Research

Scope and Content Note

This series consists of semi-annual reports on monies paid to the Clerk that were still in the custody of the court at the end of the reporting period. Revised Statutes of 1829 required the Clerks to file these reports with the Register on the first Tuesdays in January and in July.

Each entry in the report was required to contain the title of the cause in or an account for which money was paid, the date the money was paid, for what purpose the money was paid, and bank in which the money was deposited. Most reports contain this information for money still in the court's custody at the time the report was filed. Several reports, however, reproduce the Clerk's entire account of monies received and paid out by the court during the reporting period as well as the information required. Pursuant to the Revised Statues, all reports also contain a statement by the cashier of the bank in which deposits were made that the total amount stated to be deposited was actually in the bank, that it is placed to the credit of the Clerk, and that it is not mingled with other accounts. This series is incomplete, with the reports of many of the circuits missing for any given reporting period.