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Public Notices gX Ministry of Works x2/ and Development WAIMAKARIRI GORGE S.H. 72: BRIDGE REPAIRS UNDER section J 3 of the National Roads Act 1953 notice is hereby given that during strengthening work on the Waimakariri Gorge Bridge the following restrictions will apply: (a) INTERMITTENT CLOSURE — The bridge may be closed for periods up to one hour duration on any day until Friday April 24, 1981. Thereafter closures will be limited to a maximum of 20 minutes duration. Any longer periods will be advertised. (b) WIDTH RESTRICTION.—The approaches and bridge will be restricted to vehicles not exceeding 3.300 metres in width. This restriction will particularly affect Agricultural machinery travelling under clause 48 of the Traffic Regulations 1976. (c) TOTAL CLOSURE.—The bridge will be totally closed from 8 a.m. to 6 p.m. on Thursday April 23, 1981 and Monday April 27, 1981. No bypass route is available. It is anticipated that the bridge repairs will be completed by Saturday May 9, 1981. Thereafter the above restrictions will not apply. P. F. REYNOLDS District Commissioner of Works 3OR ATTENTION SATURDAY ADVERTISERS DEADLINES We wish to advise the deadline for Saturday classifieds is 3.30 p.m. Friday. Advertisements received after this time could appear in our late classified column which closes at 5 p.m.

CHRISTCHURCH CITY COUNCIL AUDITED ANNUAL STATEMENT AND SUMMARY OF GENERAL STATISTICS FOR YEAR ENDED MARCH 31, 1980. The Audited Annual Statement of the Christchurch City Council for the vear ended March 31, 1980, (as detailed below), an a summary of General Statistics, are open for inspection during office hours (8.30 a.m. to 4.30 p. .) at the Council Offices, 163 Tuam Street. REPORT OF THE AUDIT OFFICE The Audit Office, having be appointed in terms of Section 25, Public Finance Act 1977, has audited the accounts of the chns^ ur J The audit was conducted in accordance with generally accepted auditing standards and practices comprising uch „. audltin S pro q^/ ure s SdetT necessary in terms of Section 25, Public Finance Act 1977. and included. — a review of accounting procedures and controls. cunoortine in- — examination and tests of accounting records and other supporting 1 and explanations required have been °btamed. in the opinion of the Audit Office, the attached financial statements fair y reflect in accordance with applicable accounting principles, the financial position as at March 31, 1980 and the results of the financial operations for the y ear - B. J. Smith on IQRI for CONTROLLER AND AUDITOR-GENERAL ConriderJd and finally settled at a Meeting of the Christchurch City Council on Monday, April 13, 1981. H. G. Hay, MAYOR. STATEMENT OF MESrCES OF FUNDS APPLIED FOR THE YEAR ENDED MARCH 31, 1980 During the year (the previous, year’s expenditure being shown in the first column) the Council expended funds as follows: Estimate Actual 31/3/80 General Activities 10,497,006.09 Administration and Central 11,359,208 iz,b4i,3iJ. 7TUWII Roadffiz 6,027,212 5,284,547.80 . wSss Safe and Sanitation 2,W00 3,342,020.42 Water Supply 10 757 433 56 8,944,140.17 Recreational and Cultural 21497 3,579,849:17 Housing and . Property 2,890,511 119,474.72 Pest Eradication 139,359 129,723.03 ,?>•>«« Cemeteries and Crematoria j 109.7-0 106.51 M 13?R3546 Forestr/ 116,830 139,284.56 Miscellaneous Separate 2 893 093 8,073,725.09 Paid to Local Authorities 10,055,657 10,09/,771aJ» 1,492,124.95 Capita?Expenditure—Airport 3,999,802 4 870438 72 3,546,204.14 Capital Expenditure—M.E.D. 5,718,800 4,870,43a./z $53,024,387.73 DURW YEAR EXPENDED $59,716,383 59,000,104.65 This expenditure was financed by — 91 3RI 03884 StaT 6 25,729,392 25,776,161.87 ’973,047.54 Petroleum Tax 875,000 921,995.35 Government Subsidies and „ 3,695,856-23 Grants 13,102,602.39 Licence Fees and Other Charges 9,334,108 12,060,660.98 Trading Activities q-imqmoa . 1,719,383.13 (Cash Surplus) — Airport 1,212,364 2,496,823.26 4626 813 68 (Cash Surplus) — M.E.D. a,279,000 8,287,446.22 ’ Loans, Special Funds and Trust Funds 5W80.51 k°“y™r” eya ‘" > F M 54.300 5.598,707.38 3,085,264.24 5,210,793 5 ,2>0.798.48 Trust funds applied during isdowai 92,648.97 the year 180 - oa3 180,0a3.41 Total funds applied during $53,925,035.53 the year $60,185,479 $65,775,7/4.45 Less transfers to Special Funds for future Works and owinnw Purchases 2,893,130 2,893,130,54 $57,292,349 $62,882,643.91 Less Balances 1/4/79 7,275,125.97 900,647.80 31/3/80 11,157,665.22 2,424,034 3,882,539.25 $53 024,387.73 EXPENDITURE AS ABOVE $59,716,383 $59,000,104.66 ~ . In addition, the Council held other funds as follows at March 31, 1980 1,093,750.45 Loan Funds 9,557,071.95 Special Funds 9.117.405.09 . 332,879.86 Trust and Bequest Funds 186,757.24 $10,983,702.26 • $10,768,650.67 ” STATEMENT OF MONEY OWING AT March 31, 1980 The Council was owed in respect 6 971227.12 of un aid rates and other revenue 8,418,841.55 ’ ’ The Council owed for supply of materials and services 10,761.515.09 26 054 420.20 Public debt was 29,430,735.68 NOTE ON ACCOUNTING POLICY These financial statements have been prepared on the basis that revenue is recognised when money is received by the Council,, and that expenditure is brought to charge when payment is made for goods and services rendered to the Council. F. M. Sowden DEPUTY GENERAL MANAGER AND ■ CITY TREASURER ' ’ APRIL 30,1981.-

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https://paperspast.natlib.govt.nz/newspapers/CHP19810428.2.136.1

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Press, 28 April 1981, Page 31

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780

Page 31 Advertisements Column 1 Press, 28 April 1981, Page 31

Page 31 Advertisements Column 1 Press, 28 April 1981, Page 31