✨ Financial Statements
MAY 11. THE NEW ZEALAND GAZETTE. 953
FUND for the Year ended 31st MARCH, 1900, compared with the Financial Year ended 31st MARCH, 1899.
ACCOUNT.
| 1898-99. | EXPENDITURE. | 1899-1900. |
|---|---|---|
| £ s. d. | £ s. d. | |
| 26,775 11 0 | Permanent Appropriations,— | 24,640 17 5 |
| 1,767,467 15 7 | Civil List.. | 1,749,393 12 4 |
| 208,258 16 7 | Interest and Sinking Fund.. | 198,204 9 4 |
| 72,640 4 3 | Under Special Acts of the Legislature | 68,763 14 1 |
| Subsidies paid to Local Bodies | ||
| 37,775 12 0 | Amounts paid over to Local Bodies and to Deposit Accounts in respect of Payments under the Land Acts | 34,309 5 11 |
| Endowments— | ||
| 6,325 17 11 | New Plymouth Harbour Board | 6,193 14 10 |
| 10,462 10 7 | Greymouth Harbour Board | 16,417 19 7 |
| 29,275 1 10 | Westport Harbour Board | 30,299 13 9 |
| 3,124 1 8 | Old-age pensions | 157,094 13 4 |
| 2,162,105 11 5 | 2,285,318 0 7 | |
| 21,265 4 1 | Annual Appropriations,— | 19,441 2 8 |
| 71,290 18 2 | Class I.—Legislative | 92,042 11 8 |
| 43,191 14 6 | " II.—Colonial Secretary | 46,875 14 10 |
| 123,801 1 11 | " III.—Colonial Treasurer | 122,270 10 3 |
| 388,520 13 6 | " IV.—Minister of Justice | 388,580 10 3 |
| 70,568 7 3 | " V.—Postmaster-General | 78,960 2 1 |
| 30,423 14 0 | " VI.—Commissioner of Trade and Customs | 26,889 17 7 |
| " VII.—Commissioner of Stamps | ||
| 438,259 9 7 | " VIII.—Minister of Education— | 436,304 0 8 |
| 57,383 9 8 | Education Department | 57,920 15 8 |
| 6,461 13 1 | Lunacy and Charitable Aid Department | 7,807 9 6 |
| 16,959 2 4 | Department of Labour | 16,235 0 8 |
| 60,792 3 8 | " IX.—Minister of Mines | 68,162 13 6 |
| 968,917 0 3 | " X.—Minister for Agriculture | 1,039,266 16 9 |
| 40,945 18 7 | " XI.—Working Railways | 41,482 4 5 |
| 98,618 11 9 | " XII.—Minister for Public Works | 142,160 7 2 |
| 114,193 17 8 | " XIII.—Defence Department | 116,207 2 8 |
| 114,280 12 11 | " XIV.—Police Department | 121,916 3 3 |
| 26,720 12 9 | " XV.—Minister of Lands | 20,578 11 5 |
| 628 14 7 | " XVI.—Valuation Department | 520 4 10 |
| 3,182 8 11 | " XVII.—Rates on Crown Lands | 11,187 13 8 |
| Services not provided for | ||
| 2,696,405 9 2 | 2,854,809 13 6 | |
| 425,000 0 0 | Amount transferred to the Public Works Fund in terms of section 17 of “The Appropriation Act, 1899” | |
| 450,000 0 0 | ||
| 61,742 0 0 | Debentures redeemed,— | |
| “Consolidated Stock Act, 1884” (Colonial Issue) | ||
| 2,146 0 0 | Released Sinking Funds transferred to Deposit Suspense Account | |
| 100,000 0 0 | Repayment of advance made on security of Short-dated Debenture No. 5, issued under the Aid to Public Works and Land Settlements Acts 1896 and 1897 | |
| 801,799 17 6 | Balance at end of Year,— | 579,365 9 7 |
| Cash in the Public Account | ||
| 18,204 9 5 | Advances in the hands of Officers of the Government,— | |
| 44,380 7 7 | In the Colony | £44,193 14 6 |
| 376 14 6 | In London | 25,846 10 2 |
| On account of Imperial Pensions | 446 0 3 | |
| 341,100 0 0 | Investment Account | 69,986 4 11 |
| 656,000 0 0 | ||
| 1,205,861 9 0 | 1,305,351 14 6 | |
| 710,000 0 0 | Less Treasury Bills outstanding | 700,000 0 0 |
| 495,861 9 0 | 605,351 14 6 | |
| £5,943,260 9 7 | Totals | £6,195,479 8 7 |
ACCOUNT.
| 320,000 0 0 | Treasury Bills paid off during Year | 210,000 0 0 |
| 1,190,000 0 0 | Treasury Bills renewed during Year | 730,000 0 0 |
| 1,510,000 0 0 | | 940,000 0 0 |
| 234,000 0 0 | Treasury Bills outstanding at end of Year,— | 224,000 0 0 |
| 476,000 0 0 | In anticipation of Revenue | 476,000 0 0 |
| 710,000 0 0 | In redemption of Guaranteed Debentures | 700,000 0 0 |
| | | |
| £2,220,000 0 0 | Totals | £1,640,000 0 0 |
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✨ LLM interpretation of page content
💰 Statement of Receipts and Expenditure for Consolidated Revenue for Years 1898-99 and 1899-1900
💰 Finance & RevenueConsolidated Revenue, Receipts, Expenditure, Treasury Bills, Financial Year, Public Accounts
NZ Gazette 1900, No 42