✨ Revenue Account




9 NOVEMBER

ACCOUNT

SIX MONTHS
ENDED 30 SEP
1972

$

Annual Appropriations--
Administration--
General Administration--
Works (Programme VI--Construction of Public Buildings)

10,191,579

Law and Order--
Justice (Programme IX--Public Buildings Construction)
Police (Programme III--Construction of Public Buildings)

Government Services--
Works (Programme IX--National Water and Soil Conservation)

Development of Industry--
Land Use--
Agriculture and Fisheries (Programme IX--Public Buildings Construction)
Forest Service (Programmes III and IV)
Lands and Survey (Programme IV)
Maori and Island Affairs (Programmes VII and VIII)

Fuel and Power--
Electric Supply
Mines (Programme II)

Other Industrial Services--
Scientific and Industrial Research (Programme II--Public Buildings Construction)

Foreign Relations--
Foreign Affairs--
Foreign Affairs (Programme VI--Public Buildings Construction)

Health--
Health (Programmes IX and X--Public Buildings Construction)

Social Services--
Works (Programme VIII--Construction of Housing)
6,780,298*

Transport and Communications--
Transport--
Railways
Transport (Programme VI--Civil Aviation Airport Development)
Works (Programme VII--Construction of Railways)
Works (Programme V--Developmental Roading)

185,814,734

2,215,429
Contributions to Superannuation schemes

19,902,994
1,355,594
Interest on capital liability paid to Consolidated Revenue Account--
Electric Supply
Railways

21,258,588

2,026,644
Capital equipment purchased under credit arrangements

8,262,782
Contributions to Loans Redemption Account for redemption of securities

528,302
Land acquired other than under annual votes

110,381
Miscellaneous expenditure

14,114,677
Excess of receipts over payments

$234,331,537

SIX MONTHS ENDED
30 SEP 1973

$

5,820,004

1,577,635
1,027,362

4,439,233

635,840
22,202,727
9,537,499
7,147,183

66,823,239
6,559,334

1,012,835

1,302,796

1,217,318

7,398,672*

70,036,059
2,879,961
2,966,462
236,533

212,820,692

1,655,721

21,730,824
1,307,096

23,037,920

2,953,555

23,634,394

439,052

129,401

7,227,776

$271,898,511

Balances at end of 6 months--
Cash
Investments
Imprests outstanding

8,848,095
85,527
7,033,291

7,710,789
89,798
9,926,570

15,966,913

17,727,157

$15,966,913

Total

$17,727,157

*Included in amounts of $6,780,298 and $7,398,672 are $412,531 and $463,700 respectively, being interest on capital liability paid to consolidated Revenue Account.



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✨ LLM interpretation of page content

πŸ’° Revenue Account - Six Months Ended 30 September 1972 and 1973 (continued from previous page)

πŸ’° Finance & Revenue
Revenue, Payments, Departmental Receipts, Works and Trading, Administration, Law and Order, Government Services, Development of Industry, Land Use, Fuel and Power, Health, Social Services, Transport and Communications, Contributions, Balances