51
8.—6
Table No. 1— continued. STATEMENT showing the NET ISSUES from the PUBLIC WORKS FUND, &c.—continued.
STATEMENT showing the NET ISSUES from the ELECTRIC SUPPLY ACCOUNT* for the FINANCIAL YEAR ended 31st March, 1918, compared with the Amount voted under the Appropriation Act, 1917.
STATEMENT showing the NET ISSUES from the AID TO WATER-POWER WORKS ACCOUNT* for the FINANCIAL YEAR ended 31st March, 1913, compared with the Amount voted under the Appropriation Act, 1917.
I Issued. Voted . Amount Unissued. Issued inExcess. Expenditure. •JCreilits. Net Expenditure. Impreats. Total. SUMMARY. £ s . d . Class XVI.— Public Works. Departmental .. .. 132,125 1 0 XVII.— Railways .. .. .. .. 545,223 19 11 „ XVIIL— Public i Buildings.. .. .. .. 231,842 7 6 „ XIX. —Liahthouses. Harbour-works, and Harbour- " defences .. .. .. .. 3,282 2 9 XX.—Tourist and Health Resorts .. .. 966 14 0 XXI.—Immigration .. .. .. .. 10,229 2 9 „ XXII. —Construction, Maintenance, and Supervision of Roads, Bridges, and other Public Works 147,140 7 9 „ XXIII. —Development of Mining .. .. .. 72 5 4 „ XXIV.— Telegraph Extension .. .. .. 150,607 16 6 XXV.— Contingent Defence .. .. .. 6,713 15 6 „ XXVI. —Lands Improvement .. .. .. 2,929 2 4 „ XXVII.— Irrigation and Water -supply .. .. 11,953 6 6 „ XXVIIL— Plant, Material, and Stores .. .. 20,628 11 7 Services not provided for .. .. .. .. 4,175 14 3 £ s. d. 4,226 15 5 49,452 10 2 2,554 4 9 306 8 3 35 0 0 6,373 9 7 £ s. d, 127.898 5 7 495.771 9 9 229,288 2 9 2.975 14 6 931 14 0 3,855 13 2 £ s. d. £ s. d. 127,898 5 7 0 1 0 495,771 10 9 0 10 0 229.288 12 9 2,975 14 6 931 14 0 3,855 13 2 £ s. d. £ s. d. 135,000 0 0 7.101 14 5 650.000 0 0 154,228 9 3 316,940 0 0 95.280 10 4 7,765 0 0 4,789 5 6 5,200 0 0 4,268 6 0 7.500 0 0 3,644 6 10 £ a. d. 7,62." 3 1 11,498 6 1 44 18 11 33,342 8 7 1,091 1 1 303 0 11 13,818 6 9 4,111 16 11 135.642 1 8 27 6 5 117,265 7 11 6.713 15 6 1.83S 1 3 11,650 5 7 6.810 4 10 63 17 4 4.617 18 7 140,260 0 3 27 6 5 109,370 14 4 226,636 2 3 6,713 15 6 175 13 5 2,013 14 8 11,650 5 7 2 10 0 6,812 14 10 63 17 4 451.085 0 0 310,824 19 9 1,450 0 0 1.422 13 7 250.000 0 0 23.363 17 9 15.000 0 0 8,286 4 6 15,000 0 0 12,986 5 4 30,000 0 0 18,349 14 5 15,000 0 0 8.187 5 2 63 17 4 Total Public Works Fund .. .. .. 1,267,890 7 8 127, 158 7 5 1,140,732 0 3 114,167 7 4 1.254,899 7 7 jl,899, 940 0 0 652,733 12 10 7,693 0 5
1 EH j ° ssued. lpreats. Total. Voted. Amount Unissued. Issued inExcess. • Expenditure. Credits. Net Expenditure. Imprests. Total. I J L I i Electric Supply Account :— ; 122 Development of Water-power .. £ s. d. ! 24,390 11 6 | £ s. d. 3,860 9 10 £ s. d. 20,530 1 8 £ s. d. 29 13 6 £ s. d. 20,559 15 2 £ s. d. 48,796 6 7-fj £ s. d. 28,236 11 5 £ s. d. Total 24,390 11 6 3,860 9 10 20,530 1 S 29 13 6 20.559 15 2 i 48,796 6 7 28,236 11 5 * Formerly the Aid to Water-power Works Account. Title altered as from 31st October, 1917, by the State Supply oi Electrical Energy Act, 1917, section 8 (1). to Water-power Works Account. t £6,203 13s. 5d., balance of amount voted, expended under the Aid
Issued. Issued E4 O Voted. Amount Unissued. in Expenditure. Credits. Net Expenditure] Imprests. Total. Excess. Aid to Water-power Works Account :— Development of Water-power Total £ s. d. 25,365 19 8 25,365 19 S £ s. d. 19,162 6 3 j 19,162 6 3 £ s. d. 6,203 13 5 6,203 13 5 £ s. d. £ s. d. 6,203 13 5 6,203 13 5 £ s. d 6,203 13 5f £ s. d. £ s. d. 122 6,203 13 5 6,203 13 5 6,203 13 5 * Name of account altered to Electric Supply Account as from 31st October, 1917, in accordance with the provisions ot section 8 (1), State Supply of Electrical Energy Act, 1917. transferred to the Electric Supply Account. t £48,796 6s. 7d., balance of amount voted,
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