✨ Financial Reports
8 JUNE
FUND
| YEAR ENDED | PAYMENTS | YEAR ENDED |
|---|---|---|
| 31 MARCH 1972 | $ | 31 MARCH 1973 |
| $ | $ | $ |
| State highways maintenance | 14,396,241 | 15,725,233 |
| State highways construction | 32,838,162 | 38,029,338 |
| Local bodies subsidised works | 33,789,549 | 39,388,310 |
| General | 2,883,571 | 3,522,707 |
| Administration | 4,189,568 | 5,047,196 |
| Unauthorised expenditure | 5,885 | 9,141 |
| Excess of receipts over payments | 3,505,986 | |
| Total | $91,608,962 | $101,721,925 |
| Excess of payments over receipts | 2,018,193 | |
| Balance at end of year—Cash | 4,293,720 | 2,275,527 |
| Total | $4,293,720 | $4,293,720 |
FUND
| $ | Excess of receipts over payments | $ | $ |
|---|---|---|---|
| 25,539,519 | Adjustment of value of investments held overseas consequent on realignment of currencies | 10,511,026 | 7,312,136 |
| Balances at end of year—Cash | 5,353,327 | 27,679,876 | 67,601,720 |
| Investments (nominal value, $69,117,447) | 79,417,243 | ||
| Total | $84,770,570 | $95,281,596 |
ACCOUNT
| $ | Payments | $ | $ |
|---|---|---|---|
| 263,844,245 | Balances at end of year—Cash | 3,529,610 | |
| Investments | 14,892,684 | ||
| Total | $291,235,057 | $362,936,771 |
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VUW Te Waharoa —
NZ Gazette 1973, No 55
NZLII —
NZ Gazette 1973, No 55
✨ LLM interpretation of page content
💰
National Roads Financial Report for the Year Ended 31 March 1973
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💰 Finance & RevenueNational Roads, Financial Report, Receipts, Payments, Reserve, Trust, Motor Spirits Duty, Taxation, Consolidated Revenue Account