Consolidated Fund Accounts




Jan. 23.] THE NEW ZEALAND GAZETTE. 285

FUND for the Quarters ended 31st DECEMBER, 1907 and 1906, respectively.

ACCOUNT.

QUARTER ENDED 31ST DEC., 1906. EXPENDITURE. QUARTER ENDED 31ST DECEMBER, 1907.
£ s. d. £ s. d. £ s. d.
10,731 0 3 Permanent Appropriations,— 11,650 1 8
822,502 15 4 Civil List .. .. .. .. .. .. 874,938 14 9
46,437 6 5 Interest and Sinking Fund .. .. .. .. .. .. 93,053 7 3
24,225 16 6 Under Special Acts of the Legislature .. .. .. .. .. .. 30,998 16 2
Subsidies paid to Local Bodies .. .. .. .. .. ..
3,236 12 9 Amounts paid over to Local Bodies and to Deposit Accounts— 3,637 8 9
4,927 14 7 Payments under the Land Acts .. .. .. .. .. .. 6,876 3 1
Timber and Flax Royalties Act .. .. .. .. .. ..
1,373 11 8 Endowments— 1,409 15 11
2,214 5 8 New Plymouth Harbour Board .. .. .. .. .. .. 4,392 2 5
11,953 12 4 Greymouth Harbour Board .. .. .. .. .. .. 10,924 8 8
64,460 3 5 Westport Harbour Board .. .. .. .. .. .. 68,426 1 0
Old-age Pensions .. .. .. .. .. ..
992,062 18 11 1,106,306 19 8
9,346 8 5 Annual Appropriations,— 11,506 1 9
8,862 9 5 Class I.—Legislative Departments .. .. .. .. .. .. 11,097 18 0
160,139 13 6 ,, II.—Department of Minister of Finance .. .. .. .. .. .. 167,614 15 8
Cr. 9,478 11 1 ,, III.—Post and Telegraph Department .. .. .. .. .. ..
1,700 0 3 ,, IV.—Industries and Commerce and Tourist and Health Resorts Departments .. .. .. .. .. .. 12,793 15 5
408,102 0 8 ,, V.—Old-age Pensions Department .. .. .. .. .. .. 2,282 11 0
10,897 17 1 ,, VI.—Working Railways Department .. .. .. .. .. .. 480,919 12 10
16,579 10 11 ,, VII.—Public Buildings and Domains .. .. .. .. .. .. 9,607 7 11
7,587 6 0 ,, VIII.—Maintenance of Roads .. .. .. .. .. .. 3,983 15 7
9,072 7 1 ,, IX.—Printing and Stationery Department .. .. .. .. .. .. 16,333 5 9
6,329 18 5 ,, X.—Stamp and Deeds Department .. .. .. .. .. .. 9,677 17 3
35,777 11 6 ,, XI.—Native Department .. .. .. .. .. .. 5,103 12 4
39,421 19 10 ,, XII.—Justice Department .. .. .. .. .. .. 37,282 16 5
9,069 15 11 ,, XIII.—Police Department .. .. .. .. .. .. 38,864 2 10
99,880 17 9 ,, XIV.—Mines Department .. .. .. .. .. .. 7,502 9 5
767 1 6 ,, XV.—Department of Internal Affairs .. .. .. .. .. .. 40,901 11 8
34,259 5 7 ,, XVI.—Crown Law Department .. .. .. .. .. .. 1,109 3 8
14,332 16 6 ,, XVII.—Defence Department .. .. .. .. .. .. 39,728 5 1
13,450 14 3 ,, XVIII.—Customs Department .. .. .. .. .. .. 13,073 19 1
4,471 16 9 ,, XIX.—Marine and Harbours and Inspection of Machinery Departments .. .. .. .. .. .. 21,693 3 0
43,387 3 9 ,, XX.—Department of Labour .. .. .. .. .. .. 8,866 19 11
34,514 7 0 ,, XXI.—Department of Lands and Survey .. .. .. .. .. .. 46,505 13 3
7,415 19 5 ,, XXII.—Department of Agriculture .. .. .. .. .. .. 31,888 18 3
207,750 5 8 ,, XXIII.—Valuation Department .. .. .. .. .. .. 8,299 5 11
7,678 16 0 ,, XXIV.—Education Department .. .. .. .. .. .. 193,932 6 4
25,738 17 6 ,, XXV.—Public Health Department .. .. .. .. .. .. 6,495 3 1
1,158 7 3 ,, XXVI.—Mental Hospitals and Charitable Department .. .. .. .. .. .. 23,594 18 0
Services not provided for .. .. .. .. .. .. 1,416 10 2
1,208,214 16 10 1,252,075 19 7
18,262 11 1 Less expenditure charged to “Unauthorised” during previous Quarters, now transferred to the respective Appropriations .. .. .. .. .. .. 5,606 4 2
1,189,952 5 9 1,246,469 15 5
Debentures redeemed,—
“The Consolidated Stock Act, 1884”—
Debentures matured 31st December, 1907 .. .. .. .. .. .. 124,000 0 0
Debentures renewed,—
“The Consolidated Stock Act, 1884”—
Debentures matured 31st December, 1907, renewed as per contra .. .. .. .. .. .. 385,500 0 0
Revenue transferred to Public Works Fund .. .. .. .. .. .. 100,000 0 0
510,496 7 6 Balance at end of Quarter,— 618,954 19 3
599,268 2 11 Cash in the Public Account .. .. .. .. .. .. 530,407 19 1
161,505 10 11 Advances in the hands of Officers of the Government— 154,709 1 9
3,840 4 1 In the Dominion .. .. .. .. .. .. 4,104 15 4
In London .. .. .. .. .. .. 189 3 4
On account of other Governments .. .. .. .. .. ..
On account of Imperial Pensions.. .. .. .. .. ..
1,275,110 5 5 1,308,365 18 9
700,000 0 0 Less Treasury Bills outstanding .. .. .. .. .. .. 550,000 0 0
575,110 5 5 758,365 18 9
£2,757,125 10 1 Totals .. .. .. .. .. .. £3,720,642 18 10

ACCOUNT.

| 700,000 0 0 | Treasury Bills redeemed during Quarter .. .. .. .. .. .. | 550,000 0 0 |
| 700,000 0 0 | Treasury Bills outstanding at end of Quarter .. .. .. .. .. .. | 550,000 0 0 |
| £1,400,000 0 0 | Totals .. .. .. .. .. .. | £1,100,000 0 0 |



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Online Sources for this page:

VUW Te Waharoa PDF NZ Gazette 1908, No 6





✨ LLM interpretation of page content

💰 Consolidated Ordinary Revenue Receipts and Expenditure for Quarters Ended 31st December 1906 and 1907

💰 Finance & Revenue
Revenue, Expenditure, Consolidated Fund, Appropriations, Treasury Bills, Public Account, Local Bodies, Harbour Boards, Pensions