"A." TREASURER'S REPORT. ALBANY, January 7th, 1873. GENTLEMEN.- I herewith submit a statement in detail of the receipts and disbursements on account of the New Capitol from the 31st day of December, 1871, to the first day of January, 1873. Vouchers for all expenditures, in compliance with the law relating thereto, have been filed with the Comptroller. Respectfully yours, W. A. RICE, Treasurer. TREASURER OF THE NEW CAPITOL COMMISSIONERS IN ACCOUNT 1872. Jan. 1. Balance cash on hand.... 6. Cash from National Commercial Bank, street.... 18. Cash from Albany City National Bank, Feb. 28. Cash from State Treasury $3,718 76 20,000 00 300 00 25,000 00 25,000 00 Brought forward Bill. Mar. 28. V-John Bridgford, superintendent, services three months, to April 1, April 1. W-S. H. Sweet, engineer and inspector, services for March..... 1. X-Thomas Fuller, architect, services $69,163 57 1,250 00 291 66 833 33 166 66 13 13 100 88 ..... 93 25 ..... 15. D-J. W. Osborne & Martin, slate... 15. I-Joseph McCann, gas fixtures.. 15. M-W. L. Warren, stove, pipe, etc... 46 50 180 00 · 97 15 11 50 16 00 103 03 24 95 17 50 337 60 Carried forward..... $93,993 00 |