Financial Statement




SUMMARY

OF RECEIPTS AND EXPENDITURE BY THE PROVINCIAL TREASURER, FOR THE QUARTER ENDING JUNE 30, 1873.

DATE. RECEIPTS. £ s. d. DATE. PAYMENTS. £ s. d.
1873, 1873,
April 1 To Balance brought forward, viz. : April 1 By Balance brought forward—
At credit of Schedule B ... 207,124 17 8 At Debit of Schedule A ... 9,373 2 2
... 30,799 12 11
... of Railway Renewal Fund ... 10,741 5 8
248,665 16 3 By Expenditure—Schedule A ... 37,777 11 0
June 30 To Receipts— ... B ... 56,724 11 8
Schedule A, Ordinary Account ... 83,170 12 4 ... C ... 9,089 17 4
... B, Land and Works Account... 182,478 13 1 103,592 0 0
... C, Loan Account ... 231 5 10 By Balance carried forward, Schedule A ... 36,019 19 2
... B ... 232,878 19 1
... C ... 21,941 1 5
... Railway Renewal Fund ... 10,741 5 8
265,880 11 3 401,581 5 4
£514,546 7 6 £514,546 7 6

Provincial Treasury, Christchurch, 4th July, 1873.

J. BESWICK, Provincial Treasurer.

J. OLLIVIER, Provincial Auditor.




Online Sources for this page:

VUW Te Waharoa PDF Canterbury Provincial Gazette 1873, No 35





✨ LLM interpretation of page content

💰 Summary of Receipts and Expenditure by the Provincial Treasurer (continued from previous page)

💰 Finance & Revenue
4 July 1873
Financial statement, Provincial Treasurer, Receipts, Expenditure, Canterbury
  • J. Beswick, Provincial Treasurer
  • J. Ollivier, Provincial Auditor