Financial Statement




RECEIPTS AND DISBURSEMENTS

OF THE PROVINCIAL GOVERNMENT OF SOUTHLAND

FOR THE THREE MONTHS ENDED 31st MARCH, 1870.


RECEIPTS.

Description Amount
Land Revenue £1462 10 0
Rent of Railway 400 0 0
Pilotage 108 12 10
Dog Tax 22 0 0
Sheep Inspection Fees 7 10 0
Cattle Sales and Branding Fees 6 10 0
Rent of Jetty 15 0 0
Jetty Dues 8 3 6
Jetty Tonnage Dues 2 0 0
Accommodation House Licenses 17 10 0
Wholesale Licenses 60 0 0
Special Licenses 6 0 0
Grocers' Licenses 10 0 0
Hawkers' Licenses 2 10 0
Auction License 20 0 0
Goldfields Revenue 77 2 0

MISCELLANEOUS—

Description Amount
Refund—Voucher No. 11,804 1 15 0
Refund—Poundkeeper 1 10 0
Sale of a Boat 10 0 0
Work and Material from Railway Work Shops 7 15 10
Rent of Railway Reserves 15 0 0

Total Miscellaneous | 36 0 10 |


Description Amount
Paid to Provincial Account 2261 9 2
Advanced by General Government in payment of claims against Gaol, Police, and Harbor Departments, &c., &c. 1548 1 11
Overdraft at Provincial Account, 31st March, 1870 3995 16 9

Total | £7805 7 10 |



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Online Sources for this page:

VUW Te Waharoa PDF Southland Provincial Gazette 1870, No 5





✨ LLM interpretation of page content

💰 Receipts and Disbursements of the Provincial Government of Southland

💰 Finance & Revenue
Financial statement, Revenue, Expenditure, Southland, March 1870