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Opebating E xpen ses— Continued Annual Report to the S tate Public Service Commission 12 Acct. No. Title Amount for year $ 4 Comparison with preceding year $ l 781.22 Geiiei a l» la. tiuiiei y ftiid pi in ting....... . . . . . . . . . . . . . . . . . . . . . . . . . - 785.1 Employees’ welfare department--------------------------------- ------------- -------------------------- ------- 786. Franchise requirements----------- ---------------------------------------------------------------------- 787. Amortization of franchises--------------------------------------------- ----------.........................—------- - 788. Water expenses transferred—Credit............. ......................................................................................... 789. Joint operating expenses Credit----- ---------------------------- ---------------------------------------------- 790. Duplicate miscellaneous charges—Credit---------------------------------------------------------- --------- - Grand total operating expenses.
