✨ Financial Summary
Feb. 7.] THE NEW ZEALAND GAZETTE. 293
FUND for the Nine Months ended 31st DECEMBER, 1927 and 1926, respectively.
ACCOUNT.
| NINE MONTHS ENDED 31ST DEC., 1926. Gross. | EXPENDITURE. | NINE MONTHS ENDED 31ST DECEMBER, 1927. Gross. |
|---|---|---|
| £ s. d. | £ s. d. | |
| 22,437 9 0 | Permanent Appropriations,— | 22,329 13 0 |
| Civil List | ||
| 8,407,424 2 0 | Debt Services— | 8,725,239 7 5 |
| 3,500 0 0 | Interest | |
| 350,074 8 0 | Amortization— | 3,500 0 0 |
| 455,000 0 0 | Sinking Fund | 367,705 8 4 |
| Repayment of Funded Debt | 750,000 0 0 | |
| 9,215,998 10 0 | Repayment of the Public Debt Act, 1925, Section 11 | |
| 147,252 11 4 | Under Special Acts of the Legislature— | 152,573 4 0 |
| 23,674 12 1 | Subsidies paid to Local Bodies— | 24,798 5 2 |
| Appropriation Act, 1916, Section 9 | ||
| Municipal Corporations Act, 1920, Section 72 | ||
| 397,673 9 6 | Subsidies paid to Hospital Boards and Charitable Institutions— | 446,360 16 0 |
| Hospitals and Charitable Institutions Act, 1909, 1910, and 1913 | ||
| Hospitals and Charitable Institutions Act, 1926 | ||
| 22,958 15 2 | Finance Act, 1925, Section 8— | 16,285 4 7 |
| Refund to Racing Clubs of proportion of Totalizator Duty | ||
| 8,297 15 0 | Land Act, 1924, Sections 139 and 358— | 4,047 2 11 |
| “Halves,” “Thirds,” and “Fourths” paid over to Local Bodies’ Deposit Accounts | ||
| 3,931 17 6 | Endowments— | 2,802 7 1 |
| New Plymouth Harbour Board Endowment Act, 1874 | ||
| 176,560 12 11 | Government Railways Act, 1926, Section 37 (1) (b), (Losses on Isolated Sections and Branch Lines) | 353,780 9 0 |
| Superannuation Payments— | ||
| Finance Act, 1925, Section 27— | ||
| 14,506 3 0 | Increased Benefits for Widows and Children of Deceased Contributors | 11,767 11 9 |
| 611,386 3 1 | Pensions Act, 1913— | |
| 200,548 2 11 | Old-age Pensions | |
| 13,321 13 5 | Widows’ Pensions | |
| Military Pensions | ||
| 6,851 1 3 | Pensions Amendment Act, 1924— | |
| Pensions for the Blind | ||
| Pensions Act, 1926— | ||
| Old-age Pensions | 625,890 14 11 | |
| Widows’ Pensions | 200,501 13 4 | |
| Pensions for the Blind | 7,799 19 5 | |
| Miners’ Pensions | 29,645 10 1 | |
| Military Pensions | 11,304 1 6 | |
| 752,049 12 6 | War Pensions Act, 1915 | 771,983 16 5 |
| 27,746 6 7 | Miner’s Phthisis Act, 1915 | |
| 81,361 11 6 | Appropriation Act, 1926 (Section 14)— | Cr. 23 7 1 |
| 15,000 0 0 | Fruit-export Guarantee | |
| Samoa Act, 1921, Section 364 (4) (Cost of Purchase of Samoan Treasury Notes) | ||
| 30,000 0 0 | Finances Act, 1921–22, Section 13 (Transfer to Advances to other Government Account) | |
| 348,295 3 8 | Miscellaneous Special Acts | 375,355 17 4 |
| 2,881,415 11 5 | ||
| 79,237 19 4 | Annual Appropriations,— | 74,396 5 5 |
| 1,752 2 6 | Vote—Legislative Departments | 11,538 6 11 |
| 28,695 13 4 | ,, Prime Minister’s Department | 29,689 17 9 |
| 44,777 18 0 | ,, Treasury Department | 47,149 4 4 |
| 79,270 8 6 | ,, Land and Income Tax Department | 83,222 18 7 |
| 16,143 9 3 | ,, Stamp Duties Department | 16,501 9 0 |
| 1,918,709 12 2 | ,, National Provident and Friendly Societies Department | 1,928,474 19 10 |
| 126,410 12 10 | ,, Post and Telegraph Working-expenses | 112,538 17 7 |
| 3,959 11 1 | ,, Public Buildings | 4,145 13 6 |
| 73,241 18 1 | ,, Government and other Domains | 69,569 11 7 |
| 4,729 0 1 | ,, Maintenance and Repairs to Roads | 8,587 1 3 |
| 24,380 2 10 | ,, Maintenance of Irrigation-works, &c. | 29,001 15 1 |
| 21,753 4 6 | ,, Native Department | 30,665 8 4 |
| 37,665 2 6 | ,, Department of External Affairs | 52,150 18 6 |
| 40,448 12 0 | ,, Cook Islands | 27,035 0 7 |
| 110,387 14 6 | ,, Department of Industries and Commerce | 107,598 6 7 |
| 110,311 7 4 | ,, Department of Justice | 119,876 13 10 |
| 4,809 9 8 | ,, Prisons Department | 5,059 9 3 |
| 265,256 17 8 | ,, Crown Law Office | 263,430 3 9 |
| 120,891 15 11 | ,, Police Department | 117,047 15 3 |
| 30,261 15 9 | ,, Pensions Department | 23,603 2 6 |
| 303,704 12 10 | ,, Mines Department | 314,238 13 1 |
| 35,131 15 10 | ,, Department of Internal Affairs | 38,009 2 5 |
| 6,224 15 0 | ,, Audit Department | 4,473 4 7 |
| 158,982 18 5 | ,, Public Service Commissioner’s Office | 154,044 10 8 |
| 302,253 11 0 | ,, Printing and Stationery Department | 302,357 7 9 |
| 262,868 11 1 | ,, Mental Hospitals Department | 255,995 6 0 |
| ,, Department of Health | ||
| 4,212,260 12 0 | ||
| 12,119,851 10 5 | Carried forward | 4,230,401 3 11 |
NOTE.—In these accounts the credits in aid (section 51, Public Revenues Act, 1926) and other credits in eduction of expenditure a 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 345.
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VUW Te Waharoa —
NZ Gazette 1928, No 8
NZLII —
NZ Gazette 1928, No 8
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Abstract of Revenue and Expenditure for Nine Months Ended 31st December 1927
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💰 Finance & RevenueRevenue, Expenditure, Public Account, Financial Summary, 1927, 1926