Provincial Financial Statement




STATEMENT OF RECEIPTS, ACTUAL AND ESTIMATED, FOR THE YEAR ENDED 31st MARCH, 1875.

ACTUAL ESTIMATED
GENERAL GOVERNMENT £ s. d. £ s. d.
North Otago District Public Works Loan 12,000 0 0
Under "Public Debt Sinking Funds Act, 1866" 33,378 12 6
Capitation Allowance 2,006 3 11
Road Boards Subsidies 14,154 19 0
Refund re Sullivan 92 3 9
Separate Account 441 16 7
62,073 15 9
Crown Lands 92,478 3 7
" " Southland 143,218 4 4
235,696 7 11
Assessment on Stock 54,412 4 8
" " Southland 6,818 4 8
Hundreds Assessment 15 0 6
61,245 9 10
Gold Export Duty 11,502 6 11
Gold Fields Revenue 26,557 14 11
Harbor Dues and Pilotage 4,029 7 4
" " Southland 1,348 2 7
5,377 9 11
Otago Dock Dues 996 3 6
Jetty 3,134 4 8
Tonnage 27 2 6
4,157 10 8
Tolls on Roads 13,889 14 2
Sale of Government Buildings and Land 10,854 8 10
Dog Tax 2,234 15 0
Goat Tax 1 0 0
2,235 15 0
EDUCATION
Reserves, rent of 3,979 9 0
School Fees 1,829 17 0
Drawing Class Fees 78 0 0
School Books 2 5 0
5,889 11 0
GAOL
Maintenance of Debtors 53 6 9
Prison Labor 226 0 10
279 7 7
LICENSES
General 2,769 6 0
General Night 53 10 0
Bottle 202 10 0
Wholesale 102 0 0
Temporary 62 5 0
Brewers' 17 10 0
Hawkers' 24 10 0
Waterman's 91 7 0
Bagatelle 11 10 0
Billiard 151 5 0
Angling 38 0 0
3,523 13 0


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Online Sources for this page:

PDF PDF Otago Provincial Gazette 1875, No 962





✨ LLM interpretation of page content

💰 Statement of Receipts, Actual and Estimated, for the year ended 31st March, 1875 (continued from previous page)

💰 Finance & Revenue
13 April 1875
Financial Statement, Otago, Revenue, Estimates, Public Works, Crown Lands, Taxation