Financial Statement




Nov. 5.] THE NEW ZEALAND GAZETTE. 2847

FUND for the Quarters ended 30th SEPTEMBER, 1908 and 1907, respectively.

ACCOUNT.

QUARTER ENDED 30TH SEPT., 1907. EXPENDITURE. QUARTER ENDED 30TH SEPTEMBER, 1908.
£ s. d. £ s. d.
7,642 16 5 Permanent Appropriations,— 7,874 16 0
195,037 2 6 Civil List .. .. .. .. .. .. .. 254,195 3 7
78,188 5 5 Interest and Sinking Fund .. .. .. .. .. 85,812 17 7
37,335 18 0 Under Special Acts of the Legislature .. .. .. .. .. 49,387 1 8
Subsidies paid to Local Bodies .. .. .. .. ..
13,244 11 9 Amounts paid over to Local Bodies and to Deposit Accounts— 11,800 4 0
2,023 2 8 Payments under the Land Acts .. .. .. .. .. 2,032 6 1
Payments under the Timber and Flax Royalties Act .. .. ..
494 3 10 Endowments— 621 16 10
5,964 12 0 New Plymouth Harbour Board .. .. .. .. .. 5,500 13 7
20,057 5 3. Greymouth Harbour Board .. .. .. .. .. 22,244 12 0
76,265 14 10 Westport Harbour Board .. .. .. .. .. 98,019 14 10
Old-age Pensions .. .. .. .. .. .. ..
436,253 12 8 537,489 6 2
10,063 17 2 Annual Appropriations,— 12,383 4 3
12,069 18 1 Class I.—Legislative Departments .. .. .. .. .. 10,937 19 7
175,314 6 11 ,, II.—Department of Minister of Finance .. .. .. .. .. 226,965 6 9
,, III.—Post and Telegraph Department .. .. .. .. ..
13,988 7 5 ,, IV.—Industries and Commerce and Tourist and Health Resorts Departments .. .. .. .. .. 17,533 19 6
1,085 19 4 ,, V.—Old-age Pensions Department .. .. .. .. .. 2,449 15 8
436,446 7 8 ,, VI.—Working Railways Department .. .. .. .. .. 632,257 1 4
9,843 0 9 ,, VII.—Public Buildings and Domains .. .. .. .. .. 19,711 6 8
4,370 14 6 ,, VIII.—Maintenance of Roads .. .. .. .. .. 5,482 3 9
11,767 1 3 ,, IX.—Printing and Stationery Department .. .. .. .. .. 15,983 19 0
8,761 5 0 ,, X.—Stamp and Deeds Department .. .. .. .. .. 9,608 18 5
9,078 3 0 ,, XI.—Native Department .. .. .. .. .. 7,170 6 1
37,511 12 2 ,, XII.—Justice Department .. .. .. .. .. 39,095 12 0
38,061 2 10 ,, XIII.—Police Department .. .. .. .. .. 43,435 4 4
5,964 0 3 ,, XIV.—Mines Department .. .. .. .. .. 8,492 7 10
16,934 10 9 ,, XV.—Department of Internal Affairs .. .. .. .. .. 20,279 9 10
1,055 11 0 ,, XVI.—Crown Law Department .. .. .. .. .. 1,041 17 2
31,109 0 7 ,, XVII.—Defence Department .. .. .. .. .. 42,010 5 1
11,407 19 10 ,, XVIII.—Customs Department .. .. .. .. .. 11,693 6 4
16,706 3 5 ,, XIX.—Marine and Harbours and Inspection of Machinery Departments .. .. .. .. .. 22,010 1 5
6,508 13 2 ,, XX.—Department of Labour .. .. .. .. .. 9,993 10 7
41,612 5 7 ,, XXI.—Department of Lands and Survey .. .. .. .. .. 58,619 17 3
32,835 15 3 ,, XXII.—Department of Agriculture .. .. .. .. .. 42,363 17 2
7,934 4 3 ,, XXIII.—Valuation Department .. .. .. .. .. 8,876 17 10
198,836 16 9 ,, XXIV.—Education Department .. .. .. .. .. 216,060 18 0
9,212 12 1 ,, XXV.—Public Health Department .. .. .. .. .. 11,065 16 4
25,057 15 10 ,, XXVI.—Mental Hospitals and Hospitals and Charitable Departments .. .. .. .. .. 32,989 8 1
1,173,537 4 10 1,528,512 10 3
Less Expenditure charged to “Unauthorised” during previous quarters now transferred to the respective appropriations .. .. .. .. .. 762 9 11
Debentures renewed,—
“The Dairy Industry Act, 1898”—
Matured, 1st August, 1908, renewed as per contra .. .. .. .. ..
Debentures redeemed,—
“The Immigration and Public Works Loan Act, 1870”—
800,000 0 0 Imperial Guaranteed Debentures matured 1st June, 1907, and cancelled .. .. .. .. ..
100,000 0 0 Revenue transferred to Public Works Fund .. .. .. .. ..
Balance at end of Quarter,—
578,838 1 2 Cash in the Public Account .. .. .. .. .. 414,572 13 1
Advances in the hands of Officers of the Government—
544,930 7 11 In the Dominion .. .. .. .. .. 462,261 4 2
153,187 8 9 In London .. .. .. .. .. 115,919 17 10
3,388 16 7 On account of other Governments .. .. .. .. .. 3,430 13 4
1,280,344 14 5 996,184 8 5
550,000 0 0 Less Treasury Bills outstanding .. .. .. .. .. 600,000 0 0
730,344 14 5
£3,240,135 11 11 Totals .. .. .. .. .. ..

ACCOUNT.

£ s. d. Treasury Bills outstanding at end of Quarter .. .. .. .. .. £ s. d. £ s. d.
550,000 0 0 .. 600,000 0 0
£550,000 0 0 Totals .. .. .. .. .. .. £600,000 0 0


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Online Sources for this page:

VUW Te Waharoa PDF NZ Gazette 1908, No 89





✨ LLM interpretation of page content

💰 Statement of Receipts and Expenditure of Consolidated Ordinary Revenue Fund for Quarters ended 30th September, 1907 and 1908

💰 Finance & Revenue
Revenue, Expenditure, Public Account, Appropriations, Treasury Bills, Debentures, Balances