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8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Year ended 31st March, 1915, compared with the Financial Year ended 31st March, 1914.

1913-1914. EXPENDITURE. 1914-: 1915. £ s. a. Permanent Appropriations,— Civil List.. Interest and Sinking Fund.. Under Special Acts of the Legislature Subsidies paid to Local Bodies .. .. Amounts paid ovor to Local Bodies and to Deposit Aooounts — Payments under the Land Acts Endowments — New Plymouth Harbour Board Greymouth Harbour Board Westport Harbour Board National Endowment Residue Pensions Act, 1913— Old-age Pensions Widows' Pensions Military Pensions £ s. d. £ s. a. 32,070 13 5 2,887,980 14 6 545,103 11 1 120,673 7 2 21,953 19 5 3,071,448 8 1 545,341 1 9 124,820 19 5 55,583 19 11 51,684 16 3 4,745 14 11 19,313 8 2 47,138 9 10 72,401 14 2 4,734 7 10 30,281 12 0 60,159 10 2 78,770 0 10 4,236,088 7 10 394,558 -9 6 27,073 0 8 29,445 4 C Annual Appropriations,— Class I.—Legislative Departments „ II.—Department of Pinanoe „ III.—Post and Telegraph Department „ IV.—Working Railways Department.. „ V.—Public Buildings, Domains, and Maintenance of Roads VI.—Native Department „ VII.—Justice Department „ VIII.—Mines Department „ IX.—Department of Internal Ailairs .. X.—Defence Department .. „ XI.—Customs, Marine and Harbours, and Inspection of Maohinery Departments XII.—Department of Labour XIII.—Department of Lands and Survey „ XIV. —Department of Agriculture, Industries, and Commerce „ XV.—Education Department Services not provided for 436,765 6 10 31,610 0 11 47,607 5 9 4,505,177 9 3 43,742 14 7 68.984 4 4 1,170,883 8 5 3,004,180 14 9 125,466 3 7 23.985 14 0 419,749 9 8 29,877 8 7 456,982 8 8 488,569 9 4 37,551 15 9 170,133 13 0 1,244,568 12 11 2,881,087 8 5 117,676 1 4 24,004 11 1J 442,478 9 0 29,170 10 9 489,206 10 8 499,136 17 2 146,983 19 9 28,548 16 2 253,791 11 9 192,837 17 6 1,131,755 17 6 3,435 9 0 149,199 10 2 28,141 17 5 239,043 7 11 206,731 0 9 1,207,982 14 4 108,512 12 4 7,874,625 13 10 7,589,775 7 7 675,000 0 0 Revenue transferred to the Public Works Fund 350,000 0 0 The New Zealand Loans Act, 1908,— The Now Zealand Loan Act, 1863— Debentures matured 15th July, 1914, redeemed 251,350 0 0 100 0 0 The Canterbury Loan Ordinance, 1862— Debentures matured 2nd January, 1915, redeemed Debentures matured 11th September, 1913, redeemed 2,900 0 0 2,900 0 0 13,000 0 0 100 0 0 The Consolidated Loan Act, 1867— Debentures matured 15th April, 1913, redeemed by renewal Defence and other Purposes Loan Aot, 1870— Debentures matured 15th April, 1913, redeemed by renewal 75,000 0 0 11,400 0 0 6,000 0 0 General Purposes Loan Act, 1873— Debentures maturod 15th October, 1913, redeemed Debentures matured 15th October, 1913, redeemed by renewal 17,400 0 0 The State Fire Insurance Act, 1908— Debentures maturing 1st May, 1918, redeemed 2,000 0 0 378,875 3 0 29,464 3 9 13,598 4 1 620 19 4 4,346 12 3 Balance at end of Year, — Cash in the Public Account Imprests outstanding— In the Dominion .. .. .. ,. ,. In London On account of Imperial Pensions .. .. .. ,, ., On aocount of other Governments .. .. .. .. 70,953 19 10 85,466 1 8 28,519 1 8 10,144 17 7 3,062 19 11 149,047 0 8 426,905 2 5 £13,035,268 17 10 Totals £13,133,100 3 9

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