Provincial Financial Statements




SCHEDULES C AND D OF APPROPRIATION ORDINANCE, 1870—LOAN ACCOUNT.

RECEIPTS.

£ s. d.
Balance brought forward from June 30, 1871 27,952 1 3

PAYMENTS.

SCHEDULE C.

£ s. d.
Northern Railway 12,651 15 5
Rolleston and Southbridge do. 721 5 0
Rakaia Bridge 1,573 14 7
Lyttelton Harbour Works 676 14 0
Tunnel Work 776 0 10
Road Steamer and Appointments 311 0 4
Timaru Water Supply 200 0 0
Completion of Opihi Bridge 500 0 0
Contingencies 107 2 1
17,317 12 3

SCHEDULE D.

£ s. d.
Railway—Selwyn to Rakaia 42 16 0

| Balance carried down | 10,591 13 0 |
| | £27,952 1 3 |


JOHN MARSHMAN, Provincial Treasurer.

Provincial Treasury, Christchurch, 2nd October, 1871.

I have examined the above Accounts, and compared the several items with the vouchers, and find the same to be correct.

J. OLLIVIER, Provincial Auditor.

4th October, 1871.


RAILWAY RENEWAL FUND.

RECEIPTS.

£ s. d.
Interest on Bank Deposits 0 2 6
Balance brought forward from June 30, 1871 4,649 16 8
£4,649 19 2

PAYMENTS.

£ s. d.
Nil ...
Balance carried down 4,649 19 2

JOHN MARSHMAN, Provincial Treasurer.

Provincial Treasury, Christchurch, 2nd October, 1871.

Examined.

4th October, 1871.

J. OLLIVIER, Provincial Auditor.



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Online Sources for this page:

VUW Te Waharoa PDF Canterbury Provincial Gazette 1871, No 44





✨ LLM interpretation of page content

🏘️ Provincial Treasurer's Financial Statement (continued from previous page)

🏘️ Provincial & Local Government
2 October 1871
Financial Statement, Receipts, Expenditure, Canterbury Province, Road Boards
  • John Marshman, Provincial Treasurer
  • J. Ollivier, Provincial Auditor

🏘️ Railway Renewal Fund Statement

🏘️ Provincial & Local Government
2 October 1871
Railway Renewal Fund, Financial Statement, Receipts, Payments
  • John Marshman, Provincial Treasurer
  • J. Ollivier, Provincial Auditor