✨ National Roads Financial Report
2920
THE NEW ZEALAND GAZETTE
No. 113
NATIONAL ROADS
SIX MONTHS
ENDED 30 SEP
1976
RECEIPTS
SIX MONTHS ENDED
30 SEP 1977
$
38,996,280
2,493,113
36,503,167
12,000,000
9,893,611
1,093,233
$59,490,011
55,690
3,595,701
$3,651,391
Motor spirits duty
Less refunds
Contribution from Consolidated Revenue Account
Other taxation, fees, etc.
Miscellaneous
Balance at beginning of year—
Cash
Excess of receipts over payments
Total
$
51,177,307
2,329,590
48,847,717
..
8,803,829
857,450
$58,508,996
2,314,813
3,548,105
$5,862,918
RESERVE
$
1,000
63,709
$64,709
1,133,671
1,454,052
2,587,723
64,709
$2,652,432
Miscellaneous
Interest on investments
Balances at beginning of year—
Cash
Investments (nominal value, $110,258,143)
Excess of receipts over payments
Total
$
1,125
259,255
$260,380
4,705,850
97,948,058
102,653,908
260,380
$102,914,288
TRUST
$
213,302,902
15,809,482
22,327,785
38,137,267
$251,440,169
Receipts
Balances at beginning of year—
Cash
Investments (nominal value, $25,895,040)
Total
$
206,553,742
6,738,317
24,661,240
31,399,557
$237,953,299
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VUW Te Waharoa —
NZ Gazette 1977, No 113
NZLII —
NZ Gazette 1977, No 113
✨ LLM interpretation of page content
🏗️
National Roads Financial Report for Six Months Ended 30 September 1976 and 1977
(continued from previous page)
🏗️ Infrastructure & Public WorksNational Roads, Financial Report, Receipts, Reserve, Trust, Motor Spirits Duty, Consolidated Revenue Account, Taxation, Fees, Miscellaneous, Cash, Investments, Interest