM Cap. (1834-1919), dated 3 Mar. 1881, is inserted into the volume. This account is extant on a printed flyer seeking contributions towards the completion of building work on St. Mary of the Angels. The flyer is illustrated. An annotation (probably by Fr. Joseph Harkins OFM Cap.) on the first page of the volume reads: ‘Book of current expenditure as per week of the Rev. Capuchin Community of Dublin’.

Receipt and Expenditure Book

Receipt and expenditure book of the Capuchin Publications Office. The accounts provide details of cash lodgements, and income accruing from advertising, sales of the 'Orange Terror' offprint, the 'Angelic Shepherd', the ‘Irish Saints’ Cards’, designed by Richard King, and from the Association Patrons of 'The Capuchin Annual'. Includes figures for expenditure in respect of salaries, postage, and payments made to John English & Co., printers. The first part of the journal includes a list of promoters (possibly for 'The Capuchin Annual') and two inserts of accounts from 1938 which are seemingly unconnected to the Publications Office.

Receipt and Expenditure Ledger

Ledger and account book for the Capuchin community at St. Mary of the Angels, Church Street. The ledger provides a daily record of income received and expenses incurred by the community. Notes are made of income derived from mass stipends, street collections, sodalities, Third Order payments and temperance publications. Reference is also made to monies received from donations, alms, bequests, and cheques. Expenses include travel tickets, staff wages, groceries, building repairs and other sundries. The entries are periodically signed by the Friary Guardian and by the Provincial Minister at Visitations
The front cover is endorsed in typescript with a list of Friary Guardians:
Fr. Bernard Jennings 1883-1886
Fr. Nicholas Murphy 1886-1893
Fr. Francis Hayes 1893-1895
Fr. Anthony Travers 1895-1898
Fr. Peter Bowe 1898-1901
Fr. Fiacre Brophy 1901-1904
Fr. Thomas Dowling 1904-1907
Fr. Laurence Dowling 1907-1910
It is also noted that Fr. Laurence began a ‘new ledger in Sept. 1907’. See CA CS/3/1/6.

Results 4981 to 4990 of 6456