✨ National Roads Financial Summary
250 THE NEW ZEALAND GAZETTE No. 7
NATIONAL ROADS
RECEIPTS
| Nine Months Ended 31 Dec 1976 | Nine Months Ended 31 Dec 1977 | ||
|---|---|---|---|
| $ | $ | $ | |
| 61,543,948 | Motor spirits duty | 79,650,477 | |
| 3,225,901 | Less refunds | 3,903,492 | |
| 58,318,047 | 75,746,985 | ||
| 21,000,000 | Contribution from Consolidated Revenue Account | 10,000,000 | |
| 13,860,744 | Other taxation, fees, etc. | 15,557,613 | |
| 2,112,537 | Miscellaneous | 1,848,932 | |
| $95,291,328 | $103,153,530 | ||
| 55,690 | Balance at beginning of year—Cash | 2,314,813 | |
| 20,666,355 | Excess of receipts over payments | 24,955,581 | |
| $20,722,045 | Total | $27,270,394 |
RESERVE
| Nine Months Ended 31 Dec 1976 | Nine Months Ended 31 Dec 1977 | ||
|---|---|---|---|
| $ | $ | $ | |
| 1,650 | Miscellaneous | 1,775 | |
| 63,709 | Interest on investments | 2,039,905 | |
| $65,359 | $2,041,680 | ||
| Balances at beginning of year— | |||
| 1,133,671 | Cash | 4,705,850 | |
| 1,454,052 | Investments (nominal value, $110,258,143) | 97,948,058 | |
| 2,587,723 | 102,653,908 | ||
| 65,359 | Excess of receipts over payments | 2,041,680 | |
| $2,653,082 | Total | $104,695,588 |
TRUST
| Nine Months Ended 31 Dec 1976 | Nine Months Ended 31 Dec 1977 | ||
|---|---|---|---|
| $ | $ | $ | |
| 303,406,799 | Receipts | 369,412,666 | |
| Balances at beginning of year— | |||
| 15,809,482 | Cash | 6,738,317 | |
| 22,327,785 | Investments (nominal value, $25,895,040) | 24,661,240 | |
| 38,137,267 | 31,399,557 | ||
| $341,544,066 | Total | $400,812,223 |
Next Page →
PDF embedding disabled (Crown copyright)
View this page online at:
VUW Te Waharoa —
NZ Gazette 1978, No 7
NZLII —
NZ Gazette 1978, No 7
✨ LLM interpretation of page content
🏗️ National Roads Receipts and Reserve Summary for Nine Months Ended 31 December 1976 and 1977
🏗️ Infrastructure & Public WorksRevenue, Expenditure, Motor Spirits Duty, Consolidated Revenue Account, Taxation, Fees, Balances, Investments