Provincial Treasury Financial Report




SUMMARY

OF RECEIPTS AND EXPENDITURE BY THE PROVINCIAL TREASURER, FOR THE QUARTER ENDING JUNE 30, 1872.

DATE. RECEIPTS. £ s. d. £ s. d.
1872. Balance brought forward from March
April 1 31, 1872—
At credit of Schedule A 7,813 12 10
" " B 19,952 1 9
" " C 39,127 15 1
Railway Renewal Fund 7,470 11 2
74,264 0 10
June 30 Schedule A—Ordinary Revenue 55,288 16 0
" B—Land and Works Revenue 38,685 8 10
" C—Loan Account 12,360 15 3
106,335 0 1
£180,599 0 11
DATE. PAYMENTS. £ s. d. £ s. d.
1872. Schedule A—Appropriation Ordinances, Nos. 1 and 2, Ordinary Account... 29,979 18 2
June 30 " B—Ditto, Land and Works Account ... 14,884 9 4
" C—Ditto, Loan Account 13,714 17 8
58,579 5 2
Balance carried down:—
At credit of Schedule A 33,122 10 8
" Schedule B 43,653 1 3
" Schedule C 37,773 12 8
" Railway Renewal Fund 7,470 11 2
122,019 15 9
£180,599 0 11

Provincial Treasury, Christchurch, 4th July, 1872.

J. BESWICK, Provincial Treasurer.

J. OLLIVIER, Provincial Auditor.




Online Sources for this page:

VUW Te Waharoa PDF Canterbury Provincial Gazette 1872, No 37





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💰 Summary of Provincial Treasurer's Receipts and Expenditure (continued from previous page)

💰 Finance & Revenue
4 July 1872
Provincial Treasury, Financial Report, Receipts, Expenditure, Quarterly Summary
  • J. Beswick, Provincial Treasurer
  • J. Ollivier, Provincial Auditor