Financial Statements




Aug. 2.] THE NEW ZEALAND GAZETTE. 2409

Three Months ended 30th JUNE, 1928, compared with the Three Months ended 30th JUNE, 1927—continued.

AUTHORIZATION ACT 1914 ACCOUNT.

THREE MONTHS ENDED 30TH JUNE, 1927. Gross. EXPENDITURE. THREE MONTHS ENDED 30TH JUNE, 1928. Gross.
£ s. d. £ s. d. £ s. d.
18,826 3 5 Expenditure under Section 5 of the Railways Improvement Authorization Act, 1914,— 48,344 0 2
27,964 12 4 New Stations, Station-yards, and Terminal facilities .. 11,122 11 10
1 5 0 New Line, Auckland to Westfield .. 51 1 4
.. Bridge-strengthening .. 367 12 10
85 6 11 Grade Easements .. 3,829 11 7
.. Duplications .. 1,330 0 2
46,877 7 8 New Engine-depot and Approach Lines at Auckland.. 65,044 17 11
22,832 10 7 Expenditure under Section 7 of the Finance Act, 1924,— 2,139 9 7
4,591 3 0 Hutt Valley Railway .. 34,060 12 2
.. Palmerston North Railway Deviation .. 3 8 3
253 8 1 Paeroa Railway-station rearrangement .. 516 9 0
57 13 0 Pelichet Bay Railway Deviation .. 13,366 15 1
716 12 6 Tawa Flat Railway Deviation .. 1,302 18 10
28,451 7 2 Elimination of Level Crossings .. 51,389 12 11
220 15 9 Expenditure under Section 10 of the Finance Act, 1925,— 2,241 9 4
307 17 0 Rearrangement of or Alterations and Additions to Stations .. 1,879 7 7
1,229 14 4 Deviation and Duplication—Ravensbourne—Burke’s .. 3,043 1 2
176 7 3 Electric Lighting of Stations .. 10,519 3 11
157 7 8 Telephones, Telegraphs, and Signalling, Interlocking, and Safety Appliances .. 6,792 10 11
199 18 5 New Depot for Locomotives at Elmer Lane .. 2,471 12 8
23 0 10 Marshalling-yards for Christchurch at Middleton .. 3,439 10 5
20,667 15 2 Workshops and Equipment of Locomotive Branch .. 221,686 5 5
.. New Workshops at Otahuhu and Petone, and Alterations and Additions to Work-shops at Addington and Hillside .. 14 8 6
22,982 16 5 Miscellaneous Works—Auckland to Morningside Deviation .. 252,087 9 11
.. Expenditure under Section 3 of the Finance Act, 1926,— ..
Electrification of Line from Lyttelton to Middleton .. 5,617 3 8
999,133 16 11 Balance at end of Three Months,— 93,819 12 7
Cash in the Public Account .. 46,170 13 8
8,266 4 9 Imprests outstanding— 3,848 8 11
26,394 0 0 In the Dominion .. 965,250 0 0
540,250 0 0 In London .. 1,109,088 15 2*
1,574,044 1 8 Investment Account—
Securities held ..
£1,672,355 12 11 Totals .. £1,483,227 19 7
  • For explanatory statement see page 2419.

DRAINAGE ACCOUNT.

£ s. d. £ s. d. £ s. d.
2,164 15 6 Expenditure under Section 7 of the Rangitaiki Land Drainage Act, 1910,— .. 3,354 19 3
Administration Expenses and Construction of Works ..
.. Finance Act, 1925, Section 22 (1),— .. 4 5 0
Refund of Rates ..
.. Appropriation Act, 1924, Section 14 (2) (b),— .. 2 5 10
Finance Act, 1927 (No. 2), Section 11—
Refund of Rates ..
410 0 0 Public Revenues Act, 1926, Section 139,— .. 250 0 0
Interest recouped to the Consolidated Fund ..
1,085 1 11 Balance at end of Three Months,— 1,677 10 11
1,693 10 4 Cash in the Public Account .. 2,991 6 7
10,000 0 0 Imprests outstanding—
12,778 12 3 In the Dominion .. 4,668 17 6*
Investment Account—
£15,353 7 9 Securities held .. £8,280 7 7
Totals ..
  • For explanatory statement see page 2419.


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✨ LLM interpretation of page content

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

💰 Finance & Revenue
Rangitaiki Land, Finance, Expenditure, Receipts, Rangitaiki Land Drainage Act

💰 Authorization Act 1914 Account Expenditure

💰 Finance & Revenue
Railways, Expenditure, Finance Act, Infrastructure

💰 Drainage Account Expenditure

💰 Finance & Revenue
Drainage, Expenditure, Rangitaiki Land Drainage Act, Finance Act