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Ireland. Dept. of Finance
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Ireland. Dept. of Finance
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Ireland. Dept. of Finance
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Orange folder with inscription "I.B. Vouchers for Payments out of Munster and Leinster Bank A/C",
1922.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922.
Notes
Originally contained receipts for cheque payments, re...
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Folder "2B. Vouchers for payments out of Bank of Ireland Account",
1922 March 6 - 1923 August 21.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 March 6 - 1923 August 21.
Notes
Physical description: 1 folder (6 items).
Call Number:
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Receipts for payments from the Department of Finance to ministers of the Provisional Government,
1922 March 27- 1922 May 12.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 March 27- 1922 May 12.
Notes
Physical description: 1 item (4 pages).
Call Number:
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Statements of the account of the Irish Exchequer at the Bank of Ireland, signed by G.R. Deverell, Accountant General, and E.C. Buckley, Deputy Accountant General,
1922 December 1-30.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 December 1-30.
Notes
Physical description: 1 item (26 pages).
Call Number:
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Folder "Central Fund Services 1923-1924. Requistions for Credit",
1923 April 10-1924 March 22.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1923 April 10-1924 March 22.
Notes
Manuscript. Physical description: 1 folder (24 items...
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Folder "C. & A.G. [Comptroller and Auditor-General] Exchequer R.O.'s",
1922 March 31-1923 March 31.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 March 31-1923 March 31.
Notes
Manuscript. Physical description: 1 folder (3 items)...
Call Number:
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Volume "No. 10. Secretariat, Petty Cash Book",
1922 Jan. 30 - March 31 & 1926 Jan. 20.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 Jan. 30 - March 31 & 1926 Jan. 20.
Notes
Physical description: 1 volume (21 pages).
Call Number:
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Letter from the manager of Munster and Leinster Bank, 29th July 1924, regarding the return of two books of unstamped cheques, with cheque book (Nos. 1-98 : February 28 - May 12 1922) enclosed,
1922 February 28 - May 12 & 1924 July 29.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 February 28 - May 12 & 1924 July 29.
Notes
Originally contained in folder with inscription "I.B....
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Typescript receipt from Joseph O'Reilly, Department of Finance, to the Provisional Government of Ireland, acknowledging payment of petty cash,
1922 February 18.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 February 18.
Notes
Henry Murray signs his name as "H. Ó Muireádhaigh". P...
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Typescript applications from the Department of Finance to Bank of Ireland regarding supply services,
1922 September 7-30.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 September 7-30.
Notes
Includes statement showing amounts transferred form t...
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Typescript accounts of expenditure by the Provisional Government,
1925 May 25.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1925 May 25.
Notes
Physical description: 1 item (5 pages).
Call Number:
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Accounts of expenditure for salaries of the employees of the Provisional Government for 1922 January-1923 March 1923,
1923.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1923.
Notes
Physical description: 1 item (12 pages).
Call Number:
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Supply Services: Issues from Exchequer regarding Order of Issues, 139,
1923 December 31.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1923 December 31.
Notes
Includes a schedule of accounts for the previous mont...
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Letter from William O'Brien, Secretary, Ministry of Finance, to Darrell Figgis, regarding payment of expenses for the Constitution Committee and outlining the conditions for the payment,
1922 June 14.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 June 14.
Notes
Physical description: 1 item (1 page).
Call Number:
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Original folder titled "C. & A.G. [Comptroller and Auditor-General] / Loans from Exchequer - Conducted Fund Services / Application from Ministry of Finance to Bank",
[1922].
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
[1922].
Notes
Physical description: 1 item (envelope).
Contributors:
“
...
Ireland
.
Dept
. of
Finance
...
”
Call Number:
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Requisition for credit forms No. 18 to 32 sent to the Comptroller and Auditor General [George McGrath] from the Consolidated Fund Services, signed by W. T. Cosgrave, Minister of Finance,
1922 Oct. 3 - Dec. 4.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 Oct. 3 - Dec. 4.
Notes
Physical description: 1 item (14 pages).
Call Number:
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Supply Services: Issues from Exchequer regarding Order for Issues, 65,
1923 July 31.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1923 July 31.
Notes
Includes a schedule of accounts for the previous mont...
Call Number:
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Petty Cash receipts and related correspondence,
1922 Mar. 1 - 30.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922 Mar. 1 - 30.
Notes
Physical description: 18 items.
Call Number:
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Typescript accounts of expenditure by the Provisional Government,
1925 May 25.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1925 May 25.
Notes
Physical description: 1 item (5 pages).
Call Number:
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Draft notes from the [Department of Finance] for the accounts of expenditure of the Provisional Government,
1922.
Manuscript
Main Creator:
Ireland
.
Dept
. of
Finance
Language:
English
Format:
Manuscript
In collection:
Accounts of the Provisional Government of Ireland, 1921-1926
Published / Created
1922.
Notes
Physical description: 1 item (8 pages).
Call Number:
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