Third district financial statement for the month, etc.-Continued. Levees, Ten- Fourth district-financial statement for the month ending May 31, 1892. Balance unexpended July 1, 1891.. $117, 532. 16 54, 352.25 $47,989.02 bank below Red River $48, 071.25 3, 732. 10 51,803. 35 1, 363. 47 41, 562.50 42, 925, 97 8,877.38 Fourth district-financial statement for the month, etc.-Continued. 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 Chief of Engi neers. September 19, 1890. March 3, 1891 Total specific appropriations $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 Balances from former appropriations applied to works below Cairo under act of August 2, 1882, less $123.42, reverted to Treasury $272, 504.96 Same for works above Ca ro, under act of July 5, 1884.. 22, 632.53 |