Page image
Page image

17

D.—l

3-D. 1

TABLE No. 6— continued. LAKE COLERIDGE HYDRO-ELECTRIC-POWER SUPPLY— continued. Balance-sheet at 31st March, 1922— continued.

1920-21. Liabilities. 1921-22. 1920-21. Assets. 1921-22. £ s. d. 598,378 1 0 Brought forward £ s. d. £ s. d. I £ s. d. 843,226 3 6 336,310 9 5 6,882 12 7 4,834 0 6 6,913 8 7 16,354 5 7 7,729 4 6 1,406 8 4 622 9 9 310 14 5 1,516 12 8 46,569 16 11 £ s. d. £ s d. Brought forward .. .. .. .. .. 472,997 11 3 Primary distribution — Supply cables —Christchurch City .. 6,829 9 4 Christchurch Tramways .. 4,834 0 6 Lyttelton .. .. 7,013 3 9 Northern .. .. 16,513 15 8 Southern .. .. 10,786 5 1 Motukarara .. .. 3,515 12 4 Lightning-arresters .. .. .. 622 9 9 Tools and equipment .. .. .. 300 4 5 Alterations to public telegraph-lines .. 1,516 12 8 £ s d. 472,997 11 3 : 51,931 13 6 I 19,052 0 9 8,817 17 4 27,869 18 1 16,147 16 5 8,452 10 4 93 15 10 8,852 3 3 1,729 3 9 173 19 1 236 16 7 19,423 8 4 16,772 8 11 978 11 11 16,346 8 1 499,957 6 11 Secondary distribution — Supplv cables and reticulation .. .. 22,024 17 3 Local "substations .. .. .. 20,395 4 11 42,420 2 2 Service transformers and meters .. .. .. 16,744 12 4 Motor cars, lorries, and cycles, &c. .. .. .. 8,171 12 0 Test-room equipment .. .. .. .. 101 10 7 Loose plant, tools, and equipment .. .. .. 10,796 7 7 Public telephones to the lake .. .. .. 1,729 3 9 Telephones to Christchurch City Council and Tramway Board and local officers .. .. 173 19 1 Christchurch office —Furniture and fittings .. .. 247 3 2 Engineering, office, and general expenses on preliminary surveys and during construction.. .. 23,969 18 8 Salaries of Engineers and others on preliminary surve3 r s and during construction .. .. .. 20,378 10 7 Survey and investigation, Timaru line route Interest during construction • .. .. .. 21,945 14 4 ' 671,607 19 0 £598,378 1 0 £ 56,184 5 9 152 12 1 9,016 8 10 i 2,393 9 1 11,409 17 11 567,704 2 8 30,673 18 4 £843,226 3 6 £598,378 1 0 Stocks of material, &c, on hand at date .. .. 128,674 19 8 Telephone subscriptions and fire insurance paid in advance .. .. .. .. .. 162 18 10 Sundry debtors — For current and rent .. .. .. 11,839 13 3 For work carried out, &c... .. .. 1,765 3 4 11,409 17 11 13,604 16 7 814,050 14 1 Balance from Profit and Loss Appropriation Account .. .. .. .. .. 29,175 9 5 567,704 2 8 30,673 18 4 - £843,226 3 6 £598,378 1 0 £843,226 3 6 The balance-sheet has been duly audited with the various supporting books, vouchers, and documents, and found to correspond therewith. G. P. C. Campbell, Controller and Auditor-General.

Log in or create a Papers Past website account

Use your Papers Past website account to correct newspaper text.

By creating and using this account you agree to our terms of use.

Log in with RealMe®

If you’ve used a RealMe login somewhere else, you can use it here too. If you don’t already have a username and password, just click Log in and you can choose to create one.


Log in again to continue your work

Your session has expired.

Log in again with RealMe®


Alert