Financial Accounts




31 MAY]

MINES ACCOUNT

YEAR ENDED 31 MARCH PAYMENTS
1953 YEAR ENDED 31 MARCH
1954
£ s. d. £ s. d.
7,124,189 5 8 Annual Appropriation—Vote—State Coal-mines
25,000 0 0 Unauthorized expenditure
151,052 6 0 Interest on capital liability paid to Consolidated Fund
78,689 19 6 Income tax
12,970 17 6 Social security charge
114,237 8 6 Transfer to Loans Redemption Account for redemption of securities
5,659 5 2 Subsidy to Government Superannuation Fund
Balances at end of year—Cash
19,892 5 8 Imprests outstanding
1,692 11 10
21,584 17 6 Total
£7,533,383 19 10

FUND

£ s. d. Public Revenues Act 1953, section 85—Transfer to Defence Fund £ s. d. £ s. d.
12,079,094 2 11 Balances at end of year—Cash
82,140 18 9 Investments
11,890,303 19 6
£11,972,444 18 3 Total £12,079,094 2 11

WAYS ACCOUNT

£ s. d. Annual Appropriation—Vote—Working Railways £ s. d. £ s. d.
37,782,475 3 4 Unauthorized expenditure 30,576,711 4 5*
1,960 19 0 Subsidy to Government Superannuation Fund 353,076 1 8
320,044 4 4 Subsidy to Railway Employees’ Sick Benefit Fund
6,000 0 0 Balances at end of year—Cash 214,973 8 11
Investments 2,500,000 0 0
Imprests outstanding 15,603 2 0
443,402 9 6 2,730,576 10 11
950,000 0 0
374,879 0 0
1,768,281 9 6 Total £33,660,363 17 0

“ Improvements and Additions to Open Lines ” and vote “ Working Railways ” on amalgamation of votes.



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✨ LLM interpretation of page content

💰 Mines Account for Years Ended 31 March 1953 and 1954

💰 Finance & Revenue
Mines, Account, Payments, Receipts, Expenditure, 1953, 1954

💰 Defence Fund Transfer for Year Ended 31 March 1954

💰 Finance & Revenue
Defence Fund, Public Revenues Act 1953, Transfer, Cash, Investments

🚂 Working Railways Account for Years Ended 31 March 1953 and 1954

🚂 Transport & Communications
Working Railways, Account, Expenditure, Subsidy, Cash, Investments, 1953, 1954