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TABLE 1.-MAIN HIGHWAYS ACCOUNT. CONSTRUCTION FUND. Income and Expenditure on Capital Account for the Year ended 31st March, 1927.
Total since i Total since n YT>i7<ATTvrrTvr7T>T7 ! Government Ordinary Main Total for Year Declaration of TArrnMTr ! Government ! Ordinary Main Total for Year Declaration of ii,A±*Ji,JN D1 1U ilJii. I Roads. Highways. 1926-27. Main Highways h Roads. j Highways. 1926-27. Main Highways (9/6/24). || (9/6/24). To Net expenditure on construction and improvement of main highways, By Recoveries on account of expenditure of including cost of administration by Public Works Department and previous years :— accident compensation :— Highway District — £ s. d. £ s. d. £ s. d. £ s. d. Highway District — £ s. d. £ s. d. £ s. d. £ s. d. j No. 2 .. .. .. .. .. .. .. 600 No. 1 .. .. .. 28,148 1 6 20.322 18 8 48,471 0 2 142,484 29 No. 4.. .. .. ,. 194 .. 194 288 No. 2 .. .. .. 32,219 Oil 60,799 15 4 93,018 16 3 178,023 14 3 No. 12 .. .. .. .. 0 19 0 .. 0 19 0 0 19' 0 No. 3 .. .. .. 30,010 9 0 6,008 15 3 36,019 4 3 54,252 16 10 No. 13 .. .. .. .. .. 102 0 0 102 0 0 102 0 0 No. 4 .. .. .. 25,767 4 1 7,281 16 2 33,049 0 3 130,706 3 7 i No. 5 .. .. .. 2,280 17 6 24,547 9 2 26,828 6 8 62,111 15 11 2 8 4 102 0 0 104 8 4 111 7 8 No. 6 .. .. .. 25,723 8 11 2,862 4 5 28,585 13 4 75,449 5 10 Receipts under section 15, Finance Act, 1923, from Public Works Fund, No. 7 .. .. .. 30,506 17 3 26,539 5 10 57,046 3 1 150,771 7 1 : General Purposes Account* .. .. .. .. .. 200,000 0 0 626,000 0 0 No. 8 .. .. .. 7,439 1 7 11,168 0 9 18,607 2 4 40,385 8 6 i Loans raised under Main Highways Act, 1922 — No. 9 .. .. .. 30,559 19 9 55.780 7 1 86,340 6 10 130,962 1 11 Consolidated stock \. .. .. .. .. .. .. 542,007 14 0 No. 10 .. .. .. 2,605 8 1 19,213 8 3 21,818 16 4 31,881 9 5 1 Debentures .. .. .. .. .. .. .. 100,000 0 0 100,000 0 0 No. 11 .. .. 2,432 13 11 2,602 10 7 5,035 4 6 9,317 11 11 Balance, excess of expenditure over income, carried to general balance-sheet i 273,758 7 6 No. 12 .. .. .. 21,059 13 10 630 14 8 21,690 8 6 70,194 11 4 No. 13 .. .. ■■ 36 15 0 12,983 4 5 13,019 19 5 56,820 8 10 No 14 .. .. ■■ 1,996 9 10 17,338 14 9 19,335 4 7 20,331 17 8 No. 15 .. .. .. .. 3.745 3 8 3,745 3 8 6,715 5 1 No 16 .. .. .. 5,489 3 8 1,471 6 7 6,960 10 3 30,051 19 8 No. 17 .. .. .. 30,267 10 1 3,551 12 10 33.819 2 11 34,965 1 6 No. 18 .. .. .. ] 6,040 15 0 . 14,431 17 6 20,472 12 6 23,233 15 11 282,583 9 11 i 291,279 5 11 573,862 15 10 1,248,658 18 0 Balance, being excess of income over expenditure, carried to general balance-sheet .. 19.460 3 8 573,862 15 10 1,268,119 1 8 573,862 15 10 1,268,119 1 S * Interest on these amounts is paid from Consolidated Fund.
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