✨ Provincial Financial Report
405
EXPENDITURE—Continued
| Brought forward | £3512 14 7 | £35,712 19 2 | £29,587 10 10 |
|---|---|---|---|
| Fuel | 299 0 8 | ||
| Relief to Destitute Persons | 205 15 11 | ||
| Printing | 407 10 0 | ||
| Advertising | 410 12 5 | ||
| Stationery | 718 11 0 | ||
| Temporary Employment of Immigrants | 389 15 3 | ||
| Taieri Ferry | 500 0 0 | ||
| Gratuity to Gaoler | 300 0 0 | ||
| Poundkeeper | 25 0 0 | ||
| Mechanics' Institution | 300 5 0 | ||
| Athenaeum | 21 9 0 | ||
| Upper Taieri Ferryman | 141 0 0 | ||
| Purchase of Runs | 1,216 0 0 | ||
| Military (extra pay) | 1,401 18 5 | ||
| Province of Southland | 9 18 9 | ||
| Registrars of Deed | 153 9 8 | ||
| Bank Interest and Commission | 129 15 8 | ||
| District and other Courts | 909 5 1 | ||
| International Exhibition | 1,949 6 0 | ||
| General contingencies | 496 12 11 | ||
| Total Expenditure | 13,598 0 4 | £109,310 19 0 |
Balance at March 31st, 1862.
Loans—
Dunedin Town Board . . . . . . 4,500 0 0
Cemetery . . . . . . . . . 100 0 0
Port Chalmers . . . . . . . 100 0 0
Due by Crawford & Auld (Home Agents) . . . 7,218 14 10
Advanced Accounts—
Roads and Bridges Department . . 37 15 9
Roads and Bridges (special) . . . . . . 1,000 0 0
Public Buildings Department . . . . . 3 1 5
Police Department . . . . . . . . 109 12 2
Harbor Department . . . . . . . . 99 9 11
Gold Escort . . . . . . . . . 7 3 6
Paymaster Public Works . . . . . . 9 15 7
Scotch Thistle (cutting down) . . . . . 60 0 0
Balance in Bank of New South Wales . . . 45,551 7 11
Less cheques issued, but not presented . . 720 4 5
Balance in hands of Sub-Treasurer . . 44,831 3 6
Total . . £196,976 11 1
WALTER DAY, Sub-Treasurer and Accountant.
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✨ LLM interpretation of page content
💰
Provincial Expenditure for Half-Year Ended March 31, 1862
(continued from previous page)
💰 Finance & RevenueExpenditure, Provincial Government, Financial Report, Loans, Balance Sheet
- WALTER DAY, Sub-Treasurer and Accountant
Otago Provincial Gazette 1862, No 179