Financial Statements




MAY 31.] THE NEW ZEALAND GAZETTE. 1803
Year ended 31st March, 1928, compared with the Year ended 31st March, 1927—continued.
ACCOUNT.—continued.

1926-1927. EXPENDITURE. 1927-1928.
Gross. Gross.
£ s. d. £ s. d.
1,451,157 19 4 Brought forward 941,074 18 3
Balance at end of Year,—
32,125 3 0 Cash in the Public Account 6,178 9 1
8,241 7 0 Imprests outstanding 16,898 12 0
In London
Investment Accounts—
Securities held— £ s. d.
97,030 0 0 Deposits Account (General) 81,430 0 0
41,790 0 0 German Currency 41,790 0 0
28,000 0 0 Miscellaneous (Belgian Relief Fund)
1,900 0 0 New Zealand University Endowment, Westland 1,900 0 0
136,000 0 0 Receiver-General’s Deposit Account 121,000 0 0
4,700 0 0 Rotorua College and Grammar School Account
4,780 0 0 Samoan Loan Sinking Fund Account 6,798 8 0
354,566 10 0 252,918 8 0
£1,805,724 9 4 Totals £1,217,070 7 4
  • For explanatory statement see page 1859.
    for the Year ended 31st March, 1928, compared with the Year ended 31st March, 1927.
    ACCOUNT.
£ s. d. Annual Appropriations,— £ s. d. £ s. d.
223,536 3 5 Vote—Public Works, Departmental 237,502 7 1
1,181,919 1 6 ,, Railway-construction 1,016,696 6 10
386,940 19 5 ,, Additions to Open Lines 401,948 15 0
120,419 14 10 ,, General 42,828 7 3
1,260 15 4 ,, Courthouses 7,532 10 2
23,974 0 1 ,, Prison Buildings and Works 23,621 12 9
7,410 12 4 ,, Police-stations 5,589 6 4
87,148 3 10 ,, Postal and Telegraph 77,319 7 5
4,165 12 7 ,, Agricultural 2,862 12 7
68,661 8 0 ,, Mental Hospital Buildings 51,305 12 7
29,091 7 3 ,, Health and Hospital Institutions 27,533 12 3
20,961 8 4 ,, Timber-supply and Sawmills, &c., for Public Works Department 16,937 0 10
48,442 15 11 ,, Acquisition and Operation of Quarries for Public Works Department 25,276 2 8
5,759 3 8 ,, Lighthouses 8,090 9 8
13,483 19 10 ,, Harbour-works 17,085 1 3
32,629 11 0 ,, Development of Tourist Resorts 36,838 7 1
401,274 8 2 ,, Department of Immigration 177,617 9 4
612,695 16 9 ,, Roads, &c. 768,335 18 4
2,230 2 0 ,, Roads on Goldfields 2,354 5 8
662,642 13 1 ,, Roads to give access to Outlying Districts 37,882 8 9
34,220 8 7 ,, Telegraph Extension 684,546 10 5
57,244 17 10 ,, Contingent Defence 40,127 18 7
59,451 18 4 ,, Lands, Miscellaneous 76,908 3 6
54,407 2 5 ,, Irrigation, Water-supply, and Drainage 54,997 3 3
400,000 0 0 ,, Plant, Material, and Stores 73,226 0 5
,, Transfer to Main Highways Account—Construction Fund 200,000 0 0
4,539,972 4 6 4,114,963 10 0
2,601 14 6 Services not provided for. 691 17 6
4,542,573 19 0 4,115,655 7 6
Carried forward 4,115,655 7 6

Note.—In these accounts the credits-in-aid (section 51, Public Revenues Act, 1926) 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 1860.



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💰 Statement of Receipts and Expenditure of the Public Works Fund General Purposes (continued from previous page)

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Public Works Fund, Receipts, Expenditure, Financial Summary