Financial Summary of National Roads




1656
THE NEW ZEALAND GAZETTE
No. 4
NATIONAL ROADS

YEAR ENDED 31 MARCH 1978 RECEIPTS YEAR ENDED 31 MARCH 1979
$(000) $(000) $(000)
111,866 Motor spirits duty 116,486 109,674
5,170 Less refunds 6,812
106,696 Road user charges 50,150 48,302
.. Less refunds 1,848 1,525
19,560 Other taxation, fees, etc. .. 14,000
10,000* Contribution from Consolidated Account ..
4,000* Temporary transfer from Loans Redemption Account ..
3,109 Miscellaneous .. 3,542
1,815 Excess of payments over receipts ..
$145,180 $177,043
2,315 Balance at beginning of year— 500
.. Cash 6,509
Excess of receipts over payments
$2,315 Total $7,009

*Temporary transfer made under section 46, Public Finance Act 1977.

$(000) $(000) $(000)
2,611 Interest on investments .. 2,430
3 Miscellaneous .. 3
80,000 Transfer from Consolidated Account .. ..
.. Transfer from Trust Account, General Purposes Relief Account .. 2,093
Excess of payments over receipts .. 85,640
$82,614 $90,166
4,706 Balances at beginning of year— 12,480
97,948 Cash 171,947 184,427
102,654 Investments (nominal value, $171,419,924)
81,773 Excess of receipts over payments ..
$184,427 Total .. $184,427

*Made in terms of section 116, Public Finance Act 1977.

$(000) $(000) $(000)
517,843 Receipts .. 734,620
6,739 Balances at beginning of year— 4,277
24,661 Cash 37,032 41,309
31,400 Investments
$549,243 Total .. $775,929


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💰 Summary of Receipts and Payments of the Public Account for the Year Ended 31 March 1979 (continued from previous page)

💰 Finance & Revenue
Financial Summary, Public Account, Receipts, Payments, Year Ended