✨ Financial Statements
JULY 22.] THE NEW ZEALAND GAZETTE 2499
WORKS FUND for the Quarters ended 30th JUNE, 1915 and 1914, respectively.
| QUARTER ENDED 30TH JUNE, 1914. | EXPENDITURE. | QUARTER ENDED 30TH JUNE, 1915. |
|---|---|---|
| £ s. d. | £ s. d. £ s. d. | |
| 15,061 3 6 | Annual Appropriations,— | 24,856 9 4 |
| 127,467 9 5 | Class XVI.—Public Works, Departmental | 256,091 6 4 |
| 91,377 6 1 | " XVII.—Railways .. | 76,680 19 0 |
| 2,643 8 11 | " XVIII.—Public Buildings .. | 1,963 17 4 |
| 3,021 3 2 | " XIX.—Lighthouses, Harbour-works, and Harbour-defences .. | 1,096 11 5 |
| 865 4 8 | " XX.—Tourist and Health Resorts | Cr. 1,417 7 1 |
| " XXI.—Immigration | ||
| 82,690 5 3 | " XXII.—Construction, Maintenance, and Supervision of Roads, Bridges, | 97,661 14 3 |
| 695 5 6 | and other Public Works .. | 471 10 6 |
| 24,774 7 9 | " XXIII.—Development of Goldfields .. | 25,088 3 7 |
| 3,484 15 0 | " XXIV.—Telegraph Extension | 5,523 15 10 |
| 1,209 6 9 | " XXV.—Contingent Defence | 1,919 11 0 |
| 231 3 0 | " XXVI.—Lands Improvement | |
| Services not provided for .. | ||
| 353,520 19 0 | 489,936 11 6 | |
| 296 15 0 | The Ellesmere Land Drainage Act, 1905,— | 362 6 9 |
| Expenditure under Section 6, Subsection (1) | ||
| 211,391 1 5 | Balance at end of Quarter,— | 48,471 1 11 |
| Cash in the Public Account | ||
| 249,392 17 4 | Imprests outstanding— | 374,514 0 4 |
| 37,673 3 5 | In the Dominion | 61,654 4 10 |
| 520,000 0 0 | In London .. | 150,000 0 0 |
| Investment Account | ||
| 1,018,457 2 2 | 634,639 7 1 | |
| £1,372,274 16 2 | Totals .. | £1,124,938 5 4 |
ROAD IMPROVEMENT ACCOUNT.
| £ s. d. | £ s. d. | £ s. d. | |
|---|---|---|---|
| .. | Unauthorized Expenditure,— | .. | 51 11 6 |
| Services not provided for .. | |||
| 275 19 9 | Annual Appropriation,— | .. | .. |
| Vote—Hutt Railway and Road Improvement | |||
| The New Zealand Loans Act, 1908,— | |||
| 0 3 6 | Hutt Railway and Road Improvement Act, 1910— | .. | .. |
| Charges and Expenses .. | |||
| 82 12 8 | Balance at end of Quarter,— | .. | 1,739 4 2 |
| Cash in the Public Account | |||
| £358 15 11 | Totals .. | .. | £1,790 15 8 |
D
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Online Sources for this page:
VUW Te Waharoa —
NZ Gazette 1915, No 89
NZLII —
NZ Gazette 1915, No 89
✨ LLM interpretation of page content
💰 Works Fund Financial Statement for Quarters Ended 30th June 1915 and 1914
💰 Finance & RevenueFinancial Statement, Works Fund, Expenditure, Public Works, Railways, Public Buildings, Lighthouses, Harbour-works, Harbour-defences, Tourist and Health Resorts, Immigration, Roads, Bridges, Goldfields, Telegraph Extension, Contingent Defence, Lands Improvement
💰 Road Improvement Account Financial Statement
💰 Finance & RevenueFinancial Statement, Road Improvement Account, Unauthorized Expenditure, Hutt Railway and Road Improvement