Public Account Financial Summary




ACCOUNT
YEAR ENDED
31 MARCH 1974

$
12,842,259
3,102,466
1,944,761

$
12,963,754
1,779,399
52,015,460
26,330,965
16,733,529

147,348,251
15,592,720

1,898,210
6,000,000
2,836,350
20,709,927*

166,063,276
4,691,200
7,530,335
1,999,875

502,382,737

5,551,579
45,165,943
11,173,305
2,517,591

58,856,839

26,318,265
4,425,628
2,722,439

427,822

1,549,673
$602,234,982

  • 10,487,134
    89,798
    1,472,122

12,049,054
$12,049,054

PAYMENTS

Annual Appropriations—
Administration—
General Administration—
Works and Development (Programme VI—Construction of Public Buildings)
Law and Order—
Justice (Programme IX—Public Buildings Construction)
Police (Programme III—Public Buildings Construction)
Government Services—
Works and Development (Programme VII—Development of Natural Resources)
Works and Development (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 and Development (Programme VIII—Construction of Housing)
Transport and Communications—
Transport—
Railways
Transport (Programme VI—Civil Aviation, Airport Development)
Works and Development (Programme VII—Construction of Railways)
Works and Development (Programme V—Developmental Roading)

Contributions to Superannuation Schemes
Interest on capital liability paid to Consolidated Revenue Account—
Electric Supply
Land Settlement
Railways
Contributions to Loans Redemption Account for redemption of securities
Capital equipment purchased under credit arrangements
Land acquired other than under annual votes
Miscellaneous expenditure
Excess of receipts over payments

Excess of payments over receipts
Balances at end of year—
Cash
Investments
Imprests outstanding
Total

YEAR ENDED
31 MARCH 1975

$

$
17,334,822
4,342,456
2,053,555
1,353,426
15,482,741

3,547,543
61,523,866
33,939,174
29,100,548
218,677,511
20,967,713
1,926,942
4,578,160
2,230,809
71,475,482*
217,968,329
3,362,115
2,218,672
712,083,864

6,477,029
50,773,266
11,288,849
2,569,896
64,632,011
15,437,438
7,916,162
4,021,345
396,459

$810,964,308

8,674,377
1,367,044
57,533
1,950,100
3,374,677

$12,049,054

*Included in amounts of $20,709,927 and $71,475,482 are $986,010 and $1,777,041 respectively, being interest on capital liability paid to Consolidated Revenue Account.
†Expenditure now met from Vote Railways.



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💰 Summary of Receipts and Payments of the Public Account for the Year Ended 31 March 1974 (continued from previous page)

💰 Finance & Revenue
Public Account, Receipts, Payments, Financial Summary, Revenue Account, Expenditure

💰 Summary of Receipts and Payments of the Public Account for the Year Ended 31 March 1975

💰 Finance & Revenue
Public Account, Receipts, Payments, Financial Summary, Revenue Account, Expenditure