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8.—6.

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Year ended 31st March, 1911, compared with the Financial Year ended 31st March, 1910. ORDINARY REVENUE FUND ACCOUNT.

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19O9-191O. EXPENDITURE. 191O-1911. fi 8. d. £ 3. d £ s. d. Permanent Appropriations,— 33,729 14 8 CivilList.. .. .. .. .. .. .. .. .. 34,878 i 8 2,307,46110 7 Interest and Sinking Fund.. .. .. .. .. .. .. 2,458,452 4 8 452,491 1 6 Under Special Acts of the Legislature .. .. .. .. .. 482,118 7 4 94,207 18 1 Subsidies paid to Local Bodies .. .. .. .. .. .. 108,016 11 6 Amounts paid over to Local Bodies and to Deposit Accounts— 29,657 11 6 Payments under the Land Acts .. .. .. .. .. .. 32,993 'J 7 6,741 19 8 Payments under the Timber and Flax Royalties Act .. .. .. 7,403 16 3 Endowments— 3,399 16 0 New Plymouth Harbour Board .. .. .. .. .. .. 4,587 18 8 21,509 0 1 Greymouth Harbour Board .. .. .. .. .. .. 25,040 8 7 66,015 (i 6 Westport Harbour Board .. .. .. .. .. .. 67,969 8 0 07,14-2 1 11 National Endowment Residue .. .. .. .. .. .. 55,861 12 2 342,053 8 6 Old-age Pensions .. .. .. .. .. .. .. .. 366.033 1 5 , 8,643,849 17 lo 3,514,409 3 8 Annual Appropriations,— 28,633 L8 H Class I.—Legislative Departments .. . .. .. .. 37,610 16 8 36,772 15 2 . II.—Department of Finance .. .. ■.. .. .. 48,023 9 1 855,861 11 4 . III.—Post and Telegraph Department .. .. .. .. 911,819 8 4 2,168,188 19 9 . IV.—Working Railways Department.. .. .. .. .. 2,270,813 10 1 86,728 19 2 » V.—Public Buildings', Domains, and Maintenance of Roads .. .. 81,103 8 9 18,874 9 2 . VI.— Native Department .. .. .. .. .. .. 21,661 .8 8 365,920 1 1 . VII.-Justice Department .. .. .. .. .. .. 370,18110 1 24,704 6 8 ,. VIII.—Mines Department .. .. .. .. .. .. 22,456 14 10 256,466 5 0 ., IX.—Department of Internal Affaire.. .. .. .. .. 262,141 14 4 194,050 1 2 „ X.—Defence Department .. .. .. .. .. .. 212,938 11 6 , XL —Customs, Marine and Harbours, and Inspection of Machinery Depait122,782 1 2 ments .. .. .. .. .. .. .. 114,736 9 11 24,212 8 10 , XII.-Department of Labour .. .. .. .. .. 22,725 3 4 233,743 5 4 „ XIII.—Department of Lands and Survey .. .. .. ..' 206,660 9 9 189,913 15 7, . XIV.—Department of Agriculture, Commerce, and Tourists .. .. 184,578 14 6 859,242 8 5! „ XV.—Education Department .. .. .. .. .. 924,777 7 11 10,418 1 7 Services not provided for .. .. .. .. .. .. .. 8,027 9 4 ' 5,700,256 0 8 5,476,513 1 8 Revenue transferred to the Public Works Fund .. .. .. .. .. 800,000 0 0 Debentures renewed, — New Zealand Loans Act, 1908— Defence and other Purposes Loan Act, 187(1 Debentures matured let July, 1910 .. .. .. .. .. .. 25,000 0 0 • The Dairy Induetry Act, 1908,— Debentures matured let January, 1911 .. .. .. .. .. .. 843 0 0 • ■ Balance at end of Year, — 491,437 4 5 Cash in the Public Account .. .. .. .. .. .. 564,20] 9 0 Advances in the hands of Officers of the Government — 35,441 7 0 In the Dominion .. .. .. .. .. .. .. 17,921 0 0 510 9 8 On account of Imperial Pensions .. .. .. .. .. .. 107 12 5 4,926 16 9 On aocount of other Governments .. .. .. .. .. 4,253 2 9 532,315 17 10 586,483 4 2 100,000 0 0 Less Treasury Bills outstanding 432,315 17 10 £9,423,238 3 2 Totals .. .. .. .. .. .. .. £10.755,432 2 8

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