✨ Trade and Financial Notices
17 DECEMBER
Tariff and Development Board Notice No. 387—New Zealand - Australia Free Trade Agreement—Additions to Schedule A—Public Hearings
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At the request of the Minister of Trade and Industry, the Tariff and Development Board proposes to inquire into and report upon the question whether goods listed in the Schedule to this notice should be added to Schedule A of the New Zealand - Australia Free Trade Agreement (NAFTA).
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For the purpose of taking evidence the Board will, in accordance with its normal procedures, conduct public hearings commencing on the dates and at the times shown in the Schedule to this notice in the Hearing Room, Eighth Floor, Cumberland House, Upper Willis Street, Wellington.
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Any person who intends to tender evidence should lodge, in typewritten form, 14 copies of public evidence and 12 copies of confidential evidence, to be presented under oath at the public hearing, at the Board’s office no later than the date shown in the fourth column of the Schedule to this notice. In preparing this evidence the “Notes for Information and Guidance of Interested Parties” prepared by the Board may be of assistance. Copies of these notes, may be obtained from the Board’s office.
Dated at Wellington this 11th day of December 1973.
P.O. Box 27-046, Wellington.
F. E. BEAUFORT, Secretary, Tariff and Development Board.
SCHEDULE
| Tariff Items | Description | Time and Date of Public Hearing | Closing Date for Receipt of Representations |
|---|---|---|---|
| 59.02.001 59.02.009 |
Needle-loom felt | 10.30 a.m., Thursday, 4 April 1974 | Monday, 4 March 1974 |
| Ex 39.07.398 | Shower drainage pans | 10.30 a.m., Wednesday, 17 April 1974 | Wednesday, 20 March 1974 |
| 83.13.031 | Stoppers, etc., of base metal, plain and unornamental | 10.30 a.m., Tuesday, 23 April 1974 | Friday, 22 March 1974 |
| 84.28.011 | Poultry incubators | 10.30 a.m., Thursday, 9 May 1974 | Tuesday, 9 April 1974 |
| 98.03.002 98.03.011 |
Ball-point pens and pencils Refills for ball-point pens and pencils |
10.30 a.m., Tuesday, 14 May 1974 | Friday, 12 April 1974 |
| 39.01.001 39.01.009 |
Nylon powder, granules, flakes, blocks, lumps and similar bulk forms | 10.30 a.m., Thursday, 23 May 1974 | Friday, 26 April 1974 |
| 39.03.101 39.03.109 |
Regenerated cellulose; etc., powder, granules, flakes, blocks, lumps, and similar bulk forms | - |
Post Office—Schedule of Building Contracts of $20,000 or More in Value
| Name of Work | Successful Tenderer | Amount of Tender Accepted |
|---|---|---|
| Wanganui workshops—stage I .. | Garland and Lynn Jones Ltd. | $216,310 |
W. J. SEWELL, Director-General.
RESERVE BANK OF NEW ZEALAND
STATEMENT OF ASSETS AND LIABILITIES OF THE RESERVE BANK OF NEW ZEALAND AS AT THE CLOSE OF BUSINESS ON WEDNESDAY, 14 NOVEMBER 1973
Liabilities
| Notes in circulation | .. | .. | $275,405,489 |
|---|---|---|---|
| Demand deposits | .. | .. | $ |
| (a) State | .. | .. | 226,242,841 |
| (b) Banks | .. | .. | 10,291,717 |
| (c) Marketing accounts | .. | .. | 15,831,571 |
| (d) Other | .. | .. | 108,535,920 |
| Time deposits | .. | .. | 219,755,147 |
| Liabilities in currencies other than New Zealand currency— | .. | .. | 836,956 |
| (a) Demand | .. | .. | 836,956 |
| (b) Time | .. | .. | - |
| Allocation of special drawing rights by I.M.F. | .. | .. | 61,966,071 |
| Other liabilities (including accumulated profits) | .. | .. | 42,735,211 |
| Capital accounts— | .. | .. | - |
| (a) General Reserve Fund | .. | .. | 3,000,000 |
| (b) Other reserves | .. | .. | 21,250,471 |
| -$985,851,394 |
Assets
|Gold|..|..|..|$704,991|
|Overseas assets—|..|..|..|-
|(a) Current accounts and short-term bills|..|..|..|133,179,483|
|(b) Investments|..|..|..|397,248,066|
|(c) Holdings of special drawing rights|..|..|..|51,898,540|
|-$582,326,089|
|New Zealand coin|..|..|..|5,153,355|
|Discounts|..|..|..|3,850,000|
|Advances—|(a) To the State|..|..|74,668|
|| (b) To marketing accounts|..|..|174,642,952|
|| (c) Export credits|..|..|8,987,258|
|| (d) Other advances|..|..|6,760,162|
|-$190,465,040|
|Investments in New Zealand—|..|..|..|-
|| (a) N.Z. Government securities|..|..|..|124,574,220|
|| (b) Other|..|..|..|-
|-$124,574,220|
|Other assets|..|..|..|78,777,699|
$985,851,394
M. R. HUTTON, Chief Accountant.
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VUW Te Waharoa —
NZ Gazette 1973, No 119
NZLII —
NZ Gazette 1973, No 119
✨ LLM interpretation of page content
🏭 Tariff and Development Board Notice No. 387—New Zealand - Australia Free Trade Agreement—Additions to Schedule A—Public Hearings
🏭 Trade, Customs & Industry11 December 1973
Tariff, NAFTA, Public Hearings, Schedule A, Trade Agreement
- F. E. Beaufort, Secretary, Tariff and Development Board
🏗️ Post Office—Schedule of Building Contracts of $20,000 or More in Value
🏗️ Infrastructure & Public WorksBuilding Contracts, Post Office, Wanganui
- W. J. Sewell, Director-General
💰 Statement of Assets and Liabilities of the Reserve Bank of New Zealand
💰 Finance & RevenueReserve Bank, Assets, Liabilities, Financial Statement
- M. R. Hutton, Chief Accountant