Financial Statement




SUMMARY

OF RECEIPTS AND EXPENDITURE FOR THE QUARTER ENDING JUNE 30, 1871.

DATE RECEIPTS £ s. d.
1871.
April 1 Balance brought forward from March 31, 1871, viz.:
At credit of Schedule A ...
Schedule B ...
Schedule C ...
Railway Renewal Fund ...
70,299 6 6
Schedule A—Ordinary Revenue ...
June 30 Schedule B—Land and Works Revenue ...
Railway Renewal Fund—Interest ...
63,244 10 1
£185,543 16 7
DATE PAYMENTS £ s. d.
1871.
June 30 Schedule A—Ordinary Expenditure ...
Schedule B—Land and Works Expenditure ...
Schedule C—Loan Account ...
55,391 18 6
Balance carried down, viz.:
At credit of Schedule A ...
Schedule B ...
Schedule C ...
Railway Renewal Fund ...
80,151 18 1
£135,543 16 7

JOHN MARSHMAN, Provincial Treasurer.

J. OLLIVIER, Provincial Auditor.




Online Sources for this page:

VUW Te Waharoa PDF Canterbury Provincial Gazette 1871, No 29





✨ LLM interpretation of page content

💰 Summary of Receipts and Expenditure for the Quarter Ending June 30, 1871 (continued from previous page)

💰 Finance & Revenue
Financial Statement, Receipts, Expenditure, Quarterly Report
  • JOHN MARSHMAN, Provincial Treasurer
  • J. OLLIVIER, Provincial Auditor