✨ Financial Statements
MAY 25.] THE NEW ZEALAND GAZETTE. 1401
Year ended 31st MARCH, 1922, compared with the Financial Year ended 31st MARCH, 1921.
ACCOUNT.
| 1920-1921 | EXPENDITURE. | 1921-1922. | |
|---|---|---|---|
| £ s. d. | £ s. d. | £ s. d. | |
| Annual Appropriations,— | |||
| 143,054 18 5 | Vote 43.—Public Works, Departmental .. .. .. .. | 128,283 9 3 | |
| 944,150 3 2 | " 44.—Railway-construction .. .. .. .. | 1,276,819 17 1 | |
| 421,315 7 10 | " 45.—Additions to Open Lines .. .. .. .. | 1,856,379 16 9 | |
| 39,504 6 10 | " 46.—General .. .. .. .. .. .. | 87,057 5 9 | |
| 1,399 19 4 | " 47.—Courthouses .. .. .. .. .. .. | 4,357 18 4 | |
| 30,037 11 8 | " 48.—Prisons .. .. .. .. .. .. .. | 41,740 5 1 | |
| 36,842 12 1 | " 49.—Police-stations .. .. .. .. .. .. | 22,544 3 8 | |
| 93,363 19 7 | " 50.—Postal and Telegraph .. .. .. .. .. | 112,906 4 9 | |
| 9,345 4 6 | " 51.—Agricultural .. .. .. .. .. .. | 1,114 15 1 | |
| 27,368 3 4 | " 52.—Mental Hospitals .. .. .. .. .. | 41,837 12 3 | |
| 19,627 11 2 | " 53.—Hospitals and Charitable Institutions .. .. .. | 30,712 9 8 | |
| 244,721 13 10 | " 54.—School Buildings .. .. .. .. .. | 2,468 10 7 | |
| .. | " 55.—Timber-supply, Sawmills, &c. .. .. .. .. | 16,369 3 11 | |
| 758 12 0 | " 56.—Lighthouses .. .. .. .. .. .. | 16,350 11 7 | |
| 4,079 16 2 | " 57.—Harbour-works .. .. .. .. .. .. | 2,423 12 0 | |
| 19,040 10 5 | " 58.—Tourist and Health Resorts .. .. .. .. | 17,996 2 2 | |
| Cr. 7,805 12 5 | " 59.—Department of Immigration .. .. .. .. | 247,509 10 11 | |
| 527,524 0 7 | " 60.—Roads, &c. .. .. .. .. .. .. | 552,894 16 11 | |
| 11,050 1 1 | " 61.—Roads on Goldfields .. .. .. .. .. | 11,264 6 5 | |
| 2,152 19 8 | " 62.—Development of Mining .. .. .. .. .. | 2,129 18 7 | |
| 336,468 6 3 | " 63.—Telegraph Extension .. .. .. .. .. | 579,899 4 4 | |
| 8,700 12 8 | " 64.—Contingent Defence .. .. .. .. .. | 15,586 0 4 | |
| Cr. 573 2 0 | " 65.—Improved-farm Settlements .. .. .. .. | Cr. 16 0 0 | |
| 2,635 14 6 | " 66.—Lands, Miscellaneous .. .. .. .. .. | 17,478 7 5 | |
| 55,345 0 10 | " 67.—Irrigation and Water-supply .. .. .. .. | 82,712 17 3 | |
| 169,911 9 2 | " 68.—Plant, Material, and Stores .. .. .. .. | 106,431 17 3 | |
| 553 10 9 | Services not provided for .. .. .. .. .. | 11,434 2 6 | |
| 3,140,573 11 5 | 5,286,686 19 10 | ||
| Ellesmere Land Drainage Act, 1905,— | |||
| 439 5 0 | Expenditure under Section 6, Subsection (1) .. .. .. .. | .. | 439 5 0 |
| 670,000 0 0 | Treasury Bills redeemed .. .. .. .. .. .. | .. | 200,000 0 0 |
| .. | Amount transferred from the Consolidated Fund in terms of Section 56 of the Public Revenues Act, 1910, now refunded.. .. .. .. .. | .. | 500,000 0 0 |
| Charges and Expenses of raising loans,— | |||
| New Zealand Loans Act, 1908— | |||
| .. | Aid to Public Works and Land Settlement Act, 1921 | 1,169 0 0 | |
| Finance Act, 1921, Section 10— | |||
| .. | In respect of £2,250,000 .. .. .. .. £169,216 1 9 | ||
| .. | In respect of £173,111 10s. 11d. .. .. .. 3,895 9 2 | ||
| 173,111 10 11 | |||
| 163 13 6 | Finance Act, 1919, Section 5 .. .. .. .. .. | .. | |
| 20 10 0 | Finance Act, 1915, Section 105 (Renewals).. .. .. .. | .. | |
| 184 3 6 | 174,280 10 11 | ||
| Balance at end of Year,— | |||
| 180,910 13 7 | Cash in the Public Account .. .. .. .. .. | 26,346 1 3 | |
| Imprests outstanding— | |||
| 1,395 7 9 | In the hands of Officers of the Government .. .. .. | 10,175 19 2 | |
| 307,182 15 6 | In London .. .. .. .. .. .. .. | 393,160 9 2 | |
| 429,682 9 7 | |||
| 489,488 16 10 | |||
| £4,300,685 16 9 | Totals .. .. .. .. .. .. .. | .. | £6,591,089 5 4 |
AUTHORIZATION ACT 1914 ACCOUNT.
| 1920-1921 | 1921-1922. | ||
|---|---|---|---|
| £ s. d. | £ s. d. | £ s. d. | |
| 63,077 16 6 | Expenditure under Section 5 of the Railways Improvement Authorization Act, 1914 | .. | 132,240 10 3 |
| Charges and Expenses of raising loans,— | |||
| New Zealand Loans Act, 1908— | |||
| Railways Improvement Authorization Act, 1914— | |||
| .. | In respect of £1,000,000 .. .. .. .. .. | 75,207 3 0 | |
| .. | In respect of £76,938 9s. 4d. .. .. .. .. | 1,731 6 4 | |
| 76,938 9 4 | |||
| Balance at end of Year,— | |||
| 6,936 0 3 | Cash in the Public Account .. .. .. .. .. | 77,038 17 4 | |
| Imprests outstanding— | |||
| 270 0 8 | In the Dominion .. .. .. .. .. .. | .. | |
| .. | In London .. .. .. .. .. .. .. | 1,126 13 4 | |
| .. | Investment Account .. .. .. .. .. .. | 1,826,000 0 0 | |
| 1,904,165 10 8 | |||
| 7,206 0 11 | |||
| £70,283 17 5 | Totals .. .. .. .. .. .. .. | .. | £2,113,344 10 3 |
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Online Sources for this page:
VUW Te Waharoa —
NZ Gazette 1922, No 41
NZLII —
NZ Gazette 1922, No 41
✨ LLM interpretation of page content
💰
Statement of Receipts and Expenditure of the Public Works Fund
(continued from previous page)
💰 Finance & RevenuePublic Works Fund, Receipts, Expenditure, Financial Statement, Loans, Debentures, Stock
💰 Authorization Act 1914 Account
💰 Finance & RevenueRailways Improvement, Loan Charges, Financial Statement