3
8.—6
STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Year ended 31st March, 1910, compared with the Financial Year ended 31st March, 1909. ORDINARY REVENUE ACCOUNT.
19O8-19O9. EXPENDITURE. 19O9 ■191O. £ a. d. Permanent Appropriations,— 33,953 6 11 CivilList.. 2,258,364 15 9 Interest and Sinking Fund.. 369,837 14 8 Under Special Acts of the Legislature 95,060 17 4 Subsidies paid to Local Bodies Amounts paid over to Local Bodies and to Deposit Acoounts— 29,315 14 5 Payments under the Land Acts .. 9,307 10 11 Payments under the Timber and Flax Royalties Aot E ndowments— 3,262 19 4 ! New Plymouth Harbour Board .. 18,204 9 1 Greymouth Harbour Board 56,190 13 11 Westport Harbour Board National Endowment Residue 336,532 1 7 Old age Pensions .. 3,210,030 3 11 £ s. d. a s. d. 33,729 14 8 2,397,461 10 7 452,491 1 6 94,207 18 1 29,657 11 5 6,741 19 6 3,399 16 0 21,509 0 1 66,015 6 6 67,142 1 11 342,053 3 5 3,514,409 3 8 3,210,030 3 11 Annual Appropriations,— 29,280 19 8 Class I.—Legislative Departments 96.456 14 0 „ II.—Department of Finance 814,635 15 7 \ ,. III.—Post and Telegraph Department 2,120,308 4 10 j „ IV.—Working Railways Department.. 85,595 14 0 ' V.—Publio Buildings, Domains, and Maintenance of Roads .. 30,839 19 11 VI.—Native Department 350,840 4 8 1 . VII. — Justioe Department 31.457 2 7 . VIII.—Mines Department 344,565 19 7 „ IX.—Department of Internal Affairs .. 195,685 3 0 . X.—Defence Department .. XI.—Customs, Marine and Harbours, and Inspection of Machinery Depart131,321 5 1 ments 30,277 1 0 „ XII.—Department of Labour 232,167 4 11 „ XIII.—Department of Lands and Survey 219,690 3 (> „ XIV.—Department of Agriculture, Commerce, and Tourists 848,234 4 2 , XV.—Education Department 14,127 8 1 ' Services not provided for .. 5,575,483 5 1 28,633 13 8 73,757 2 6 855,861 11 4 2,168,188 19 9 86,728 19 2 18,874 9 2 357,140 18 7 24,704 5 3 256,466 5 0 190,346 9 11 122,782 1 2 24,212 8 10 205,538 0 6 189,913 15 7 862,945 19 8 10,418 1 7 5,575,483 5 1 5,476,518 1 8 800,000 0 0 Revenue transferred to the Public Works Fund 800,000 0 0 Debentures renewed, — " New Zealand Loans Act, 1908 " (" The Consolidated Stock Act, 1884 "),— 165,000 0 0 Debentures matured 4th January, 1909 .. 165,000 0 0 " The Dairy Induetry Aot, 1908,"— 438 0 0 Debentures matured 1st August, 1908 438 0 0 Balance at end of Year, — 387,163 1 6 Cash in the Public Account Advances in the hands of Offioere of the Government — 42,287 4 0 Iu the Dominion 17 11 9 On account of Imperial Pensions 4,853 2 2 On account of other Governments 491,437 4 5 387,163 1 6 42,287 4 0 17 11 9 4,853 2 2 35,441 7 0 510 9 8 4,926 16 9 434,320 19 5 250,000 0 0j Less Treasury Bills outstanding .. 1«4 32(1 19 K 434,320 19 5 •250,000 0 0 532,315 17 10 100,000 0 0 432,315 17 10 lai.aau iy o £9,935,272 8 5 Totals 184.320 19 5 59,935,272 8 5 £9,423.238 8 2
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