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


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✨ LLM interpretation of page content

🏗️ National Roads Receipts and Reserve Summary for Nine Months Ended 31 December 1976 and 1977

🏗️ Infrastructure & Public Works
Revenue, Expenditure, Motor Spirits Duty, Consolidated Revenue Account, Taxation, Fees, Balances, Investments