Article image
Article image
Article image
Article image

Birthday Greetings AMBERLEY POSTY JANE MCILRAITH BIRTHDAY greetings and hopes, no. 3 puncture is not on the way. Love from the family. NAUGHTY FORTY BOY CH 633. Hope you have a naughty, naughty day. —From Lil, Bev, wee Patricia and you know who. Congratulations DAWE, Amy and Bruce. — Warmest congratulations on your 25th wedding anniversary today. Love from all your family. Public Notices ANNUAL GENERAL MEETING THE A.G.M. of the Sumner Community Centre will be held in the Centre Hall on Tuesday, February 25, commencing at 7.30 p.m. Members and intending members are sincerely invited to attend. No. of Company: CH 239445 THE COMPANIES ACT 1955 NOTICE OF APPOINTMENT OF RECEIVERS AND MANAGERS (Pursuant to Section 346 (1)) NAME OF COMPANY: RUSSEL MURDOCH LIMITED. PRESENTED BY: GENERAL FINANCE ACCEPTANCE LIMITED, 120-124 Featherston Street, Wellington (P.O. Box 2695). TO: The Registrar of Companies, Christchurch. GENERAL FINANCE ACCEPTANCE LIMITED, a duly Incorporated Company having its registered office at 120124 Featherston Street, Wellington, being the holder of a Debenture In its favour bearing date the 20th day of November 1984 HEREBY GIVES YOU NOTICE that on the sth day of February 1986 it appointed JAMES BRUCE ALFRED MCALISTER and OLIVER WILLIAM PITCAITHLY, both of Christchurch, Chartered Accountants and whose offices are at 76 Hereford Street, Christchurch, jointly and severally Receivers and Managers of the property of the Company under the powers contained in the said debenture. DATED this sth day of February 1986. LYTTELTON HARBOUR BOARD CONTAINER TERMINAL ALL FCLs from the ACT 8 VOY 5353/4476 and the GODWIT VOY 6483, except those stopped for an Ag permit, are now available. Storage charges commence February 21, 1986. Personal effects are available between the hours of 7 a.m. and 2 p.m. Monday to Saturday only. SHIRLEY FREE KINDERGARTEN NOTICE OF ANNUAL GENERAL MEETING To be held at Shirley Kindergarten, 3 Ajax Street, Chch On Tuesday, March 4, at 7.30 p.m. Business: Election of Officers - Annual Reports and Accounts. All Interested persons are welcome to attend.

OXFORD COUNTY COUNCIL STATEMENT OF PAYMENTS ANO RELATED SOURCES OF FUNDS APPLIED FOR YEAR ENDED MARCH 31, 1985 PUBLISHED PURSUANT TO Regulation 14 (1) of the Local Government (Territorial Authorities) Accounting Regulations 1979. Actual Estimated Actual 1983/84 GENERAL ACTIVITIES 1983/84 1984/85 227.332 Administration and Central Services 332,643 339,470 479,193 Roading;....... 531,400 520,924 5,084 Drainage and Sanitation 5,607 5,676 358.332 Water Supply 440,738 433,188 3,523 Land Drainage 6,000 2,606 58,527 Recreation and Cultural 73,010 100,394 232,043 Housing and Property 138,930 130,453 31,304 Pest Eradication 32,300 18,998 3,418 Cemeteries 3,500 3,306 OTHER ACTIVITIES 10,705 Medical Centre 10,700 10,057 43,481 Rates paid to Other Local Authorities 45,000 45,905 7,206 Levies paid to Other Local Authorities 6,525 6,772 73,864 Special Works Scheme 30,600 29,047 5,981 Inspect 5,800 5,968 $1,539,993 Total Funds Expended During Year $1,662,753 $1,652,764 This Expenditure was Financed by:— REVENUE 413,583 Rates... 414,150 413,407 12,748 Petroleum Tax 13,000 14,282 506,024 Government Subsidies and Grants 553,970 550,186 233,443 Licence Fees and Other Charges 304,775 281,647 36,345 Rents, etc 42,890 42,873 LOANS, SPECIAL FUNDS AND TRUST FUNDS 350,853 Loan Funds Applied 205,640 190,648 67,104 Special Funds Applied. 52,867 80,626 1.620.100 1,587,292 1,573,669 16,000 Less Transferred to Special Funds 9,000 9,000 1.604.100 1,578,292 1,564,669 . Plus Decrease in General Funds Calculated as follows:— Balance April 1, 1984 70,679 64,107 Plus Balance March 31, 1985 17,416 84,461 88,095 $1,539,993 $1,662,753 $1,652,764 In addition the Council held other funds. as follows at March 31, 1985:— $67,809 Special Funds $47,084.14 STATEMENT OF MONEY OWING as at March 31, 1985 $167,180 The Council was owed in respect of unpaid rates and other revenue $75,970 $116,324 The Council owed for the supply of materials and services $53,038 $762,244 Gross Public Debt 823,792 30,644 Less Sinking Funds Held 21,153 $731,600 Public Debt net of Sinking Funds $802,639 $176,590 Less Public Debt relating to Rural and Staff Housing Loans 215,263 $553,010 $587,376 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 the expenditure is brought to charge when payment is made for goods and services rendered to the Council. The financial statements reported on compromise the Statement of Payments and Related Sources of Funds Applied and Statement of Money Owing. The Audit was conducted in accordance with generally accepted auditing standards and practices. In the opinion of the Audit Office, the financial statements fairly reflect, in the form prescribed by Regulation 10 of the Local Government (Territorial Authorities) Accounting Regulations 1979, the financial results of operations for the year ended on that date. December 18, 1985 P. J. MELTON, for Controller and Auditor-General. Copies of the audited annual Statement and Summary of General Statistics may be inspected during office hours at the County Office, Main Street, OXFORD. K. FELSTEAD, J County Clerk.

This article text was automatically generated and may include errors. View the full page to see article in its original form.
Permanent link to this item

https://paperspast.natlib.govt.nz/newspapers/CHP19860218.2.169.2

Bibliographic details

Press, 18 February 1986, Page 37

Word Count
795

Page 37 Advertisements Column 2 Press, 18 February 1986, Page 37

Page 37 Advertisements Column 2 Press, 18 February 1986, Page 37