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Father Mathew Hall, Dublin
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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.

Expenditure and Receipt Book

‘Capital Series Journal’ containing expenditure and receipt accounts. An annotation on the front cover reads: ‘Father Mathew Hall account, 1958 … continuation from Old Book’. The volume contains expenditure and receipt accounts from 1 July 1958 to 30 Aug. 1958. Typescript insert dated 12 Aug. 1958 notes lodgements to bank (debit: £2,943 3s 1d) and by cheque (credit: £2,790 9s 8d. Balance at 12 Aug. 1958: £175 10s 1d).

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. An annotation on the final page reads ‘See New Book’. (CA HA/1/3/15).

Expenditure and Receipt Ledger

Expenditure and receipt account book for Father Mathew Hall, Church Street. The volume includes entries relating to expenses incurred for advertising various feis and panto performances in the Hall. The volume also includes accounts with local suppliers including Thomas Lenehan & Co. and J. Treacy & Co. The receipts’ entries include ‘Billiard room returns’.

Father Mathew Feis Cup Book

List of cup and prize winners at the Father Mathew Feis, Church Street. The entries are listed under competitor number, the name of cup won, the date of return of the cup, and the name and address of the winner. The book contains records relating to the winners of the Pádraig Pearse Perpetual Cup, the Father Mathew Perpetual Shield, Concerto Cup, Operatic Cup, the Senior Rose Bowl and the Father McAuliffe Cup.

Father Mathew Feis ('Feis an t-Athair Maitiú') Dublin

The 'Feis Maitiú' was established in 1909 by Fr. Aloysius Travers OFM Cap., who saw the need for a festival to encourage people interested in preserving Irish culture and language. The programme for the annual Feiseanna gradually expanded to include competitions for singing, instrumental music, speech and drama, in both English and Irish. The collection consists of organizational records and promotional materials which document the activities of the Father Mathew Feis from its inception. Correspondence and financial records document the development of the Feis, while other records such as competition results, photographs, posters and fliers primarily document competition productions and performances.

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