Financial Summary




28 OCTOBER

ACCOUNT

SIX MONTHS
ENDED 30 SEP
1974

$
8,768,270
1,377,012
932,763
345,479
5,694,260
1,532,229
26,500,766
13,262,529
12,814,578
87,999,459
8,541,190
885,123
1,746,999
849,283
22,202,357
86,666,107
1,521,291
345,020
281,984,715
2,250,861
24,137,700
1,141,988
25,279,688
7,720,076
10,864,954
2,070,768
114,831
$330,285,893
3,493,338
1,796,080
52,798
6,706,838
8,555,716
$12,049,054

THE NEW ZEALAND GAZETTE

PAYMENTS

| Annual Appropriations- Administration- General Administration- State Services Commission (Programme IV-Public Buildings Construction) | 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 VIII-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 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 VII-Public Buildings Construction) | Health- Health (Programmes X and XI-Public Buildings Construction) | Social Services- Works and Development (Programme VIII (1974-75)-Construction of Housing) | Transport and Communications- Transport- Railways | Transport (Programme VI-Civil Aviation Airport Development) | Works and Development (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 | Excess of payments over receipts | Balances at end of 6 months- Cash | Investments | Imprests outstanding | Total |
| --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- |
| $2,966,621* | 7,877,640 | | 2,370,720 | | 1,424,035 | 1,759,958 | | 9,556,913 | 1,656,039 | 34,588,929 | | 15,981,328 | | 18,702,420 | 125,512,830 | | 13,370,791 | | 893,579 | 1,235,011 | | 1,081,907 | ☼ | | 123,232,609 | 3,327,289 | 440,855 | | | | | | 27,509,698 | | 1,402,075 | | | | | | | 13,593,375 | 33,056 | 8,642,401 | |

SIX MONTHS ENDED
30 SEP 1975

$
365,979,474
3,604,536
28,911,773
2,942,344
3,735,487
1,687,523
170,144
18,894,155
$425,925,436
22,268,832
$22,268,832

*Includes expenditure on construction of Government office accommodation previously met from Vote Works and Development (Programme VI—Construction of Public Buildings).
†Expenditure now met by Housing Corporation of New Zealand.

2377



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💰 Summary of Receipts and Payments of the Public Account for Six Months Ended 30 September 1974 (continued from previous page)

💰 Finance & Revenue
Public Account, Receipts, Payments, Financial Summary, Six Months

💰 Summary of Receipts and Payments of the Public Account for Six Months Ended 30 September 1975

💰 Finance & Revenue
Public Account, Receipts, Payments, Financial Summary, Six Months