PRESIDENT. R. D. CULLEN. MANAGERS. SAMUEL NORRIS, G. W. RICHARDS, ISAAC R. Davis. TREASURER. SAMUEL BRADFORD. SECRETARY. W. H. McILHENNEY. ΤΟ THE STOCKHOLDERS OF THE PHILADELPHIA AND READING RAIL ROAD COMPANY. The Managers present the following statement of the business of the past year, and the Treasurer's general balance sheet of the affairs of the Company. TRANSPORTATION AND INCOME ACCOUNT FOR 12 MONTHS ENDING NOVEMBER 30, 1856. Receipts of the Road. Travel 282,300, equal to 106,205 through Passengers Freight on Coal, 2,088,903.03 Tons, @ 1.55 22-100 cents Running Account. Oil, 43,950 Gallons 46,037 61 Tallow, Lard, Grease, and Cotton Waste Wages of Engineers, Firemen, Conductors, and all hands 221,679 78 Tolls paid City and Norristown Rail Roads, &c. 9,762 06 Hauling Expenses on Broad Street 14,792 33 Hauling and assorting Cars at Schuyl. Haven 14,702 88 Richmond 23,363 02 do. Port Carbon 14,625 80 52,691 70 412,898 15 Wheels, Axles, and Tires, made at Iron Foun dry and Tilt-Hammer Shop Hardware, Paints and Oils, Leather, Stone, Lime and repairs of Tools. Sundries, $3,889 18, Patent Rights, $6,250 00 . 41,347 90 20,365 37 6,171 30 Pumping Water, Coal, Materials, and Horse Hire Salaries of all Officers, Agents, &c. on the Road 46,044 22 9,015 83 Contingent Expenses, Salaries, &c. in Philada. 49,952 55 |