✨ Financial Summary
Nov. 1.]
THE NEW ZEALAND GAZETTE.
3181
Six Months ended 30th SEPTEMBER, 1928, compared with the Six Months ended 30th SEPTEMBER, 1927.
ACCOUNT.
| SIX MONTHS | EXPENDITURE. | £ s. d. | £ s. d. | £ s. d. |
|---|---|---|---|---|
| ENDED 30TH SEPT., | ||||
| 1927. | Permanent Appropriations,--- | 15,727 13 1 | 13,133 15 0 | |
| Gross. | Civil List | 5,341,411 5 8 | Interest | 5,451,334 17 5 |
| Debt Services--- | 3,500 0 0 | Amortization of Debt— | ||
| Sinking Fund | 181,594 7 1 | Repayment of Funded Debt | 190,740 2 2 | |
| Repayment of the Public Debt Act, 1925, Section 11 | ... | 5,526,505 12 9 | 100,000 0 0 | |
| 5,745,574 19 7 | ||||
| Under Special Acts of the Legislature— | ||||
| Subsidies paid to Local Bodies— | ||||
| Appropriation Act, 1916, Section 9 | 123,203 11 9 | 133,050 2 10 | ||
| Municipal Corporations Act, 1920, Section 72 | 22,342 17 4 | 23,932 0 6 | ||
| Hospitals and Charitable Institutions Act, 1926— | ||||
| Subsidies paid to Hospital Boards and Charitable Institutions | 266,612 10 1 | 279,119 18 7 | ||
| Subsidy paid to Jubilee Institute for the Blind | ... | 1,221 2 11 | ||
| Education Act, 1914— | 20,020 17 2 | 19,022 0 7 | ||
| Subsidies | ... | ... | ||
| Appropriation Act, 1925, Section 15— | ... | 7,687 10 0 | ||
| Cost of Maintenance of Overseas War-graves and Memorials | 11,000 13 11 | 10,995 12 11 | ||
| Finance Act, 1925, Section 8— | 3,459 3 11 | 4,205 4 11 | ||
| Refund to Racing Clubs of proportion of Totalizator Duty | 15,475 18 1 | 16,442 14 10 | ||
| Land Act, 1924, Sections 139 and 358— | 1,640 10 8 | 1,301 9 4 | ||
| "Halves," "Thirds," and "Fourths" paid over to Local Bodies' Deposit Accounts | 227,526 14 3 | 227,526 14 0* | ||
| New Zealand Loans Act, 1908, Section 26— | ... | ... | ||
| Management Charges of Consolidated Stock | 15,475 18 1 | 16,442 14 10 | ||
| Endowments— | 1,640 10 8 | 1,301 9 4 | ||
| New Plymouth Harbour Board Endowment Act, 1874 | 227,526 14 3 | 227,526 14 0* | ||
| Government Railways Act, 1926, Section 37 (1) (b), (Losses on Isolated Sections and Branch Lines) | ... | ... | ||
| Appropriation Act, 1926, Section 13— | 7,467 7 0 | 3,750 0 0 | ||
| Exchange on Remittances to and from London .. | ... | ... | ||
| Superannuation Payments— | ... | ... | ||
| Finance Act, 1925, Section 27— | ... | ... | ||
| Increased Benefits for Widows and Children of Deceased Contributors | ... | ... | ||
| Public Service Superannuation Act, 1927— | ... | ... | ||
| Section 62 | ... | 170 19 0 | ||
| Section 114 | ... | 7,591 4 11 | ||
| Pensions Act, 1926— | 391,475 12 4 | 410,596 17 7 | ||
| Old-age Pensions | 125,320 19 10 | 128,349 7 5 | ||
| Widows' Pensions | 5,067 14 0 | 5,537 12 11 | ||
| Pensions for the Blind | 18,231 8 6 | 19,931 13 3 | ||
| Miners' Pensions | 7,217 4 6 | 6,067 5 5 | ||
| Military Pensions | 499,801 3 11 | 490,209 9 0 | ||
| War Pensions Act, 1915 | 7,558 3 0 | 21,437 17 7 | ||
| Family Allowances Act, 1926 | ... | 10,724 4 3 | ||
| Rural Advances Act, 1926, Section 8 (2)— | ... | 232,144 11 1 | ||
| Interest on Rural Advances Bonds | ... | 2,669 7 3 | ||
| Finance Act, 1927 (No. 2), Section 24 (1)— | ... | 181,969 4 8 | ||
| Tire-tax, Fees, and Fines transferred to the Main Highways Account Revenue Fund | ... | 27,167 16 9 | ||
| Motor-spirits Taxation Act, 1927, Section 7— | ... | 239,625 19 10 | ||
| Expenses of collecting and refunding Tax on Motor-spirits | ... | 2,512,448 2 4 | ||
| Motor-spirits Taxation Act, 1927, Section 9 (1), (a)— | ... | 8,271,156 16 1 | ||
| Tax on Motor-spirits allocated to Main Highways Account Revenue Fund | ... | ... | ||
| Motor-spirits Taxation Act, 1927, Section 9 (1), (b)— Tax on Motor-spirits paid to Borough Councils | ... | ... | ||
| Miscellaneous Special Acts | ... | ... | ||
| Annual Appropriations,--- | ||||
| Vote--Legislative Departments | 34,078 15 2 | 58,051 19 1 | ||
| Prime Minister's Department | 10,591 3 11 | 10,947 10 1 | ||
| Treasury Department | 20,106 3 10 | 20,550 9 11 | ||
| Land and Income Tax Department | 29,838 18 11 | 30,119 3 7 | ||
| Stamp Duties Department | 51,085 8 1 | 46,050 7 11 | ||
| National Provident and Friendly Societies Department | 10,943 17 10 | 10,978 9 6 | ||
| Post and Telegraph Working-expenses | 1,271,274 1 5 | ... | ||
| Public Buildings | 77,742 12 5 | 60,283 3 6 | ||
| Government and other Domains | 2,594 16 2 | 2,662 17 3 | ||
| Maintenance and Repairs to Roads | 44,542 2 1 | 37,807 1 8 | ||
| Carried forward | ... | 277,451 2 6 |
- The adjustment required in terms of Railway regulation 16 (d) is to be made during the second half of the financial year.
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VUW Te Waharoa —
NZ Gazette 1928, No 83
NZLII —
NZ Gazette 1928, No 83
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Abstract of Revenue and Expenditure for Public Account
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💰 Finance & RevenueRevenue, Expenditure, Public Account, Financial Summary