Provincial financial statement




S U M M A R Y

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

DATE. RECEIPTS. DATE. EXPENDITURE.
1873. Oct. 1. To Balance brought forward, viz.:— 1874. June 30. By Expenditure, viz.:—
At credit of Schedule A ... £26726 3 10 Schedule A, Ordinary Account ... £150563 9 7
" B £375289 5 6 Schedules B and C, Land and Works
" C £11253 12 9 Account ... ... ... 219189 17 2
... 386542 18 3 ... 369753 6 9
" of Railway Renewal Fund ... 10956 1 8
... 424225 3 9 By Balance carried forward, viz.:—
1874. June 30. To Receipts— At credit of Schedule A ... 43694 17 4
Schedule A ... ... ... 167532 3 1 " Schedules B and C ... 595257 7 4
" B and C ... ... 427904 6 3 " of Railway Renewal Fund 14995 1 8
" Railway Renewal Fund ... 4039 0 0 ... 653947 6 4
... 599475 9 4
... £1023700 13 1 ... £1023700 13 1

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

Provincial Treasury, Christchurch.




Online Sources for this page:

PDF PDF Canterbury Provincial Gazette 1874, No 47





✨ LLM interpretation of page content

🏘️ Statement of Receipts and Expenditure for the Province of Canterbury (continued from previous page)

🏘️ Provincial & Local Government
Finance, Receipts, Expenditure, Canterbury, Provincial Government, Railway Renewal Fund
  • Edwd. Jollie, Provincial Treasurer
  • J. Ollivier, Provincial Auditor