✨ Financial Summary
30 JULY
ACCOUNT
THREE MONTHS
ENDED 30 JUNE
1973
$
2,666,218
514,647
525,382
...
1,405,336
264,050
9,389,129
4,267,166
2,954,762
28,579,656
2,123,598
538,505
373,221
571,872
2,810,391
29,084,907
1,500,371
1,320,910
66,634
88,956,755
211,267
10,751,445
1,143,512
11,894,957
1,816,399
5,208,635
51,997
23,850
7,714,198
$115,878,058
Annual Appropriations—
Administration—
General Administration—
Works (Programme VI—Construction of Public Buildings)
Law and Order—
Justice (Programme IX—Public Buildings Construction)
Police (Programme III—Public Buildings Construction)
Government Services—
Works (Programme VII—Development of Natural Resources)
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 X and XI—Public Buildings Construction)
Social Services—
Works (Programme VIII—Construction of Housing)
Transport and Communications—
Transport—
Railways
Transport (Programme VI—Civil Aviation, Airport Development)
Works (Programme VII—Construction of Railways)
Works (Programme V—Developmental Roading)
Contributions to Superannuation schemes
Interest on capital liability paid to Consolidated Revenue Account—
Electric Supply
Railways
Capital equipment purchased under credit arrangements
Contributions to Loans Redemption Account for redemption of securities
Land acquired other than under annual votes
Miscellaneous expenditure
Excess of receipts over payments
$18,213,579
PAYMENTS
$
4,010,309
632,065
429,262
48,381
2,055,756
539,178
10,893,362
6,354,795
4,482,342
36,804,904
3,310,823
448,821
505,726
217,614
8,395,219
34,358,566
1,093,083
...
153,144
...
...
11,867,018
1,003,011
...
...
...
...
...
...
THREE MONTHS ENDED
30 JUNE 1974
$
$
...
...
114,733,350
471,192
12,870,029
960,291
1,297,450
744,822
53,936
...
$131,131,070
507,058
...
...
$3,133,001
77,798
8,331,197
11,541,996
$12,049,054
Balances at end of 3 months—
Cash
Investments
Imprests outstanding
Total
*Expenditure now met from Vote Railways.
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VUW Te Waharoa —
NZ Gazette 1974, No 74
NZLII —
NZ Gazette 1974, No 74
✨ LLM interpretation of page content
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Summary of Receipts and Payments of the Public Account for Three Months Ended 30 June 1974
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💰 Finance & RevenueFinancial Summary, Public Account, Receipts, Payments