No. 3. Statement of Receipts and Disbursements from December 1, 1870, to November 30, 1872, inclusive, of Local Funds for payment of principal and interest of Bonded Indebtedness of Counties, Townships, Cities and Towns, registered in the Auditor's Office. No. 4. General Statement of Warrants drawn on the State Treasury, from December 1, 1870, to November 30, 1872, inclusive. TO WHAT ACCOUNT CHARGED. Amount. REVENUE FUND. $55, 403 20 17,542 50 238, 661 42 10, 275 14 37,021 65 3,245 55 10, 100 00 7,500 00 20,705 68 9,850 70 832 20 14, 509 17 6, 731 23 9,948 58 2,400 00 508, 970 97 50 00 9, 277 08 575 75 79,292 74 46,125 00 36, 250 00 169,066 73 287,750 03 214, 467 50 162, 166 62 14, 000 00 9,772 62 122, 500 00 208,832 65 194, 275 41 783 95 162, 011 13 2,957 41 55, 949 32 84,785 28 3,820 05 3,678 18 4,821 13 3, 771 82 51,997 98 24, 885 94 10, 006 25 286 10 17, 118 00 12.355 24 15,748 67 18, 300 10 511 46 19, 046 37 10,706 92 28.747 56 110,289 89 793, 641 81 9.500.00 2,478 29 12,375 00 12,000 01 5,316 66 7,930 50 3,000 00 4,000 00 9.416 66 10,260 86 10,677 53 8,916 66 9,750 00 9.333 33 9, 666 65 Amount carried forward....... $4,068, 942 82 |