8.—5.
REVENUE ACCOUNT.
3
1906-1907. EXPENDITURE. 1907-1908. £ s. d. £ s. d. £ s. d. 37,543 0 7 2,172,092 7 9 319,721 10 3 83,777 3 4 Permanent Appropriations, — Civil List Interest and Sinking Fund Under Special Acts of the Legislature Subsidies paid to Local Bodies Amounts paid over to Local Bodies and to Deposit Accounts — Payments under the Land Acts Payments under the Timber and Flax Royalties Act 35,690 17 8 2,187,419 0 0 357,221 8 10 90,135 17 2 24,834 0 8 18,386 0 8 32,512 14 9 22,706 18 7 3,618 3 11 15,256 5 0 49,065 7 8 313,825 14 1 Endowments— New Plymouth Harbour Board Greymouth Harbour Board Westport Harbour Board Old-age Pensions .. 3,718 5 10 19,788 19 10 54,391 3 5 325,036 2 6 3,038,119 13 11 3,128,621 8 7 20,894 15 5 43,779 16 4 617,268 19 5 44,004 15 5 5,250 14 6 1,849,456 18 1 32,712 19 6 25,860 8 8 42,954 19 6 34,366 7 10 21,210 10 7 141,465 4 2 146,062 8 6 34,814 16 5 164,747 8 3 3,026 14 11 152,764 15 8 48,921 10 5 61,699 6 0 16,249 0 11 165.559 18 11 125,408 18 5 30,171 10 4 785,988 15 4 26,276 10 3 91,398 5 3 4,489 9 1 Annual Appropriations,— Class I. —Legislative Departments II.—Department of Minister of Finance III.—Post and Telegraph Department IV.—Industries and Commeroe and Tourist and Health ReBorts Departments V.—Old-age Pensions Department .. „ VI.—Working Railways Department.. VII.—Publio Buildings and Domains .. „ VIII. —Maintenance of Roads.. IX.—Printing and Stationery Department X. —Stamp and Deeds Department .. XI. —Native Department .. .. .. .. .. . • • „ XII.—Justioe Department XIII. —Police Department XIV.—Mines Department XV. —Department of Internal Affairs XVI. —Crown Law Department „ XVII.—Defence Department .. , XVIII. —Customs Department XIX.—Marine and Harbours and Inspection of Machinery Departments .. XX.—Department of Labour XXI. —Department of Lands and Survey „ XXII.—Department of Agriculture „ XXIII. —Valuation Department .. „ XXIV.—Education Department „ XXV.—Public Health Department „ XXVI. —Mental Hospitals and Hospitals and Charitable Departments Services not provided for 29,788 13 11 56,832 5 3 707,136 1 10 54,536 8 10 5,765 15 3 1,963,227 15 2 47,475 19 6 19,207 14 4 46,261 4 7 37,963 6 0 24,656 5 11 149,241 9 5 157,856 19 1 34,470 0 5 114,799 16 5 4,340 3 7 176,426 2 4 49,511 19 5 76,629 19 5 29,047 10 7 172,825 16 11 136,041 8 3 33,096 5 11 821,423 2 0 33,252 18 11 99,395 4 8 4,133 3 3 5,085,343 11 2 4,736,805 18 1 775,000 0 0 Revenue transferred to the Public Works Fund 800,000 0 0 i Debentures redeemed, — " The Immigration and Publio Works Loan Act, 1870" matured 1st June, 1907 .. " The Consolidated Stock Act, 1884" due 31st December, 1907 800,000 0 0 124,000 0 0 924,000 0 0 Debentures renewed, — " The Consolidated Stock Aot, 1884,"— Debentures due 31st December, 1907, renewed as per oontra 385,500 0 0 1,215,517 2 2 Balanceat end of Year, — Cash in the Public Account Advances in the hands of Offioers of the Government — In the Dominion In London On account of Imperial Pensions On acoount of other Governments 1,080,094 0 1 16,993 8 3 29,993 13 0 563 15 7 4,757 10 9 13,080 16 6 69,609 18 0 619 5 7 4,445 6 3 1,267,825 9 9 550,000 0 0 Less Treasury Bills outstanding 1,167,849 6 5 400,000 0 0 767,849 6 5 717,825 9 9 Totals £11,091,314 6 2 £9,267,751 1 9
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