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Third district-financial statement for the month, etc.-Continued.

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Fourth district—financial statement for the month ending May 31, 1892.

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Fourth district-financial statement for the month, etc.-Continued.

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January 19, 1884

July 5, 1884, less $5,000 transferred to snag-boat service

August 5, 1886, less $5,942.60 for expenses, office Chief of Engi

n ers

August 11, 1888, less $4,859 for expenses, office Chiet of Engi

neers

September 19, 1890.

March 3, 1891

Total specific appropriations..

Balances from former appropriations applied to works below Cairo under act of August 2, 1882, less $123.42, reverted to Treasury

Same for works above Ca ro, under act of July 5, 1884..

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$272, 504.96

22, 632.53

$1,000,000.00 4, 123, 000. 00 1, 000, 000.00 2,065, 000.00

1,994,057. 40

2,840, 141.00 3,200,000.00 1, 000, 000. 00

17, 222, 198.40

295, 137.49

17, 517, 335.89

3,357, 212.84 1, 149, 132. 93 3,020, 364.48 696, 849.82 4,690, 442. 56 3,616, 958. 08

16, 530, 960, 71

986, 375. 18

Detailed statement, March 3, 1881, to May 31, 1892. (Expended allotments.)

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Detailed statement, March 3, 1881, to May 31, 1892. (Current allotments.)

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Detailed statement, March 3, 1881, to May 31, 1892. (Current allotments)-Continued.

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List of civilian engineers employed on work of river and harbor improvements in charge of Capt. Carl F. Palfrey, Corps of Engineers, to May 31, 1892, inclusive.

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