290
REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT OF MARYLAND PENITENTIARY.
Showing Profit and Loss of the Maryland Penitentiary for the Ten Months
Ended on September 30th, 1916.
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By> hires of prisoners ..........................
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$136,145 34
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rent of buildings ............................
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1,233 33
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electric current ............................
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850 78
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maintenance of U. S. prisoners ..............
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11,768 00
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commissary ................................
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1,044 55
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interest on bank balances ..................
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173 41
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$151,215 41
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To clothing ....................................
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$8,423 89
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" fuel .......................................
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9,629 46
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" furniture, fixtures, etc. ....................
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783 61
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" general expenses ...........................
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8,713 95
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" hospital supplies ...........................
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1,062 73
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" insurance .................................
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66 99
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" mechanical department, supplies .............
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940 13
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" printing and stationery .....................
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740 31
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" [see image for text] discharged, gratuities .....
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293 12
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" [see image for text]................................
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37,807 62
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" repair improvments
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13,199 51
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" salaries of officers .........................
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58,601 93
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" water rent' ................................
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1,202 48
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" surplus (returned to State Treasury) .......
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9,749 68
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$151,215 41
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