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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💰 National Roads Financial Report for the Year Ended 31 March 1973 (continued from previous page)

💰 Finance & Revenue
National Roads, Financial Report, Receipts, Payments, Reserve, Trust, Motor Spirits Duty, Taxation, Consolidated Revenue Account