Financial Accounts




Oct. 28.] THE NEW ZEALAND GAZETTE. 3097

ACCOUNTS for the Quarters ended 30th SEPTEMBER, 1926 and 1925, respectively—continued.
AUTHORIZATION ACT 1914 ACCOUNT.

QUARTER ENDED 30TH SEPT., 1925. Gross. EXPENDITURE. QUARTER ENDED 30TH SEPTEMBER, 1926. Gross.
£ s. d. £ s. d.
46,257 13 11 Expenditure under Section 5 of the Railways Improvement Authorization Act, 1914,— 42,641 1 10
34,850 17 10 New Stations and Station-yards, and Terminal Facilities 43,783 4 8
4,134 14 8 New Line, Auckland to Westfield .. 24,734 19 9
38,350 7 1 Duplications .. 8,813 3 7
644 8 1 Signalling, Interlocking, and Safety Appliances 3,805 11 4
66 7 0 Bridge-strengthening .. ..
1 12 7 Additions to Workshops .. 129 2 6
.. Grade Easements .. 420 11 0
124,306 1 2 New Engine Depot and Approach-lines, Auckland ..
6,344 5 6 Expenditure under Section 7 of the Finance Act, 1924,— 41,072 8 4
1,070 1 10 Hutt Valley Railway .. ..
11,764 17 7 Railway Electric-lighting.. 7,157 12 2
2,025 7 1 Paeroa Railway-station rearrangement 238 1 9
2,654 19 1 Pelichet Bay Railway Deviation .. ..
153 17 1 New Plymouth Railway-works .. 411 10 3
100 0 0 Palmerston North Railway Deviation 55 17 10
.. Tawa Flat Railway Deviation .. 9,806 9 10
24,113 8 2 Elimination of Level Crossings over the Railway ..
.. Expenditure under Section 10 of the Finance Act, 1925,— 16,208 2 0
.. Rearrangement of or Alterations and Additions to Stations 6,927 0 4
.. Deviation and Duplication of Railway between Ravensbourne and Burke’s 2,668 4 9
.. Electric Lighting of Stations 8,414 11 9
.. Telephones, Telegraph, and Signalling, Interlocking, and Safety Appliances 12,157 3 10
.. Workshops and Equipment of Locomotive Branch .. 25,374 4 3
.. New Workshops at Otahuhu and Petone, and Alterations and Additions to Work- shops at Addington and Hillside.. 10,978 0 3
Marshalling Yards for Christchurch at Middleton, &c.
.. Charges and Expenses of raising Loans,—
New Zealand Loans Act, 1908—
Railways Improvement Authorization Act, 1914 .. ..
14,575 5 10 Balance at end of Quarter,— 26,451 16 4
.. Cash in the Public Account 19,693 6 8
32,014 12 7 Imprests outstanding— 3 9 7
754,800 0 0 In the Dominion .. 884,750 0 0
801,389 18 5 In London ..
Investment Account ..
£949,809 7 9 Totals .. ..

DRAINAGE ACCOUNT.

£ s. d. £ s. d. £ s. d.
4,353 2 5 Expenditure under Section 7 of the Rangitaiki Land Drainage Act, 1910 .. 4,148 11 6
2,766 3 11 Balance at end of Quarter,— 5,735 6 4
7,366 10 0 Cash in the Public Account: 1,404 2 4
30,000 0 0 Imprests outstanding— 10,000 0 0 17,139 8 8
40,132 13 11 In the Dominion ..
Investment Account ..
£44,485 16 4 Totals .. .. £21,288 0 2

NOTE.—In these accounts the credits-in-aid (section 22, Appropriation Act, 1923) and other credits in reduction of expenditure are shown as receipts, and are not deducted from the expenditure as prior to 1924–25.
For the purposes of comparison a summary showing the net expenditure will be found on page 3107.

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✨ LLM interpretation of page content

🗺️ Statement of Receipts and Expenditure for Rangitaiki Land (continued from previous page)

🗺️ Lands, Settlement & Survey
Financial Statement, Land Drainage, Receipts, Expenditure, Investment

💰 Accounts for the Quarters ended 30th September, 1926 and 1925

💰 Finance & Revenue
Financial Accounts, Expenditure, Railways, Loans, Investment

🗺️ Drainage Account

🗺️ Lands, Settlement & Survey
Drainage, Expenditure, Financial Statement