Provincial financial summary




SUMMARY

Of Receipts and Expenditure, by the Provincial Treasurer, for the Quarter ending 30th June, 1874.

DATE. RECEIPTS. £ s. d. £ s. d. DATE. EXPENDITURE. £ s. d. £ s. d.
April 1. To Balance brought forward, viz.:— June 30. By Expenditure, viz.:—
At credit of Schedule A 5825 17 9 Schedule A, Ordinary Account 60994 15 2
" Schedules B and C 579513 18 6 Schedules B and C, Land and Works
" of Railway Renewal Fund 14995 1 8 Account 118004 4 8
600334 17 11 178998 19 10
To Receipts—
Schedule A 98863 14 9 By Balance carried forward, viz.:—
" B 133747 13 6 At credit of Schedule A 43694 17 4
232611 8 3 " Schedules B and C 595257 7 4
" of Railway Renewal Fund 14995 1 8
£832946 6 2 653947 6 4
£832946 6

Provincial Treasury, Christchurch, 13th July, 1874.

EDWD. JOLLIE,
Provincial Treasurer.
J. OLLIVIER,
Provincial Auditor.

Printed under the authority of the Provincial Government of the Province of Canterbury at the office of the "Press" Company Limited, Cashel street, by W. H. SMITH, Official Printer for the time being to the said Government.




Online Sources for this page:

PDF PDF Canterbury Provincial Gazette 1874, No 36





✨ LLM interpretation of page content

💰 Summary of Receipts and Expenditure for the Province of Canterbury

💰 Finance & Revenue
13 July 1874
Provincial Treasury, Receipts, Expenditure, Canterbury, Financial Statement
  • Edwd. Jollie, Provincial Treasurer
  • J. Ollivier, Provincial Auditor