✨ Continuation of Financial Statement
THE NEW ZEALAND GAZETTE.
ACCOUNT, for the QUARTER ended 27th MARCH, 1875-continued.
EXPENDITURE.
£ s. d.
£ s. d.
£ s. d.
Special Funds-continued.
RAILWAYS OPEN FOR TRAFFIC,-
Working Expenses and Maintenance of Lines,-
Auckland to Mercer ... ... ... ... 510 18 5
Napier to Waipukurau ... ... ... ... 2 13 10
Manawatu to Foxton ... ... ... ... 69 1 8
Wellington to Masterton ... ... ... ...
General Account ... ... ... ... ... ...
Total Disbursements ... ... ... ... ... 582 13 11
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... 8,115 3 1
Advances to be accounted for (as above) ... ... 582 13 11
"WELLINGTON DEBTS ACT, 1872," REDEMPTION ACCOUNT,-
Amount invested on security of Debentures of Immigration and
Public Works Loan at 5 per cent. ... ... ... ...
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... ...
"WELLINGTON RECLAIMED LAND ACT, 1871,"-
Disbursements, nil.
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... ...
"NORTH OTAGO DISTRICT PUBLIC WORKS LOAN ACT, 1872,"-
Payment to Provincial Account, Otago ... ... 2,000 0 0
Interest on Debentures ... ... ... ... ... 64 10 6
Total Disbursements ... ... ... ... ... ...
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... ...
Advances.
Public Buildings ... ... ... ... ... 2,292 4 6
Lighthouses ... ... ... ... ... ... 5 14 8
Telegraph Extension ... ... ... ... ... 35 6 10
Unauthorized ... ... ... ... ... ... ...
Payments to Road Boards ... ... ... ... ...
Charges and Expenses of Raising Loan ... ... ...
Transfers to Immigration and Public Works Loan-
Interest and Sinking Fund, paid in 1871-72 and 1872-73 ...
On account of Road Board Grant of £100,000 in 1871-72 ...
Total Disbursements ... ... ... ... ... £2,333 6 0
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... ... 18,553 8 9
Advances to be accounted for (as above) ... ... 2,333 6 0
"WESTLAND LOAN ACT, 1873," REDEMPTION ACCOUNT,-
Disbursements, nil.
Balance on 27th March, 1875,-
Cash in the Public Account ... ... ... ... ...
283
Advances.
2,838 9 9
861 15 4
176 1 1
1,659 11 6
850 2 8
6,386 0 4
8,697 17 0
£15,083 17 4
14,453 0 0
67 2 1
£14,520 2 1
£1,631 10 11
2,064 10 6
8,850 15 9
£10,915 6 3
14,183 12 9
705 2 2
...
595 0 8
25,522 4 8
275 13 6
143,500 0 0
76,500 0 0
261,281 13 9
20,886 14 9
£282,168 8 6
£113 0 0
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✨ LLM interpretation of page content
💰
Continuation of Statement of Public Receipts and Expenditure for Quarter ended March 27, 1875
(continued from previous page)
💰 Finance & Revenue27 March 1875
Quarterly accounts, Expenditure, Special Funds, Loan Redemption, Balances, Railways
NZ Gazette 1875, No 23