Page image
Page image

E.—6

36

CHRISTCHURCH GIRLS' HIGH SCHOOL (CANTERBURY COLLEGE BOARD). General Statement of Accounts for the Year ended 31st December, 1923. Receipts. Payments. Endowments Income Account :—■ £ s. d. Endowments Income Account :— £ s. d. Current income from reserves vested in Proportion of office salaries and expenses 23 9 6 Board .. .. .. .. 527 11 2 Miscellaneous .. .. .. 10 II 9 Interest on moneys derived from endow- Transfers to— ments .. .. .. .. 414 1 New Buildings Account .. .. 329 18 3 General Account, for repairs to buildings .. .. .. .. 108 5 9 £532 5 3 £532 5 3 Buildings and Sites Capital Account :— Buildings and Sites Capital Account :— House-rent (Avonside site) .. .. 97 17 6 Balance, 31st December, 1922 .. 154 3 0 Transfer from Endowments Income Ac- Principal of loans repaid .. .. 20 10 0 count .. .. .. .. 329 18 3 Interest on loans for buildings and sites 305 2 3 Balance, 31st December, 1923 .. 51 19 6 £479 15 3 £479 15 3 Lower Department Account : — Lower Department Account :— Balance, 31st December, 1922 .. 22 10 4 Teachers' salaries and allowances .. 200 0 0 School fees .. .. .. 268 0 0 Incidental expenses .. .. .. 54 9 9 Balance, 31st December, 1923 .. 36 0 7 £290 10 4 £290 10 4 Hostels Account:— Hostels Account:— Boarding fees .. .. .. 1,671 1 3 Balance, 31st December, 1922 .. 2,012 11 0 Piano-practice fees .. .. .. 30 0 0 Proportion of office expenses .. .. 77 19 2 Grazing .. .. .. .. 3 5 0 Provisions .. .. .. .. 459 13 8 Balance, 31st December, 1923 .. 1,882 4 0 Fuel, light, &c. .. .. .. 191 14 5 Salarios of teaehors for supervision .. 19 10 0 Wages of Matron and staff .. .. 642 7 10 Furniture, utensils, &c. .. .. 25 17 11 Repairs to buildings .. .. 25 I 3 Insurance, rates, &c. .. .. 16 3 1 Interest .. .. .. .. 106 11 4 Other exponses .. .. .. 9 0 7 £3,586 10 3 £3,586 10 3 Secondary Department General Ac- Secondary Department General Account :—, count :— Balance, 31st December, 1922 .. 683 19 0 Teachers'salaries and allowances .. 6,406 6 1 Government payment for salaries of Incidental expenses .. .. 1,155 1 9 teachers .. .. .. .. 6,238 14 10 Maintenance of classes for manual inGo vernment capitation for classes for struction .. .. .. 18253 manual instruction .. .. 164 19 8 Maintenance of buildings .. .. 143 13 0 Government payment for incidental Rates, taxes, and insurance .. .. 24 12 9 expenses .. .. .. 1,322 10 0 Extension of lunch-room .. .. 606 5 0 School fees .. .. .. 188 15 0 Balance, 31st December, 1923 .. 818 4 7 Proceeds from cookery class .. .. 166 6 0 Proceeds from swimming class .. 21 0 0 Interest .. .. .. .. 31 17 8 Government grant for extension of lunchroom .. .. .. .. 250 0 0 Transfers from Endowments Income Account—Maintenance of buildings 168 5 9 £9,236 8 5 £9,236 8 5 Statement of Amounts due lo Board and of Liabilities us at 31sl December, 1923. Liabilities. £ s. d. j Amounts due to Board. £ s. d. Buildings and sites—Hostel .. .. 4,500 0 0 j Hostels Account—Boarding fees .. 19 10 0 Principal of loans, State advance .. 609 14 0 Capitation for technical instruction .. 169 2 2 Sundry creditors .. .. .. 33 8 4 Grant for apparatus .. .. .. 21 711 Due to Department —Salaries .. .. 8 2 11 Bank overdraft .. .. .. 1,079 18 4 £6,231 3 7 £210 0 1

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