Financial Statements




SCHEDULE C OF APPROPRIATION ORDINANCE—LOAN ACCOUNT.

Receipts.

£ s. d.
Balance brought forward from 31st December, 1871 46,510 16 4
Less transferred to Land and Works Account (Schedule B) Land Revenue expended in Purchase of Northern Railway Reserve 1,640 7 0
44,870 9 4

Provincial Treasury, Christchurch, 3rd April, 1872.

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

8th April, 1872.

J. OLLIVIER,
Provincial Auditor.

Payments.

£ s. d.
Northern Railway 3,155 12 9
Rakaia Bridge 803 10 0
Lyttelton Harbour Works 167 6 8
Tunnel Work 625 8 2
Rolleston and Southbridge Tramway, including Bridge 719 15 10
Rails for Sidings, &c. 235 13 3
Screw Moorings, Timaru 5 7 7
5,742 14 3
Balance carried forward 39,127 15 1
£44,870 9 4

J. BESWICK,
Provincial Treasurer.


RAILWAY RENEWAL FUND.

Receipts.

£ s. d.
Balance brought forward from December 31, 1871 4,766 11 2
Transfer from Schedule A 2,704 0 0
£7,470 11 2

Provincial Treasury, Christchurch, 3rd April, 1872.

Examined.

J. OLLIVIER,
Provincial Auditor.

April 8, 1872.

Payments.

£ s. d.
Nil ... ... ...
Balance carried forward ... ... ...
£7,470 11 2

J. BESWICK,
Provincial Treasurer.



Next Page →



Online Sources for this page:

VUW Te Waharoa PDF Canterbury Provincial Gazette 1872, No 21





✨ LLM interpretation of page content

💰 Quarterly Financial Statement for Canterbury Province (continued from previous page)

💰 Finance & Revenue
3 April 1872
Appropriation, Receipts, Payments, Provincial Treasurer, Canterbury
  • J. Ollivier, Provincial Auditor
  • J. Beswick, Provincial Treasurer