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Pages 1-20 of 38

Pages 1-20 of 38

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Pages 1-20 of 38

Pages 1-20 of 38

8.—6

Session I. 1912. NEW ZEALAND.

FINANCIAL POSITION OF THE DOMINION. MEMORANDUM BY THE MINISTER OF FINANCE

Laid on the Table by Leave of the House.

T desire to submit a brief statement showing— (a.) The revenue and expenditure for the past ten months of the present financial year ; (b.) An estimate of the revenue and expenditure for the remaining months of the year ; and (c.) The genera] financial position of the|Dominion. REVENUE. From the 31st March, 1911, to 31st January, 1912, the revenue under the various heads was £8,718,064, as under :— Ordinary Revenue Account— £ Customs . . . . .. . . .. 2,720,618 Stamps (Stamp Department) ..' . . . . ■ 795,807 Post and Telegraph (including stamps) .. . . 846,608 Land-tax . .. .. .. .. 627,134 Income-tax .. . . . . .. .. 58,835 Beer duty . . .. .. .. .. 98,648 Railways .. .. .. ... .. 2,922,522 Registration and other fees . . . . . . 87,597 Marine .. .. .. .. .. 39,674 Miscellaneous .. .. .. .. .. 239,727 Total Ordinary Revenue .. .. .. £8,437,170 Territorial Revenue . . . . . . . . .. 191,327 National Endowment Revenue .. .. .. 62,365 Other Receipts .. .. .. .. .. 27,202 £8,718,064

j—B, a.

2

8.—6

The actual expenditure brought to account for the ten months was £8,060,995, as under :— Ordinary Revenue Account — f Civil List .. .. .. .. ~ 26,091 Interest and Sinking Fund . . . . .. 2,399,598 Under special Acts of the Legislature .. .. 885,751 Legislative Departments . . .. . . 25,167 Department of Finance . . . . .. . . 40,180 Post and Telegraph Department .. .. . . 661,293 Working Railways Department . . . . . . 1,855,300 Public Buildings, Domains, and Maintenance of Roads 59,271 Native Department .. .. .. .. 16,365 Justice Department .. . . .. . . 277,635 Mines Department .. .. .. .. 19,452 Department of Internal Affairs .. .. .. 278,224 Defence Department . . .. .. .. 273,646 Customs, Marine and Harbours, and Inspection of Machinery Departments . . .. . . 93,841 Department of Labour .. . . .. .. 19,971 Department of Lands and Survey . . .. 186,878 •Department of Agriculture, Commerce, and Tourists .. 152,215 Education Department .. . . .. .. 787,271 Services not provided for .. . . . . 2,846 £8,060,995 I estimate the revenue and expenditure for the unexpired two months of the financial year, ending on the 31st March next, to be, — REVENUE. Ordinary Revenue Account— £ Customs . . . . . . . . . . 538,750 Stamps (Stamp Department) . . .. .. 175,077 Post and Telegraph (including stamps) .. . . 228,307 Land-tax . . . ." . . . . . . 13,000 Income-tax . . ... .. . . . . 385,000 Beer duty .. .. .. .. .. 20,000 Railways .. .. . . . . . . 708,000 Registration and other fees .. . . .. 23,700 Marine .. .. .. .. .. 7,100 Miscellaneous ... .. .. .. .. 125,000 £2,223,934 Territorial Revenue .. .. .. .. .. 51,580 National Endowment Revenue .. .. .. 29,750 £2,305,264

3

8.—6

EXPENDITURE. Ordinary Revenue Account'— £ Civil List .. .. .. .. .. 8,911 Interest and sinking fund .. .. .. 284,715 Under special Acts of the Legislature .. .. 313,300 Legislative Departments .. . . .. 4,764 Department of Finance .. . . .. .. 8,147 Post and Telegraph Department . . . . .. 313,330 Working Railways Department .. .. .. 644,700 Public Buildings, Domains, and Maintenance of Roads 25,500 Native Department .. .. .. .. 4,150 Justice Department .. .. . . . . 93,391 Mines Department . . .. .. . . 4,462 Department of Internal Affairs . . . . .. 116,977 Defence Department .. .. .. .. 111,843 Customs, Marine and Harbours, and Inspection of Machinery Departments .. .. .. 20,732 Department of Labour .. .. ... . . 4,517 Department of Lands and Survey . . . . 48,500 Department of Agriculture, Commerce, and Tourists.. 52,200 Education Department .. .. . . .. 218,720 £2,278,859 This will be for the whole year— £ Revenue .. .. .. .. .. 11,023,328 Expenditure .. .. .. .. .. 10,339,854 Surplus of revenue over expenditure .. .. £683,474 To this should be added the balance on 31st March, 1911, £586,483, less £500,000 to be transferred to the Public Works Fund during the present year 86,483 Leaving an estimated surplus on 31st March next of.. £769,957 Full details of revenue and expenditure are supplied in papers attached hereto THE DOMINION'S FINANCIAL POSITION. Increase of Revenue. The continued increase in the revenue of the country is most gratifying, affording, as it does, proof of the Dominion's remarkable prosperity and financial strength.

4

8.—6

PUBLIC WORKS FUND. Oh the 31st March, 1911, the available ways and means for public-works £ purposes were . . . . . . . . . . . 1,140,045 And (excluding moneys obtained for the redemption of maturing loans) additional funds have been received as under, — Under the Aid to Public Works and Land Settlement Act, 1910 . . 181,650 Under the Aid to Public Works and Land Settlement Act, 1911 . . 350,000 Transfer from Consolidated Fund . . . . . . .. 250,000 Miscellaneous receipts .. .. . . . . . . 6,265 Making a total for the ten months of . . . . . . . . £1,927,960 A further transfer will be made from the Consolidated Fund of . . 250,000 Making a gross total available for the year 1911-12 of .. . . £2,177,960 The expenditure under appropriations for the ten months (excluding separate accounts having ways and means of their own) was . . £1,452,647 And a further expenditure of. . . . . . 666,070 is estimated for the remainder of the year, 2,118,717 leaving an estimated balance on the 31st March next of . . . . . . . . . . . . £59,243 To this will have to be added the balance of the 1911 loan yet to be raised . . . . . . £1,150,000 And the authorized loan under the Aid to Waterpower Works Act, 1910 .. .. .. 500,000 1,650,000 Making an estimated total available for next year of. . . . . . £1,709,243 The public works of the Dominion for many years to come must require the close attention of its Ministers. Until its large necessary public undertakings approach completion the country will not be properly developed. I estimate that it will take about fifteen, or possibly twenty, years from the present time to construct all the main-trunk and branch railway-lines, main roads, and other useful and necessary works. When finished there will be a change in the character of our political outlook, now in a large measure necessarily concentrated on such projects as these—a vital necessity to our national growth. Our present position is that of the owner of a rich estate who has two courses open to him —(1) To allow his heritage to remain undeveloped, or (2) by vigorous action to bring it to its highest producing-capacity as soon as possible. The people of the Dominion have wisely chosen the second course, and so the question of public works will occupy a very large part of our national affairs for some time to come. OUR PRESENT PUBLIC DEBT. This has largely arisen through the State's action in undertaking works and duties which in other countries are left to private enterprise. If the cost of constructing the railways of, say, Canada and the United States, for example, were added to the liabilities of these countries their public indebtedness would, of course, be very greatly increased. In addition to our expenditure on public works, such, as railways, roads and bridges, public buildings, harbours and lighthouses, large sums have been borrowed by the Government for purchasing estates for closer settlement, for loans to local bodies, to settlers and workers, and for other useful purposes. Much, therefore, of our public debt is directly interest-bearing, or indirectly profitable. On the whole, less than one-fourth of our total indebtedness is a dead-weight debt, and this proportion to the whole will decrease in future.

5

8.-6

EXTINCTION OF THE PUBLIC DEBT. Every penny of our public debt is now provided with means for its extinction within a reasonable time. The greater portion of it, representing about £65,000,000, which had no special internal reserve or sinking fund for its repayment, is now under the operation of the Public Debt Extinction Act, 1910. This Act has established a system whereby the whole of this £65,000,000 will be repaid in seventy-five years. The Act also applies to all future loans, which will be extinguished by it in seventy-five years after their origin. Until the funds are required for repayment of loans falling due they are to be invested in New Zealand in loans to settlers, workers, and local bodies, and their investment will thus greatly assist in the development of the Dominion. The first year's contribution from the Consolidated Fund under the Act, amounting to £144,885, will be invested in such securities before the end of the present financial year. THE FUTURE. The financial position of the Dominion is absolutely sound in every way. Tt has vast resources, a vigorous and enterprising population —small, it is true, in proportion to the area of the country to be developed; but it is increasing both by excess of births over deaths and by immigration much faster than that of many other countries. Taxation is light compared with that of other less-favoured lands, and is imposed on those best able to bear it. The settlement of our lands is proceeding rapidly. The demand for our principal products is good, and must of necessity continue as the world's population increases. There need be no doubt whatever of this country's future, which must be one of general advancetuent and development. J. G. Ward, Minister of Finance.

8.—6

6

Table No. 1. Receipts and Expenditure of the Consolidated Fund (Revenue Account) for the Ten Months ended 31st January, 1912, together with the Estimated Receipts and Expenditure for the Two Months ending 31st March, 1912.

J. W. POYNTON, Secretary to tbe Treasury. E. L. Mowbeay, Treasury. Wellington, 10th February, 1912 Accountant to the Treasury.

Keceipts. Receipts. Keceipts TotR] BS |C ate Total Revised J ! i Ef "j™" e Total Bevised brought to ; 2SSS53S tor re^f ning BBtimate | Expenditure. : od °lT' j renifning f EB *™ a * e : Account. to Account. Ten Months - TwolMonths. (or 1911-12. January, 1919. Two Momfie. 'oir 1911-12. : Ordinary Revenue A jount — Customs Stamps (Stamp Department) Post and telegraph (including stamps) Land-tax Income-tax .. Beer duty Railways ; Registration and other feee ! Marine Miscellaneous .. Total Ordinary Revenue Territorial Revenue I National Endowment Revenue I Other Receipts Totals £ £ £ £ £ Ordinary Revenue Account— £ £ £ .. ; 2,678,969 1 41.649, 2,720,618! 538,750 3,259,368 Civil List .. .. .. .. ! 26,091 8,911 35,002 .. I 790,480 I 5.327 j 795,807 j 175,077 ! 970.884 Interest and sinking fund .. .. 2,399,598 284,715 2,684,313 846,608 .. 846,608; 228,307! 1,074,915 Under special Acts of the Legislature .. | 885,751 313,300 1,199,051 627,031 103 ! 627,134 ; 13,000 ! 640,134 Legislative Departments .. .. i 25,167 4,764! 29,931 .. ; 48,501 i 10,334 58,835: 385,000 1 443,835 Department of Finance .. .. j 40,180 8,147 | 48,327 .. I 97,735 913 J 98,648 j 20,000 118,648 Post and Telegraph Department .. j 661,293 313,330': 974,623 .. J 2,922,522! .. | 2,922,522! 708,000 < 3,630,522 i Working Railways Department .. 1,855,300] 644,700 I 2,500,000 .. I 84,633 ! 2,964 ! 87,597 ! 23,700 : 111,297 : Public buildings, domains, and main- .. J 39,206 ! 468 j 39,674 j 7,100 ] 46,774 tenance of roads .. .. .. I 59,271 25,500 i 84,771 233,944 j 5,783 j 239,727! 125,000 | 364,727 Native Department .. .. .. 16,365 4,150 I 20,515 ! 1 1 S ' Justice Department .. .. .. ; 277,635 93,391: 371,026 8,369,629 I 67,541 8,437,170 2,223,934 10,661,104 ! Mines Department .. .. .. 19,452 4,462 23,914 Department of Internal Affaire .. 278,224 116,977 395,20] Defence Department .. .. 273,646 111,843; 385,489 i • Customs, Marine and Harbours, and In- .. j 180,437 : 10,890 I 191,327 ' 51,580 242,907 |: spection of Machinery Departments .. i 93,841 20,732 ! 114,573 62,365: .. 62,365 29,750 i 92,115! Department of Labour" .. .. i 19,971 4,517! 24,488 27,202; .. 27,202 .. 27,202! Department of Lands and Survey .. | 186, 878 48,500; 235,378 Department of Agriculture, Commerce, | and Tourists . .. .. .. 152,215 52,200 ! 204,415 Education Department .. ..I 787,271 218,720: 1,005,991 Services not provided for .. . . j 2,846 .. 2,846 .. i 8,639,633 : 78,431 ' 8,718,064 i 2,305,264 j 11,023,328 j Totals .. .. .. 8,060,995 2,278,859 ! 10,339,854

7

B.—ft

Table No. 2. Forecast as to the State of the Consolidated Fund (Revenue Account) on 31st March, 1912.

He venue Account— £ Balance, 31st March, 1911 .. .... .. .. .. .. .. 586,483 Estimated receipts, 1911-12 .. .. .. .. .. .. .. .. 11,023,328 £ — — 11,609,811 Estimated expenditure, 1911-12 .. .. .. .. .. .. .. .. 10,339,854 1,269,957 Transfer to Public Works Fund .. .. .. .. .. .. .. 500,000 Kstimated (surplus on 31st March, 1912 .. .. .. .. .. .. £769,957

J. W. POYNTON, Secretary to t]ie Treasury. E. L. Mowbray, Treasury. Wellington. 10th February, 1912. . Accountant to the Treasury.

**•*•*■ £SL He vised Estimate. Differenc i Differences. Expenditure. Original Revised Bstiiuave. Estimate. Differ More. ences. More. Less. Less. Ordinary Revenue Account — £ Customs .. .. .. .. i 3,000,000 Stamps (Stamp Department) .. .. | 860,600 Postal and telegraph (including stamps).. 1,095,000 Land-tax .. .. .. .. 635,000 Income-tax .. .. .. .. 410,000 Beer duty .. .. .. .. 115,000 Railways .. .. .. .. 3,525,000 Registration and other fees .. ■ .. 104,345 Marine .. .. .. .. 45,000 Miscellaneous .. .. .. 338,150 [ £ 3,259,368 970,884 1,074,915 640,134 443,835 118,648 3,630,522 111,297 I 46,774 364,727 I £ 259,368 110,284 5,134 ! 33,835 3,648 105,522 6,952 1,774 26,577 ' £ 20,085 1 " I " I I Ordinary Revenue Account — £ £ £ Civil List .. .. .. .. i 35,500 35,002 Interest and sinking fund .. .. 2,663,556 2,684,313 • 20,757 Under special Acts of the Legislature .. 1,171,535, 1,199,051 27,516 Legislative Departments .. .. 29,597 j 29,931 334 Department of Finance .. .. 50,155 48,327 Post and Telegraph Department .. 975,103 974,623 Working Railways Department .. 2,408,653 2,500,000 91,347 Public buildings, domains, and maintenance of roads .. .. .. 96,480 84,771 Native Department .. .. .. 23,157 20,515; Justice Department .. .. .. 385,331 371,026 Mines Department .. .. .. 27,791 23,914 Department of Internal Affairs .. 385,297 395,201' 9,904 Defence Department .. .. 491,743 385,489 Customs, Marine and Harbours, and Inspection of Machinery Departments .. 129,194 j 114,573 Department of Labour .. .. 24,254; 24,488 234 Department of Lands and Survey .. 318,218 j 235,378 Department of Agriculture, Commerce, • and Tourists .. .. .. 227,536 204,415 Education Department .. .. 1,020,964 : 1,005,991 Services not provided for .. .. .. 2,846' 2,846 £ 498 1,828 480 ■• 11,709 2,642 14,305 3,877 Total Ordinary Revenue .. 10,128,095 10,661,104 553,094 20,085 Territorial Revenue .. .. .. 238,550 National Endowment Revenue .. .. 62,365 Other Receipts .. .. .. 242,907 92,115 27,202 4,357 29,750 27,202 106,254 14,621 ! 614,403 I 20,085 20,085 !— 82,840 23,121 14,973 152,938 277,148 152,938 594,318 ; Totals .. .. .. 10,464,064 I 10,339,854 124,210 Totals .. .. .. 10,429,010 . 10,429,010 ; 11,023,328 ;

8.—6

8

J. W. POYNTON, Secretary to the Treasury. Treasury, Wellington, 10th February, 1912. g. L. Mowbray, Accountant to the Treasury.

Table No. 3. Estimated Revenue and Expenditure of the Consolidated Fund (Revenue Account) for 1911-12, campared with the Actual of 1910-11.

"Revenue. Revised Esfcin ate Actual lor Current for 1910-11. Year. More. Less. I Expenditure' Revised Estimate , Actual ' for Current ! for 1910-11. Year. More. Less. I I Ordinary Revenue Account — " £ , ! £ £ £ Ordinary Revenue Account — £ Customs .. .. .. .. 3,259,368 ' 3,027,829 I 231,539 .. j Civil List .. .. .. .. 35,002 Stamps (Stamp Department) .. .. 970,884 819,839 ; 151,045 .. Interest and sinking fund .. ..I 2,684,313 Post and telegraph (including stamps) .. , 1,074,915 ; 1,027,567 i 47,348 ... Under special Acts of the Legislature .. I 1,199,051 Land-tax .. .. .. .. 640,134 I 628,723 j 11,411 .. Legislative Departments .. .. 29,931 Income-tax .. .. .. ... 443,83.1 ! 407,235 I 36,600 , .. Department of Finance .. .. 48,327 Beer duty .. .. .. . . 118,648 "' 118,100 548 .. Post and Telegraph Department .. j 974,623 Railways .. .. .. .. | 3,630,522 , 3,483,755 146,767 ! .. Working Railways Department .. ; 2,500,000 Registration and other fees .. .. 111,297 100,026 11,271 .. Public buildings, domains, and maintenMarine .. .. .. .. 46,774 ; 45,933 [ 841 | .. ance of roads .. .. .. 84,771 Miscellaneous .. .. ..I 364,727 ; 327,123 j 37,604 \ .. Native Department .. .. .. 20,515 j j J Justice Department .. .. .. : 371,026 Total Ordinary Revenue .. ! 10,66], 104 | 9,986,130 674,974 .. Mines Department .. .. .. 23.914 Department of Internal Affairs .. 395,201 Territorial- Revenue .. .. .. 242,907 | 255,032 .. 12,125 ; Defence Department .. .. j 385,489 National Endowment Revenue .. .. 92,115 : 55,861 i 36,254 .. Customs, Marine and Harbours, and InOther Receipts .. .. . . 27,202 i 250 i 26,952 .. spection of Machinery Departments .. 114,573 j 1 : ji Department of Labour .. .. 24,488 11,023,328 110,297,273 738,180 12,125 j| Department of Lands and Survey .. j 235,378 12,125 1 Department of Agriculture, Commerce, : C i and Tourists ,. ., ' .. ; 204,415 I Education Department! .. . . 1,005,991 ij Services not provided for .. .. j 2,846 j : 10,339,854 Totals .. .. J 11,023,328 10,297,273 | 726,055 Totals .. .. .. j 10,339,854 £ £ £ 34,373 629 2.458,452 ] 225,861 1,150,025 : 49,026 37,011 .. 7,680 48,023 304 911,819 ! 62,804 , 2,270,813 i 229,187 ; 81,103 3,668 21,662 .. 1,147 370,182 844 22,457 1,457 262,142 133,059 205,269 180,220 | 114,736 .. 163 22,725 1,763 206,660 i 28,718 | 184,579 i 19,836 j 932,447 ! 73,544 : 8,027 I .. 5,181 9,343,105 1,010,920 14,171 14,171 ; 9,343,105 : 996,749 ;_ _| . I __j ____■ H , i i Revenue Account — . ■ £ £ Revenue .. .. .. .. J 1,023,328 10,297.273 Expenditure .. .. .. .. I 10,339,854 9,343,105 j 683,474 I 954,168 ! Balance at beginning of yea]' B .. .. 586,483 432,315 1,269,957 1,386,483 Transfer to Public Works Fund .. I 500,000 800,000 Estimated and actual surplus at end of year .. .. .. .. £769,957 j , £586,483

9

B.H-6

Table No. 4. Expenditure of the Public Works Fund for the Ten Months ended 31st January, 1912, together with the Estimated Expenditure for the Two Months ending 31st March, 1912, compared with the Amount voted for 1911-12.

J. W. POYNTON, Secretary to the Treasury. E. L. Mowbray, Treasury. Wellington, 10th February, 1912. Accountant to the Treasury.

•18. 6

Expenditure J or Ten Months. Estimate Revised for Est mate to remaining 31st March, Two Months. 1912. Amount voted 1911-12. 'erence. More. Less. 3ass XVI.—Public Works, Departmental XVII.—Railways .. „ XVIII.—Development of Water-jiower „ XIX.—Irrigation and Water-supply.. XX.—Public Buildings ,, XXI.—Lighthouses, Harbour - works, and Harbour-defences ,, XXII.—Tourist and Health Resorts .. ,, XXIII. —Immigration XXIV.—Roads, &e. „ XXV.—Development of Goldfields .. „ XXVI.—Telegraph-extension „ XXVII. —Contingent Defence „ XXVIII. —Lands Improvement Services not provided for £ £ 39,757 10,000 725,342 334,900 6,374 3,000 2,155 700 253,128 117,200 £ 49,757 1,060,242 9,374 2,855 370,328 £ 51,802 1,472,790 50,COO 30,000 484,716 £ £ 2,045 412,548 40,626 27,145 114,388 I 8,698 7,320 9,964 , 3,575 Cr. 3,834 1,600 264,524 108,000 18,208 5,500 106,291 67,825 7,804 2,200 13,236 ! 4,250 1,000 16,018 13,539 Cr. 2,234 372,524 23,708 174,116 10,004 17,486 1,000 19,825 16,200 20,000 654,810 25,000 175,500 20,000 20,000 3,807 2,661 22,234 282,286 1,292 1,384 9,996 2,514 1^000 1,000 922,926 1,000 Total Public Works Fund .. 1,452,647 [ 666,070 2,118,717 3,040 643 921,92i

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10

Table No. 5.

Ten Months ended 1st Jan., 1911. RECEIPTS. Ten 1 en: 31st Janu lONTHS DED ARY, 1912. £ s. d. Balance at beginning of Year, — Cash in the Public Account Advances in the hands of Officers of the Government — In the Dominion On account of Imperial Pensions .. On account of other Governments £ s. d. £ • s. d. 491,437 4 5 564,201 9 0 35,441 7 0 510 9 8 4,926 16 9 17,921 0 0 107 12 5 4,253 2 9 532,315 17 10 100,000 0 0 432,315 17 10 Less Treasury Bills outstanding 586,483 4 2 586,483 4 2 2,460,428 7 1 643,952 16 6 614,796 10 11 172,607 6 2 611,590 5 0 40,845 4 3 95,068 6 6 2,709,035 2 3 62,878 19 11 36,734 14 4 201,818 6 11 Ordinary Revenue, — Customs .. .. .. .. .. Stamps (Stamp Department) Stamps (Postal Department) Postal and Telegraph Cash Receipts.. Land-tax Income-tax Beer Duty Railways Registration and other Fees Marine Miscellaneous 2,678,968 15 4 790,480 1 5 655,357 17 7 191,249 17 0 627,030 11 7 48,501 6 5 97,735 8 8 2,922,522 10 9 84,632 11 7 39,205 19 3 233,944 8 3 7,649,755 19 10 8,369,629 7 10 44,338 9 8 918 9 1 122,301 10 2 Territorial Revenue, — Cash Land Sales .. .. .. .. .. .. £55,901 10 4 Deferred-payment Land Sales .. .. .. .. 279 0 1 Pastoral Runs, Rents, and Miscellaneous .. .. .. 124,256 5 1 180,436 15 6 167,558 8 11 55,861 12 2 National Endowment Revenue 62,365 5 0 7,873,176 0 11 8,612,431 8 4 Amount at credit of Deposit Account, Imperial Government, South Africa Contingents, transferred to Consolidated Fund 13,175 13 10 The New Zealand Loans Act, 1908,— The Sta-.e Fire Insurance Act, 1908— Debentures matured 1st May, 1911, renewed 2,000 0 0 12 0 0 Recoveries on account of Expenditure of Previous Years,— i Unauthorized High School Board, Blenheim—Amount of subsidy overpaid War Office—Gmxpended balance of advance of £7,900 on account of Requisition Defence No. 8 .. Repayment for improvements on Small Grazing-run 5, Block X, Opaku Aotea District Maori Land Board—Cost of survey of Morikau No. 2 Block War Office — Refund of amounts overcharged in connection with shipment of Defence stores Repayment on account of advances on punt at Greenfield Settlement Receipts under the Cyanide Process Gold Extraction Act, 1897 Refund of amount paid for improvements, in terms of Section 214 of the Land Act, 1885 ) 30 0 0 21 0 0 80 13 9 1,228 10 0 1,550 0 0 366 4 11 12 11 6 10,349 19 5 387 10 0 12 0 0 14,026 9 7 25,000 0 0 i The New Zealand Loans Act, 1908,— The Defence and other Purposes Loan Act, 1870 — ) Debentures matured 1st July, 1910, renewed The Dairy Industry Act, 1908,— 3 Debentures matured 1st January, 1911, renewed 843 0 0 £8,381,346 18 9 9 j Totals £9,228,116 .15 1

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11

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911. ORDINARY REVENUE ACCOUNT.

Ten Months endkd ilST Jan., 1911. EXPENDITURE. Ten 1 en: 31st Jano Months )ED iBY, 1912. £ s. d. Permanent Appropriations,— Civil List Interest and Sinking Fund.. Under Special Acts of the Legislature Subsidies paid to Local Bodies Amounts paid over to Local Bodies and to Deposit Accounts— Payments under the Land Acts Payments under the Timber and Flax Royalties Act Endowments— New Plymouth Harbour Board .. Greymouth Harbour Board Westport Harbour Board National Endowment Residue Old-age Pensions £ s. d £ s. d. 28,956 17 8 !,242,680 9 1 325,894 8 5 79,500 16 3 26,090 19 10 2,399,597 11 11 387,867 0 0 79,013 15 11 21,606 9 7 6,296 3 3 23,749 15 8 4,006 6 4 4,587 18 8 21,472 7 5 58,257 10 3 39,103 2 6 251,858 19 11 3,861 14 3 23,239 9 3 51,236 8 9 43,655 13 6 269,120 18 3 3,311,439 13 8 3,080,215 3 0 32,432 17 5 33,763 0 11 673,376 7 9 1,670,285 14 3 63,668 5 10 16,743 7 6 285,825 2 4 16,720 9 11 211,780 17 4 164,901 13 4 Annual Appropriations,— Glass I.—Legislative Departments II. —Department of Finance .. .. * III.—Post and Telegraph Department ° IV.—Working Railways Department.. V. —Public Buildings, Domains, and Maintenance of Roads VI. —Native Department VII. —Justice Department " VIII. —Mines Department IX. —Departmpnt of Internal Affairs .. X.—Defence Department XI. Customs, Marine and Harbours, and Inspection of Machinery Departments XII.—Department of Labour . XIII. Department of Lands and Survey " n XIV. —Department of Agriculture, Commerce, and Tourists XV. —Education Department Services not provided for .. 25,166 10 4 40,180 5 6 661,292 17 8 1,855,300 6 7 59,270 12 11 16,365 2 3 277,634 14 4 19,451 11 3 278,223 17 5 273,646 7 7 91,112 18 2 18,554 11 1 153,712 7 0 137,838 13 9 769,271 5 5 2,341 7 2 93,841 3 10 19,971 6 6 186,878 6 10 152,215 1 6 787,270 14 10 2,846 10 2 4,342,328 19 2 4,749,555 9 233,000 0 0 Revenue transferred to the Public Works Fund 250,000 0 The'New Zealand Loans Act, 1908, — The State Fire Insurance Act, 1908— Debentures matured 1st May, 1911, renewed 2,000 0 25,000 0 0 The Defence and other Purposes Loan Act, 1870— Debentures matured 1st July, 1910, renewed The Dairy Industry Act, 1908,— Debentures matured 1st January, 1911, renewed 843 0 0 Balance at end of Ten Months, — Cash in the Public Acoount Advances in the hands of Officers of the Government— In the Dominion In London On account of Imperial Pensions On account of other Governments 363,223 2 10 358,689 10 0 696,334 12 2 50,000 0 0 769,956 16 8 50,000 0 0 Dr. 344 1 9 4,657 11 8 5,563 17 9 1,182,959 16 7 533,000 0 0 1,115,121 12 9 200,000 0 0 Less Treasury Bills outstanding 915,121 12 649,959 16 7 £9.228,116 15 1 £8,331,346 18 9 Totals

12

8.—6

Table No. 5— continued.

TREASURY BILLS ipvCmcjupct eii_i_c> FIT TTl »T TV It f-w "IL"I F¥1 T* l~l Ten Months ended 31st Jan., 1911. Ten Months receipts. ended 31st January, 1912. Ten Months ENDED 31st January, 1912. Qiai tlAItUAill, laii. £ s. d. 100,000 0 0 £ 8. d. £ s. d. Treasury Bills outstanding at beginning of Year .. .. .. .. £ s. d. ! £ s. d. 1 783,000 0 0 333,000 0 0 Treasury Bills issued during Ten Months .. .. .. .. .. 500,000 0 0 Treasury Bills renewed during Ten Months .. .. .. .. .. 200,000 0 0 700.000 0 0 500,000 0 0 200,000 0 0 (UUjUUU U U 700,000 0 0 1,116,000 0 0 Totals .. £700,000 0 0 £1,216,000 0 0 £700,000 0 0 * STATE FORESTS £ s. d. 16,921 7 7 Balance at beginning of Year,-- £ s. d. £ s. d. Cash in the Public Account .. .. .. .. .. .. 14,116 3 3 Advances in hands of Officers of the Government— In the Dominion .. .. .. .. .. .. .. 83 15 11 853 15 10 17,775 >3 5 14,199 19 2 2,577 15 5 3,860 19 0 Rents from Lands set apart .. .. .. .. .. .. .. 1,414 12 1 Miscellaneous .. .. .. .. .. .. .. .. 4,878 6 10 1.414 12 1 4,878 6 10 — 6,292 18 11 6,438 14 5 Contribution from the Consolidated Fund towards cost of forest-tree growing and planting .. .. .. .. .. .. .. .. .. .. 5,000 0 0 £24,213 17 10 Totals .. .. .. .. .. .. .. £25,492 18 1 £25,492 18 1 STATE COAL- £ s. d. 54,348 5 5 Balance at beginning of Year, — £ s. d. £ s. d. Cash in the Public Account .. .. .. ,. .. .. 27,302 12 2 Advances in the hands of Officers of the Government— In the Dominion .. .. .. .. .. .. .. 266 1 8 7,210 15 2 61,559 0 7 27,568 13 10 185,648 8 3 Proceeds of Sale of Coal .. ... .. .. .. .. .. .. 168,660 10 10 The Coal-mines Act, 1908,— Debentures issued .. .. .. .. .. .. .. .. 10,000 0 0 £247,207 8 10 Totals .. .. .. .. .. .. .. £206,229 4 8 £206,229 4 8

13

8.—6.

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued.

ACCOUNT. Ten Months ended EXPENDITURE. : 31st Jan., 1911. & s. a. 333,000 0 0 i Treasury Bills renewed during Ten Months 350,000 0 0 Treasury Bills paid off during Ten Months Ten Months ,T3 ended 31st Januaby. 1912. £ s. d. £ a. d. 200,000 0 0 300,000 0 0 ! ! 500,000 0 0 683,000 0 0 533,000 0 0 j Treasury Bills outstanding at end of Ten Months £1,216,000 0 0 : Totals i 200,000 0 0 £700,000 0 0 £1,216,000 0 0 , • ACCOUNT. £ s. d. £ s. d. S, s. d. £ s. d. Annual Apcrooriation, — 19,502 5 3 Vote 120—State Forests Branch 15,932 2 0 15,932 2 0 Balance at end of Ten Months,— 2,902 12 3 Cash in the Public Account Advances in the hands of Officers of the Government— 1,809 0 5 In the Dominion 4,711 12 8 £24,213 17 10 Totals 9,560 16 1 9,560 16 1 £25,492 18 1 9,560 16 1 £25,492 18 1 MINES ACC MINES ACCOUNT. £ 8. d. Annual Appropriation,— 197,306 8 3 Vote 121— State Coal-minee £ 8. d. 197,306 8 3 £ s. d. £ s. d. 174,050 5 6 2,275 0 0 Interest on Debentures Balance at end of Ten Months, — 23,13114 11 Cash in the Public Account Advances in the hands of Offioers of the Government— 24,494 5 8 In the Dominion 47,626 0 7 23,131 14 11 2,275 0 0 2,275 0 0 8,869 17 7 21,034 1 7 29,903 19 2 24,494 5 8 47,626 0 7 £247,207 8 10 Totals £247,207 8 10 £206,229 4 8 £206,229 4 8

8.—6

14

Table No. 5— continued.

PRE 3ERVATION Ten Months ended 31st Jan., 1911. ; en Months Ten Months ended receipts. ended it Jan., 1911. : 31st January, 1912. RECEIPTS. [ONTHS >ED FAEY, 1912. i i ; £ s. d. Balance at beginning of Year, — £ p. d. £ s. d. 6,652 16 8 Cash in the Public Account .. .. .. .. .. .. .. 2,92119 10 £ s. d. 2,921 19 10 The New Zealand Loans Act, 1908,— The Scenery Preservation Act, 1908— Debentures matured 1st May, 1911, renewed .. .. .. .. .. 30,000 0 0 30,000 0 0 £6,652 16 3 £6,652 16 3 Totals .. .. .. .. .. .. .. £32,921 19 10 £32,921 19 10 "^^""""* M^ _ ___ „ _ _ . , _ __ M -™—'——— l^^^^^^^^™j « NAVAL DEFENCE £ s. d. Balance at beginning of Year,— £ s. d. £ p. d. Cash in the Public Account .. .. .. .. .. .. 309,818 16 3 Advances in the hands of Officers of the Government— In London .. .. .. .. .. .. .. .. 70,711 0 0 I Investment Account .. .. .. .. .. .. .. 250,000 0 0 — • 630,529 16 3 £ s. d. 836,500 0 0 342,000 0 0 The New Zealand Loans Act, 1908,— Naval Defence Act, 1909— 36,500 0 0 Instalments received in respect of £1,250,000 Loan authorized .. .. 129,750 0 0 42,000 0 0 Advances on the security of Debentures issued under the Act .. .. | 150,000 0 0 : Interest on overdue instalments .. .. .. .. .. .. I 2 10 1 —J : 279,752 10 1 78.500 0 0! 1,178,500 0 0 I O , UUU U U ! The New Zealand Loans Act, 1908,— 3£ per-cent. Inscribed Stock created to cover expanses of raising £1,250,000 Loan under the Naval Defence Act, 1909 .. .. .. .. .. .. 47,82113 11 78,500 0 0 J Totals .. .. .. .. .. .. .. £958,104 0 3 £1,178,500 0 0 \ ACC SOUNTS OF I £ s. d. Dr. 4,708 18 9 Balance at beginning of Year,— Cash in the Public Account Advances in the hands of Officers of the Government — In the Dominion £ s. d. Dr. 3,079 16 0 i, a. d. 18 6 0 Dr. 4,690 12 9 73 7 4 Dr. 3,006 8 8 7,127 12 10 19,656 3 7 12,833 17 9 23,608 2 4 Revenue received for Local Bodies, — Pees, Fines, &c. .. Endowments of Land, &c.. Goldfields Eevenue Gold Duty 10,107 3 6 19,620 19 8 12,644 15 5 21,564 5 5 63,937 4 0 63,275 16 6 101 3 11 Counties Separate Account, — Eevenue of Counties in which the Counties Act, 1908, is not in full operation .. 27 16 9 28,230 4 5 3 6 0 Advance Accounts, — Amount repaid by Local BodieE Ditto on account of Unauthorized Expenditure of previous years 27,360 2 7 13,331 18 2 40,692 0 9 28,233 10 5 Totals £86,919 18 1 £101,650 12 10

15

8.—6.

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued.

ACCOUNT. Ten Months bndkd EXPENDITURE. 31st Jan., 1911. Ten Mob ended 31st JanuaetfONTHS DED TAEY, 1912. NT D fsr, rHS , 1912. £ s. d. Annual Appropriation,— 2,845 2 1 Vote 122—Scenery Preservation The New Zealand Loans Act, 1908,— The Scenery Preservation Act, 1908 — Debentures matured 1st May, 1911, renewed — Balance at end of Ten Months, — 3,693 3 0 Cash in the Public Account Advances in the hands of Officers of the Government— 114 11 2 In the Dominion £ s. d. 3 15 6 £, S. d. 2,918 i 4 30,000 0 0 £, s. d. 2,918 i 4 30,000 0 0 3 15 6 S Ifi fi 3,807 14 2 £6,652 16 3 Totals £32,921 19 10 £ £32,921 19 10 ACT ACCOUNT. £ s. d. £ s. d. 341,289 0 0 Expenditure under the Act .. 341,289 0 0 Expenditure under the Act .. £ s. a. £ s. d. 605,711 0 0 £ s. d. 505,711 0 0 The New Zealand Loans Act, 1908,— The Naval Defence Act, 1909— 331 4 6 Charges and Expenses .. The New Zealand Loans Act, 1908,— The Naval Defence Act, 1909— 331 4 6 Charges and Expenses .. .. .. .. 47,824 4 0 47,824 4 0 The Naval Defence Act, 1909,— 342,000 0 0 Temporary Advances repaid . 1 The Naval Defence Act, 1909,— 342,000 0 0 Temporary Advances repaid 1 Balance at end of Ten Months, — 416,879 15 6 I Cash in the Public Account Advances in the hands of Officers of the Government— 78,000 0 0| In London Investment Account .. ... .. •. • ■ »■ Balance at end of Ten Months, — 416,879 15 6 I Cash in the Public Account AHoandBB in t,he hands of Officers of the Government204,568 16 3 2i li Advances in me nanus ox wmcera oi i»ne uuveniuienij— 78,000 0 0| In London Investment Account .. ... 100,000 0 0 304,568 16 3 494,879 15 6 | £1,178,500 0 0 Totals I 494,879 15 6 | 304,568 16 3 £1,178,500 0 0 Totals i £958,104 0 3 358,104 0 3 LOCAL BODIES. LOCAL BODIES. £ s. d. Revenue paid over to Local Bodies, &c, — 7,121 19 2 Fees, Pines, &c. .. 17,726 12 8 Endowments of Land, &c. .. 13,663 1 4 Goldfields Revenue 22,548 3 1 Gold Duty 61,059 15 10 £ s. d. Revenue paid over to Local Bodies, &c, — 7,121 19 2 Fees, Pines, &c. .. 17,726 12 8 Endowments of Land, &c. .. 13,663 1 4 Goldfields Revenue 22.548 3 1 Gold Duty £ s. d. 10,095 4 8 18,137 2 3 13,684 14 11 21,999 7 3 £ s. d. ZZ-iJ tO O -L UU1U Jj"UUJ . . • « • • 61,059 15 10 61,059 15 10 63,916 9 1 Advance Accounts,— 28,064 1 3 Payments on behalf of Local Bodies \J JL y \jiJ <s J±\J -A.yj 27,393 9 8 Advance Accounts,— 28,064 1 3 Payments on behalf of Local Bodies 28,064 1 3 Counties Separate Account, — Amount distributed amongst Local Bodies where the 51 2 5 not in full operation Balance at end of Ten Months,— Counties Separate Account, — Amount distributed amongst Local Bodies where the Counties Act, 1908, is 51 2 5 not in full operation ! Countii eg Act, 18, , is 51 2 5 Dr. 3,924 9 6 J5aiance at ena oi xeii iviun iua, — Dr. 3,924 9 6 Cash in the Public Account .. .. .. Advances in hands of Officers of the Government— 1,669 8 1 In the Dominion Balance at end of Ten Months,— Dr. 3,924 9 6 Cash in the Public Account .. .. .. Advances in hands of Officers of the Government— 1,669 8 1 In the Dominion 8,501 1 3 1,839 12 10 8,501 1 3 10,340 14 1 1,839 12 10 1,669 8 1 Dr. 2,255 1 5 rw o oc;r. i k Dr. 2,255 1 5 £86,919 18 1 £86,919 18 1 Totals £101,650 12 10

B.—6

16

Table No. 5— continued.

Tbn Months ended 31st Jan., 1911. Ten Months ended RECEIPTS. Ten Months ended 1st Jan., 1911. 31st January, 1912. £ s. d. 196,816 11 1 £ s. d. 196,816 11 1 14 0 0 Hlfi fiSO 11 1 Balance at beginning of Year,— Cash in the Public Account .. .. .. .. Advances in the hands of Officers of the Government — In the Dominion £ s. d. £ s. d. j 180,108 8 5 62 16 3 — J 180,171' 4 8 I 14 0 0 196,830 11 1 I -L17U,OUV/ 11 A 9,373 0 3 9 10 8 125 0 0 14 7 9 1,296 9 0 83,037 17 9 150,461 5 4 27 16 6 0 15 6 2 18 4 134 15 0 j 18,269 1 0 I 70 15 2 18,746 1 10 978 0 0 i 148 0 5 J • • I 168 7 6 1,566 16 3 J i 284,430 18 3 £481,261 9 4 ' Lodgments,— Education Reserves Amendment Act, 1910 .. Emigrants'Deposits Fisheries Act, 1908 General Assembly Library .. Gold Duty Suspense Account Hospitals and Charitable Institutions Acts, 1908 Land Act, 1908— Mining Districts Land Occupation Account Miscellaneous Money-order Settlement Account Nelson Rifle Prize Fund New Zealand University Endowments, Taranaki New Zealand University Endowments, Westland j North Island Experimental Dairy School North Island Main Trunk Railway Loan Application Act 1886 Amendment Act, 1889 .. Otago University Reserves Act, 1904 Public Trust Office Remittance Account Railways Rates on Workers' Dwellings .. .. I Taranaki Scholari-hips Endowment Account Tauranga Educational Endowment Reserves Act, 1896 Thermal Springs Districts Act, 1908 Westport Harbour Board Act, 1884, Special Coal Rate Account I — Totals 59,419 9 9 ! 6,061 19 3 i 2 3 1 70 0 0 4,891 14 4 3 11 1 I 1,102 13 2 53,904 1 10 219,958 2 6 28 0 0 • I 130 15 11 2 5 10 167 0 0 23,182 6 11 0 16 11 21,570 4 11 2,207 0 0 j 35 13 6 1 664 14 5 21 12 7 201 0 8 1,523 13 2 395,149 5 10 ] : £575,320 10 6 £575,320 10 6

17

B -6.

STATEMENT of the RECEIPTS and EXPENDITURE of the CONSOLIDATED FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued. DEPOSIT ACCOUNTS.

3-B. 6.

Ten Months ended 31st Jan., 1911. EXPENDITURE. e> 31st Jani Ten 1 EN 31st Jand NDED ruABY. 1912. Months DED jaby. 1912. OiST O A1N j uAKi. i9i a. . & b. d. 6,214 7 6 22 16 3 270 0 0 Withdrawals, — £ p. d. Cyanide Process Royalties Account .. .. .. .. .. .. 10,349 19 5 Education Reserves Amendment Aot, 1910 .. .. .. .. .. 53,831 12 6 Emigrants'Deposits .. .. .. .. .. .. .. 2,909 16 0 Fisheries Act, l£08 .. .. .. .. .. .. .. 8 13 11 General Assembly Library .. .. .. .. .. .. 70 0 0 Hospitals and Charitable Institutions Acts, 1908 .. .. .. .. 17 2 11 Imperial Government (South Africa Contingents) .. .. .. .. 13,175 13 10 Land Act, 1908— Mining Districts Land Occupation Account .. .. .. .. 738 13 6 Maori Land Settlement Aot, 1905 .. .. .. .. .. .. 26 10 6 Miscellaneous .. .. .. .. .. .. .. .. 50,321 19 5 Money-order Settlement Account .. .. .. .. .. .. 175,343 2 6 Nelson Rifle Prize Fund .. .. .. .. .. .. .. 36 17 6 New Zealand University Endowments—Taranaki .. .. .. .. 138 15 11 North Island Main Trunk Railway Loan Application Act 1886 Amendment, Act, 1889 .. .. .. .. .. .. .. .. .. 960 North Island Experimental Dairy School Public Trust Office Remittance Account .. .. .. .. .. 9,359 15 5 Rates on Workers'Dwellines .. .. .. .. .. .. ' 370 14 10 Taranaki Scholarships Endowment Account .. .. .. .. .. 413 11 1 Thermal Springs Districts Act, 1908 .. .. .. .. .. 63 18 4 Trustee Act, 1908 £ f=. a. 10,349 19 5 53,831 12 6 2,909 16 0 8 13 11 70 0 0 17 2 11 13,175 13 10 I. £ s. d i > I I i - 317,186 3 7 £ a. 6 5 0 0 808 4 8 157 1 9 101,071 7 11 128,461 5 4 738 13 6 26 10 6 50,321 19 5 175,343 2 6 36 17 6 138 15 11 9,994 3 0 5 10 0 13,672 3 10 9 6 0 9,359 15 5 370 14 10 413 11 1 63 18 4 317,186 3 7 18 8 2 980 4 8 261,680 13 1 218,533 12 3 Balance at end of Ten Months, — Cash in the Public Account .. .. .. .. .. .. 256,647 7 8 Advances in the hands of Officers of the Government— In the Dominion .. .. .. .. .. .. .. 1,486 19 3 258,134 6 11 258,134 6 11 1,047 4 0 219,580 16 3 £481,261 9 4 Totals £575,320 10 6

B.—6

18

Table No. 5- continued.

Ten Months Ten M ended RECEIPTS. hot 81st Jan.. 1911. ; 31st Janu; lONTHS DED rABY, 1912. £ s. d. £ s. a. Balance at beginning of Year, — 304,741 111 Cash in the Public Account .. .. .. .. .. .. 381,258 12 10 Advances in the hands of Officers of the Government— 7,625 4 2 In the Dominion .. .. .. .. .. .. ..' 8,786 13 9 Investment Account .. .. .. .. .. .. .. 750,000 0 0 312,366 6 1 . £ s. d. 1,140,045 6 7 The Aid to Public Works and Land Settlement Act, 1911, - Temporary advance on security of Debentures issued .. .. .. .. i The Aid to Publio Works and Land Settlement Act, 1910,— 1,171,100 0 0 Instalments received in respect of £1,750,000 Loan authorized.. .. .. 181,650 0 0 Interest on overdue instalments .. .. .. .. .. .. 3 10 2 150,000 0 0 ! Temporary advances on the security of Debentures issued 350,000 0 0 I ■ ] 181,658 10 2 1,321,100 0 0 The New Zealand Loans Act, 1908,— The Aid to Public Works and Land Settlement Aot, 1901— Debentures matured 1st December, 1911, renewed .. .. .. .. 65,300 0 0 Temporary advance on Reserve Fund Securities — Provision for Debentures matured 29th December, 1911 .. .. .. 72,700 0 0 138.000 0 0 ] The Aid to Public Works and Land Settlement Act, 1903 — Temporary advance on Reserve Fund Securities— Provision for Debentures matured 29th December, 1911 .. .. .. 25,000 0 0 Provision for Debentures matured 1st January, 1912 .. .. .. 5,000 0 0 80,000 0 0 The Aid to Publio Works and Land Settlement Act, 1904— Temporary advance on Reserve Fund Securities — Provision for Debentures matured 1st January, 1912 .. .. .. j The Aid to Publio Works and Land Settlement Act, 1906— Debentures issued for redemption of Debentures matured 1st January, 1912 .. 18,650 0 0 Debentures issued in renewal of Debentures matured 1st January, 1912 .. 52,350 0 0 565,800 0 0 71,000 0 0 The New Zealand Loans Act, 1908,— 3J-per-oent. Inscribed Stock created to cover expenses of raising £1,750,000 Loan under the Aid to Public Works and Land Settlement Aot, 1910 .. .. 66,950 7 5 3$-per-cent. Inscribed Stock creattd to cover expenses of raising £1,850,000 Loan under the Aid to Public Works and Land Settlement Act, 1909, and the 66,390 0 0 Finance Act, 1909 66,390 0 0 233,000 0 0 Revenue transferred from the Consolidated Fund in aid of Public Works 66,950 7 5 250,000 0 0 Recoveries on account of Expenditure of previous Years, — Value of material formerly in use on North Island Main Trunk Railway construction now transferred to other works .. .. .. .. .. ' 4,114 0 8 Repayment for advances for bushfelling, Rangitatau Blook .. .. .. 234 8 11 Refund of overcharge on wire supplied to the improved-farm settlers .. .. j 13 3 0 Value of land at Tβ Kuiti transferred to Railway Department for railway purposes 565 0 0 Refund of loan for Johnson's Dam, Bow Bell Flat .. .. .. .. 15 0 0 Muddy Terrace Sluicing Company—Reduction of mortgage under the Mining 1,000 0 0 Act, 1908 .. .. .. .. .. .. .. .. j 945 0 0 : Westland Hospitals and Charitable Aid Board (quarter-cost of Hokitika Hospital) j Amount advanced to Elsie Wallace pending completion of purchase of Kapiti 5 0 0 ; No. 4 Blook, now refunded .. .. .. .. .. 1,950 0 0 4,941 12 7 Special Receipts in connection with the Ellesmere and Forsyth Reclamation and 1,215 16 10 Akaroa Railway Trust Account 1,328 9 9 The Aid to Public Works and Land Settlement Act, 1909, — 600,000 0 "0 i Proceeds of Scrip and Debentures issued The Finance Act, 1909,— 1,250,000 0 0 Proceeds of Scrip and Debentures issued 2 3 Interest on overdue instalment 1,250,002 3 7 £3,786,024 0 6 Totals £2,799,414 6 6

19

B.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the PUBLIC WORKS FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911.

Ten Months Ten Months ended EXPENDITURE. ended 81st Jan., 1911. 31st January, 1912. £ s. d. £ s - d. £ 8.' d. Annual Appropriations,— 84,022 2 8! Glass * XVI.—Public Works, Departmental .. .. .. ••' 39,757 7 9 765,481 7 7 „ XVII.—Railways .. " .. .. .. .. •• •• 725,341 17 0 138 12 8 „ XVIII.—Development of Water-power .. .. .. ■■ 6,878 1111 1,052 7 10 „ XIX.—Irrigation and Water-supply • .. •• •• 2,156 Oil: 259,285 6 6 . XX.—Public Buildings .. .. .. .. ■• •• '253,127 10 6 . 7,340 13 8 , XXI.—Lighthouses, Harbour-works, and Harbour Defences .. .. 8,698 8 9 4,691 110, „ XXII.—Tourist and Health Resorts .. .. .. •• •• 9,964 8 5 Cr. 3,322 16 0 „ XXIII.—Immigration .. .. .. .. •• •• Or. 3,833 15 8 XXIV.—Construction, Maintenance, and Supervision of RoaHs, Bridges, 158,406 10 11 and other Public Works .. .. .. •• •■ 264,523 14 3 7,140 18 2 . XXV.—Development of Goldfields .. .. ... .. •• 18,208 3 4 69,969 3 51 „ XXVI.—Telegraph Extension .. .. .. ... •• 106,291 8 11 I 4,173 17 4 , XXVII.—Contingent Defenoe .. .. .. •• .- ! 7,803 17 10: 8.268 12 10 , XXVIII.—Lands Improvement .. .. .. .. ••! 3 3,235 9 2 Services not provided for .. .. .. .. .. •• •■ 1,000 0 0 ; ! 1,452,646 18 1 1,316,647 19 5 ' The New Zealand Loans Act, 1908,— ' The Aid to Public Works and Land Settlement Aot, 1901 — Debentures matured 1st December, 1911, redeemed .. .. •■ 8,100 0 0 Debentures matured 1st December, 1911, renewed .. .. •• •• 65,300 0 0 I 73,400 0 0 ! The Aid to Public Works and Land Settlement Act, 1906 Debentures matured 1st January, 1912, redeemed .. .. .. •• 18,650 0 0 Debentures matured 1st January, 1912, renewed .. .. .. •• 52,350 0 0 71,000 0 0 ... Charges and Expenses in respect of loans raised under, — The Aid to Public Works and Land Settlement Act, 1901 .. .. • ■ 15 2 6 The Aid to Public Works and Land Settlement Act, 1902 .. .. • • 0 7 0 The Aid to Public Works and Land Settlement Act, 1903 .. .. -■ 0 12 0 The Aid to Public Works and Land Settlement Act, 1910 .. .. .: 66,953 17 7 4 5 0 The Aid to Publio Works and Land Settlement Act, 1900 2 5 6! The Aid to Publio Works and Land Settlement Act, 1908 21,035 2 0i The Aid to Public Works and Land Settlement Act, 190'J 43,823 2 7 : The Finance Act, 1909 1,533 19 0 The New Zealand Loans Act, 1908 .. ! i 66,969 19 1 66,398 14 1 I The Aid to Publio Works and Land Settlement Act, 1910,— 150,000 0 0 Temporary Advanoee repaid The Aid to Publio Works and Land Settlement Aot, 1909, — 500,000 0 0 Debentures matured 31st March, 1910, redeemed The Finanoe Aot, 1909,— 1,000,000 0 0 Temporary Advances repaid ' ! The New Zealand Loans Act, 1908, — The Aid to Publio Works and Land Settlement Act, 1908— 25 0 0 Debentures matured 1st January, 1909, redeemed .. 200 0 0j Debentures matured 1st February, 1909, redeemed. .... ......... .. .. .. __ 225 0 0 The Ellesmere and Foreyth Bailway Trust Aooount, — 150 0 0 Expenditure The Appropriation Act, 1910, seotion 27,— 1,000 0 0 Subsidy granted to Woodville County Counoil, applied in reduction of £3,000 Loan| I Balanoe at end of Ten Months, — 105,561 7 9 Cash in the Publio Account .. .. .. .. .. .. 735,424 16 11 Advances in the hands of Omoers of the Government — 146,041 5 10 ! In the Dominion .. .. .. .. .. .. .. 199,972 12 5 500,000 0 0 I Investment Aooount .. .. •• •• •■ ■• .. 200,000 0 0 ' 1,135,397 9 4 751,602 13 0 : £3,786,024 6 6 . Totals .. 2,799,414 6 6

20

8.—6

Table No. 5—continued.

WEL w LINGTi ON-HUTT RAILWAY AND u Ten Months ended ilsT Jan., 1911. RECEIPTS. Balance at beginning of Year, — Cash in the Public Account RECEIPTS. Ten Months ended 31st January, 1912. £ s. d. £ s, d. .. j .. 4,814 4 9 £ s. d. 12,210 5 9 18,900 0 0 The Hutt Ra-lway and Road Improvement Act, 1910, — Debentures issued \ .. .. 5,190 0 0 j I i The New Zealand Loans Act, 1908, — The Hutt Railway and Road Improvement Acts, 1903 and 1905— Di'bfmures matured 1st May, 1911, renewed 100,000 0 0 : 3,110 0 0 The Hutt Railway and Road Improvement Act, 1907, — Debentures issued £34,220 5 9 Totals £110,004 4 9 i "■ i THE RAILWAYS £ s. d. 18,197 11 0 Balance at beginning of Year, — Ca«h in the Public Account .. .. ... Balance at beginning of Year, — Cash in the Public Account .. .. ... £ s. d. £ s. d. 18,146 3 2 Thp n-nvArnrviAnf. Ti.nilwfl.vH Amfindmpnf; Ant; 1Q.1O.—The Government Railways Amendment Act, iy.U),— Debentures issued The Government Railways Amendment Act, 1910,— Debentures issued 25,090 0 0 52,750 0 0 The Government Railways Act, 1908,— Scrip and Debentures issued Debentures issued for Redemption of Debentures De'iensures matured 30th June, 1910, renewed under the New Zealand Loans Aot, 1908 The Government Railways Act, 1908,— Scrip and Debentures issued Debentures issued for Redemption of Debentures 3,300 0 0 16,000 0 0 De'iensures matured 30th June, 1910, renewed under the New Zei :a ijand Loa ans 1,500 0 0 Aot, 1908 20,800 0 0 1 The Finance Act, 1909,— The Government Railways Act, 1908— Scrip and Debentures issued 100 0 0 £91,847 11 0 Totals £43,236 3 2 HOU AND OHINEMUR! THE WA £ s. d. Bilance at beginning of Year, — Cash in the Publio Account £ s. d. £ s. d. 100,000 0 0 £100,000 0 0 Total aSTATEMENT of the RECEIPTS and EXPENDITURE of the CHE IOT ESTA 1 ■E ACCOUN £ s. d. 58,810 0 9 Balance at beginning of Year, — Cash in the Public Account £ s. d. £ s. d. 62,771 15 8 8,444 13 6 Receipts under the Land Act, 1908, — Rents from Lands.. .. .. ..•■■. 9,442 12 3 356 17 0 Other Receipts,— Interest on Securities held by Investment Account Totals £72,214 7 11 £67,611 11 3

21

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the PUBLIC WORKS FUND for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued.

ROAD I Ten Months Ten Months ended EXPENDITURE. ended 31st Jan., 1911. 31st Januaby, 1912. £ s. d. Annual Appropriation,— £ s. d. £ s. d. ! 25,475 9 8 Vote 124—Hutt Railway and Road Improvement .. .. .. .. .. 7,297 11 5 The New Zealand Loans Act, 1908,— The Hutt Railway and Road Improvement Aots, 1903 and 1905— Debentures matured 1st May, 1911, renewed .. .. .. ..I .. 100,000 0 0 The Hutt Railway and Road Improvement Act, 1910, — j Charges and Expenses authorized by the New Zealand Loans Act, 1908—On Sales .. 0 7 0 Balance at end of Ten Months, — 8,744 16 I Cash in the Public Account .. .. .. ,. .. .. .. 2,706 6 4 £34,220 5 9 Totals .. .. .. .. .. .. .. £110,004 4 9 ' | ' _ __ "^^^~^^^"™"~" "~~~"~ IMPROVEMENTS ACCOUNT. IMPROVEMENTS ACCOUNT. - £ s. d. Annual Appropriation,— £ s. d. £ s. d. 44,786 19 3 Vote 125—Railway Improvements .. .. .. .. .. 41,655 8 5 £ s. a. 44,786 19 3 £ s. d. £ s. d. 41,655 8 5 The Government Railways Amendment Act, 1910,— Charges and Expenses authorized by the New Zealand Loans Aot, 1908—On Sales .. 0 10 6 0 10 6 The Government Railways Aot, 1908, — 16,000 0 0 Debentures matured 30th June, 1910, redeemed Debentures matured 30th June, 1910, renewed under the New Zealand Loans 1,500 0 Oj Aot, 1908 16,000 0 0 1,500 0 0 17,500 0 0 The Finance Act, 1909,— The Government Railways Aot, 1908— 5 12 4 Charges and Expenses authorized by the New Zealand Loans Aot, 1908 17,500 0 0 t 5 12 4 Balance at end of Ten Months, — 29,554 19 5 Cash in the Public Account .. .. .. .. .. .. .. 1,580 4 3 i 29,554 19 5 1,580 4 3 ! £91,847 11 0 Totals .. .. .. .. .. ... .. £43,236 3 2 £91,847 11 0 £43,236 3 2 ■ — ; =i l RIVERS IMPROVEMENT ACCOUNT. £ b. d. Annual Appropriation, — Vote 126—Waihou and Ohinemuri Rivers Improvement £ s. d. £ s. d. 989 19 2 Balance at end of Ten Months, — Cash in the Publio Account Total 99,010 0 10 £100,000 0 0 i ■i :or the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st Januaey, 1911. & s. d. £ s . d. 4,433 1 3 Interest paid in respeot of Debentures issued .. .. .. .. .. 8,866 2 6 13 12 0 ; Surveys, Roading, &c. .. .. .. .. .. .. .. 87 15 10 4,446 18 3 £ s. d. 8,903 18 4 j Balance at end of Ten Months,— 68,164 18 0; Cash in the Publio Acoount 63,310 9 7 £67,611 11 3 Totals £67,611 11 3 £72 214 7 11

8.—6

22

Table No. 5—continued.

Ten Months ended 11st Jan., 1911. ?en Months ended st Jan., 1911. RECEIPTS. Ten JK ENI 31st Janu loNTHS DED fARY, 1912. £ s. d. £ s. d. !02,385 9 10 111 17 4 Balance at beginning of Year, — Cash in the Public Account Advances in the hands of Officers of the Government— In the Dominion £ s. d. 53,097 14 8 300 0 0 £ a. J. 202,385 9 10 111 17 4 ir\o Ann n o 53,397 14 8 202,497 7 2 !02,497 7 2 Amount received from the New Zealand State-guaranteed Advances Office in terms of Seotion 89 of the New Zealand State-guaranteed Advances Act, 1909 25,000 0 0 28,175 0 0 The Land for Settlements Aot, 1908, the New Zealand State-guaranteed Advances Aots, 1909, 1910, and the New Zealand Loans Acts, 1908,— Debentures issued for redemption of Debentures matured 1st October, 1911 Debentures issued for redemption of Debentures matured 1st November, 1911 .. Debentures issued for redemption of Debentures matured 1st January, 1912 Debentures matured 1st November, 1911, renewed .. .. .. Debentures matured 1st January, 1912, renewed Debentures issued for redemption of Debentures matured 1st January, 1911 99,000 0 0 8,000 0 0 72,350 0 0 600 0 0 10,100 0 0 28,175 0 0 190,050 0 0 10,264 12 10 1,955 13 8 Receipts on account of capital value of land under the Land Aot, 1908, — Section 177 .. .. .. .. .. .. .. .. j Section 191 .. .. .. .. .. .. .. 9,020 15 2 '9,020 15 2 io 00a a a I 12,220 6 6 12,220 6 6 155,351 18 4 .55,351 18 4 Receipts derived from Estates, — Rents, &c. .. .. .. .. .. .. .- 184,902 12 11 0 6 8 12 14 9 5 15 4 0 6 8! 12 14 9 5 15 4 23 18 6 Credits in reduotion, — Bickerstaffe .. .. .. .. .. .. .. .. j Eccleston II .. .. ... .. .. .. .. Greenfield .. .. .. .. .. .. .. Heretaunga .. .. .. .. .. .. .. Lawry .. .. .. .. .. .. .. .. Makareao .. .. .. .. .. .. .. Mangatahi .. .. .. .. .. .. .. Ruapuna II .. .. .. .. . .-■- :■. .. Te Mata .. .. .. .. .. .. .. .. .. ' Windle .. .. .. .. .. .. .. .. .. | I 34 12 2 21 6 10 60 17 2 186 8 1 124 1 11 0 10 8 2 '6 0 3 9 40 6 6 23 18 6 476 19 11 42 15 S 42 15 3 ; Recoveries on acoount of Estates, — Drayton .. .. .. .. .. .. .. .. .. ; 6 0 0 _ : 482 3 11 482 3 11 Other Reoeipts,— Interest on Securities held by the Investment Aocount 598,769 11 2 Carried forward .. .. 398,769 11 2 462,853 2 8 j

23

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the LAND FOR SETTLEMENTS ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911.

Ten Months ended 31stJan., 1911. Ten M END 31st Janu. !ONTHS IED EXPENDITURE ARY, 1912. £ s. d. 5,206 18 0 499 10 11 Annual Appropriations.— Vote 123—Land for Settlements Expenses Workers' Dwellings Expenses £ s. d. £ s. d. £ s. d. 4,803 15 3 £ s. d 4,803 15 i 5,706 8 11 Acquirement of Estates, and expenses incidental thereto, — I 404 6 2 9 15 6 2 3 0 Name of Estate. Airedale Albury Allanholm Annan Aorangi Ardgowan Argyll Aviemore .. .. Barnego Bickerstaffe Blind River Braeburn Buddo Cadman Carrington Carroll Chamberlain .. Clandeboye Olandeboye No. 2 .. Clandon Clydebank Conical Hills Cradock Culverden Douglas (E. Richards) Duncan Drayton Dyer Eccleston No. 1 Eccleston No. 2 Edendale Elderslie Elsthorpe Epuni Ermedale Fencourt Flaxbourne Forest Gate Fyvie Glenham Greenfield Hall-Jones Hatuma Hawtrey Hekeao Hetana 7. Highbank Hornby Huinga Kaimahi Kanakanaia Kapua Kapuatohe Karapiro Kauroo Hill Kereta Kinloch Kitchener .. .. .. .. Konika Kohika No. 2 Kumeroa Ladbrook Langdale Lawry Lindsay Longbush Loughnan Lyndon No. 1 Maerewhenua Mahora (R. Sowerby, Ehau and Hori Tupaea) .. Manga-a-toro Mangapouri Mangatahi Mangawhata Mangawhero Marawiti Matakanui Matamata Maungaraki Maytown Purchase-money. Incidental Expenses. 209 18 10 4 11 9 168 1 10 762 7 8 0 5 0 3 14 0 6 0 11 9 0 3 Total. 209 18 10 4 11 9 168 1 10 762 7 8 0 5 0 3 14 0 6 0 11 9 0 3 7 8 0 55 3 10 1 10 0 36 19 5 26 0 1 83 13 0 32 5 1 39 11 10 622 9 9 1 3 0 3 8 6 14,667 0 8 8,300 18 9 2 7 8 315 17 11 17 18 5 44 6 8 104 19 10 17 18 5 44 6 8 104 19 10 11 1 11 5 16 9 68,203 9 3 2 2 3 75 17 8 4 15 8 1 4 6 774 13 0 120 16 9 0 17 3 194 0 11 438 13 10 2 10 0 142 15 1 2 2 3 75 17 8 4 15 8 1 4 6 774 13 0 120 16 9 0 17 3 194 0 11 63,642 3 1 2 10 0 142 15 1 29 4 0 1 10 0 0 4 0 13 15 11 120 14 6 2 19 0 19 1 11 7 15 6 72 6 3 29 16 1 165 11 7 15 4 5 0 11 6 1 6 0 153 1 11 153 1 11 274 6 4 19 0 6 106 3 5 274 6 4 19 0 6 106 3 5 SO 7 10 80 7 10 0 7 6 83 9 4 16 7 0 2 12 0 13 6 4 5 11 6 3,788 5 0 2 13 1 0 2 0 23 2 10 0 10 0 0 2 6 4 18 10 1,277 18 9 0 4 0 5 3 6 1 1 10 1 13 8 6,476 19 3 9 10 11 151 3 1 2 12 0 2 12 0 5 3 9 5 3 9 1 7 6 14 14 10 3 9 0 48 17 8 1 4 11 0 1.1 9 19 6 12 0 25 0 0 4 17 7 4 3 6 17 6 14 14 10 3 9 0 48 17 8 1 4 .11 0 11 9 19 6 12 0 25 0 0 4 17 7 4 3 6 13 11 9 2 2 5 0 19 6 13 11 9 2 2 5 0 19 6 6 4 10 3 4 0 12 18 0 6 4 10 3 4 0 12 18 0 16 12 11 110 15 5 2 0 0 8 10 0 19 0 19 0 10 19 0 "989 24 19 8 5 12 6 33 17 6 2 10 0 14 8 1 3 2 6 31 17 6 84 3 4 1 12 0 1 12 0 88 1 5 1 5 0 0 16 6 50 6 8 5 6 7 5 13 11 15 0 0 16 6 138 8 1 5 6 7 5 13 11 10 10 2 2 0 6 7 5 6 90 9 9 15 0 0 12 0 10 10 2 2 0 6 7 5 6 90 9 9 15 0 0 12 0 37,331 5 7 Carried forward 63,291 10 8 4,067 12 2 67,359 2 10 4,803 15 8

8.—6.

24

Table STATEMENT of the RECEIPTS and EXPENDITURE of the LAND FOR SETTLEMENTS ACCOUNT

Ten Months ended ilsT Jan., 1911. £ s. d. 398,769 11 2 Brought forward RECEIPTS. Ten Months ended 31st Januaby, 1912. £ s. d. J £ a. d. 462,853 2 8 I I Carried forward .. 462,8 353 2 8 398,769 11 2 462,853 2 8 I

25

8.—6.

No. 5—continued.5 — continued. for the Ten Months ended 31st. January, 1912, compared with the Ten Months ended 3lst January, 1911— continued.

A T> «

I Ten Months i .. ended EXPENDITURE. bttST Jan., 1911. ! l . . . _ ._ _ £ s. d. ! £ s. d. 5,706 8 11 J Brougnt forward .. I I £ s. a. Ten Months ended 31 st January, 1912. £ e. d. [ £ s. d. 4,803 15 3 Name of Estate. Purchase-money. Acquirement of Estatef, and expenses incidental 37,381 5 7 i thereto— continued .. 68,291 10 8 2 1 6 J Mead 12 12 6 Meadowbank 13,744 16 2 i Meadows .. .. .. .. .. J Merrivalt) 5 0 8 Metlmen 3 12 8 Mills 997 8 6 Ngatapa 20 8 9 Normandale 564 4 5 Noithbank .. .. .. .. ..J 2 6 2 Okauia .«. .. .. • .. 18 11 3 Omaka 23 5 5 Opouriao .. .. .. .. 15 19 3 1 Orakipaoa .. .. .. .. 0 11 0 j Oiaio .. .. .. .. .. ! 268 8 3 Otekaike .. .. .. .. .. Papaka .. .. .. .. 2 0 0 Papaiangi .. .. .. .. ■ ■ ; 0 12 0 I Pareora No. 1 .. .. .. .. i' 16 0 Pareora No. 2 .. .. .. 1 14 0 Patoa .. .. .. .. Pawaho Pitt 1 7 5 Plumer .. .. .. .. .. ! 206 17 0 Plunket 1 13 10 Poerna 8 6 6 Pomahaka . , .. .. .. .. .. " 9 4 4 Pouparae .. .. .. .. 11 11 8 Pourerere .. .. .. .. .. ! 3 16 5 Presoot 3 14 1 Puhipuhi 0 15 8 Puhuka Puketapu 2 13 0 Punaroa 0 4 2 Raincliff 14 9 7 Rainford .. 2 12 0 Rakitairi 10 3 10 Rangiatea .. 20 10 2 Raumati .. 3 10 7 Raureka 17 6 Rautawiri 31 14 0 j Rewi .. .. .. .. .. j 12 4 5 j Riohmond Brook 0 2 0 1 Roimata Rosebrook 16 1 2 i Rosewill 40,132 13 0 RuapunaNo. 2 Rugged Ridges 70 18 7 j Selwyn Sherwood Downs 3 4 10 J Spotswood .. 270 14 5 I Starborough 39 13 0 Steward I 18,137 4 0 Stoke Studholme .. .. .. .. .. .. j 1 10 0 Tablelands 0 4 2 Takitu 33 9 6 Tamai .. .. .. .. .. ... 0 10 0 Taumata .. .. .. .. .. . „■ 43 12 3 Tautari .. .. ...... 1 10 0 Tawaha Te Anaraki 523 2 5 Te Arai 387 7 10 Teasdale .. 2 5 8 Te Mata 3 13 4 Tokaora .. .. .. .. 4 16 6 Tokarahi 0 15 3 Tomoana .. .. .. .. .. 1,194 2 2 Tongoio 0 12 0 Totara 653 0 5 Tripp 11 14 4 Waari 174 5 4 Waddiugton .. .. .. .. 2 0 0 Waiapi .. .. .. " '.'." .. 46 19 3 Waikakabi .. 38 18 9 Waimana 9 16 3 Waimarie 10 4 8 Waipapa Waipuka 6,522 2 7 Waitakaruru No. 6b.. 3 6 10 Wangapeka.. 0 10 Whareriui 6 6 9 Whitehall 77 16 5 Wigan Wilford ... .. .. .-,- .-. 18 17 2 Willows 12 6 Windsor Park No. 1 .. Incidental Expenses. 4,067 12 2 I 3 10 0 ! 90 0 0 ! 374 14 8 1 11 0 4 16 0 I 2 11 0 2,797 0 3 94 4 5 14 9 2 3 16 0 11 19 2 16. 3 6 1 19 0 I 0 4 9| 1,501 13 1 j 0 5 0 08 9 1 13 6: 0 2 0 i 0 18 0 25 15 4 10 0 3 10 6 J 1 10 6 018 0 J 8 8 8 I 10 0 9 3 1 18 17 0 0 9 6 18 4 6 13 8 8 I 011 6 J ■ 20 13 6 6 2 1 178 10 .10 28 16 6 j 1 0 2 ; 165 0 8 10 6; 33 19 9 0 11 6 00 4 134 - 3 1 018 0 12 19 7 i 108 15 6 14 6 ;; 1,793 10 4 ' 3 17 0 12 18 9 98 9 3 j 0 17 4 1 10 3 7 18 8 34 18 5 i 0 6 0! 3 16 4 ! 0 16 0 ; 9 13 0 312 5 J 650 0 0 j ■ Tot8,l. i I 67,359 2 10 3 10 0 ! 90 0 0 374 14 8 1 11 0 4 16 0 2 11 0 2,797 0 3 94 4 5 14 9 2 [ 3 16 0 11 19 2 16 3 6 : 1 19 Q 0 4 9i 1,501 13 1 ! 0 5 0: 08 9 1 3 6 ; 02 0 0 18 0 25 15 4 10 0 ■ ■ 310 6 1 10 6 018 0 I 8 8 8 1 0 0 '• 9 3 1 18 17 0 ! 6' 9 6 i 18 4 6 13 8 8 011 6 i 20 13 6 j 62 1! 178 10 10 i 25 16 6 1 0 2 ; 165 0 8 1 0 6 33 19 9 0 11 6 0 0 4 134' 3 1 018' 0 12 19 7 108 15 6 14 6 1,793 10 i 3 17 0 12 18 9 98 9 3 0 17 4 1 10 3 7 18 8 34 18 5 0 6 0 3 16 4 0 16 0 913 0 3*12 5 650 0 0 121,802 9 7 Totals.. .. .. .. 63,29110 '8 12,404 18 11 12,404 18 11 75,696 9 7 75,696 9 7 75,696 9 7 75,696 9 7 127,508 18 6 Carried forward 127,508 18 6 80,600 i 10 80,500 i 10 i_ , „ i u

8.—6

26

Table No. 5-continued.

Ten Months ! ENDED 31st Jan., 1911. RECEIPTS. Ten M ENI 31st Janu. 1ONTHS \BY, 1912. £ s. d. 398,769 11 2 Brought forward £ s. i. £ 8. d. 462,853 2 8 Totals £398,769 11 2 £462,853 2 8 STATEMENT of the RECEIPTS and EXPENDITURE of the MAORI LAND SETTLEMENT £ s. d, £ s. d. ! & s. d. Balanoe at beginning of Year, — Gash in the Public Aoeount .. .. .. .. .. .. .. .. 4,299 19 8 4,299 19 8 I ! ■ . The New Zealand Loans Aot, 1908, — The Maori Land Settlement Aot, 1905,— Debentures issued for redemption of Debentures matured 1st January, 1911 26,050 0 0 . Totals .. .. .. .. .. .. .. £4,299 19 8 £30,349 19 8

27

B.—o

STATEMENT of the RECEIPTS and EXPENDITURE of the LAND FOR SETTLEMENTS ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued.

T1,,,. 11 Ten Months ended 31st Jan., 1911. EXPENDITURE. ■ Ten 1i Ei 31st Jan Ten Months, ended 31st January, 1912. ojlst jam & s. d. 127,508 18 6 Brought forward .. .. .. .. .. .. £ s. d. £ a. d. & s. d. 80,500 4 10 The Land for Settlements Aot, 1908, and the New Zealand State-guaranteed Advances I Aots, 1909, 1910,— Debentures matured 1st October, 1911, redeemed .. .. .. Debentures matured 1st November," 1911, redeemed Debentures matured 1st January, 1912, redeemed .. .. .. .. | Debentures matured 1st November, 1911, renewed .. .. .. Debentures matured 1st January, 1912, renewed 99,000 0 0 8,000 0 0 68,350 0 0 600 0 0 10,100 0 0 99,000 0 0 8,000 0 0 68,350 0 0 600 0 0 10,100 0 0 The Land for Settlements Act, 1908,— Charges and Expenses — On Sales 186,050 0 0 42 16 11 10 1 0 Interest paid to Consolidated Fund in respect of Debentures issued 108,228 19 4 108,904 11 4 106 1 3 Interest under subsection (8) of section 191 of the Land Act, 1908 43 11 7 Section 90 of the New Zealand State-guaranteed Advauoes Aot, 1909, — Interest .. .. ■. ■ ■ ■ ■ ■ ■ ■ ■ ■. . ■ I Sinking Fund .. .. , .. 935 13 8 29,664 13 9 30,600 7 5 130,353 18 9 31,853 9 5 Balanoe at end of Ten Months, — Cash in the Public Acoount Advanoes in the hands of Offioere of the Government — In the Dominion .. .. .. .. .. .. ... .. j Totals 56,169 18 6 1,250 0 0 57,419 18 6 162,207 3 2 £398,769 11 2 £462,853 2 8 lCT ACCOUNT for the Ten Months ended 31st Jandaey, 1912, compared with the Ten Months ended 31sfc Januabt, 1911. £ s. d. £ s. d. j £ a. d. j The New Zealand Loans Aot, 1908,— The Maori Land Settlement Act, 1905 — 600 0 0 Debentures matured 1st January, 1911, redeemed .. .. .. .. I .. 450 0 0 I The Maori Laud Settlement Aot, 1905,— Charges and Expenses authorized by the New Zealand Loans Aot, 1908— On renewals .. .. .. .. .. .. .. .. .. 5 18 9 Balance at end of Ten Months, — 3,699 19 8 Cash in the Publio Aooount .. .. .. .. .. .. .. 8,844 0 11 Advances in the hands of Officers of the Government— 26,050 0 0 In the Dominion .. —: 3,344 o xi 29,749 19 8 £30,349 19 8 Totals .. .. .. .. .. .. .. £4,299 19 8J 3,699 19 8 26,050 0 0 29,749 19 8 £30,349 19 8 £4,299 19 8

8.—6

28

Table No. 5 -continued.

Ten Months Ten Months ended receipts. endei) 3 1st Jan., 1911. I 31st January, 1912. [_ ; __ £ s, d. Balance at beginning of Year, — £ s. d. £ p. d. ;'-.. Cash in the Public Account .. .. .. .. .. .. 44,300 17 8 Advances in the hands of the Officers of the Government- - In the Dominion .. .. .. .. .. .. .. 21 12 0 . _ , 44,322 9 8 Amount received from the New Zealand State-guaranteed Advances Office in terms 129,600 0 0i of section 94 of the New Zealand State-guaranteed Advances Act, 1909.. .. .. 204,500 0 0 69 14 3 Amount received in respect of Survey Liens .. .. .. .. .. .. 5,752 1 7 Rents, &o. .. .. .. .. .. .. .. .. .. .. 1,922 18 11 £129,669 14 3 | I ■ ■ ■ ■ ■ £129,669 14 3 j Totals .. .. .. .. .. .. .. ; £256,497 10 2 —— ' ' _ | ' i . *™" * STATEMENT of the RECEIPTS and EXPENDITURE of the CONVERSION ACCOUNT for £ s. d. i Balance at beginning of Year,— _ £ s. d. j £ s. d. Dr. 859 13 1 ! Cash in the Public Account .. .. .. •• •• ■• Dr. 13,321 8 4 \ Advances in the hands of Stock Agents— 700 4 2 Cash .. .. .. •■ ■• ■• •• -■ •• 475 8 9 In the hands of the High Commissioner— 34-per-cent. Stook for sale .. .. .. •• •• •• 15,000 0 0 '_'__ ; rv J 2,154 0 5 Dr. 159 8 11 i I * '■ 3J-per-cent, Inscribed Stock,— 1,631,990 0 0 Issued for conversion of Debentures'.. .. .. .. .. .. 433,508 0 0 i 10610 0 0 ! Issued for expenses of conversion .. .. .. .. .■ .. 713 4 6 I ] . J 434,221 4 6 1,642,600 0 0 J £1,642,440 11 1 Totals .. I £436,375 4 11

29

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the NATIVE LAND SETTLEMENT ACCOUNT for the Ten Months ended 31st January, 1912, as compared with the Ten Months ended 31st January, 1911.

Ten Months Ten Months ended expenditure. ended 31st Jan., 1911. :31st January, 1912. S. s. d. Annual Appropriation,— £ s. d. £ n. d. 39 11 8 ! Vote 136—Native-land Purahase Kxpenses .. .. .. .. .. .. 324 17 5 43,189 10 0 Expenditure under the Act .. .. .. .. .. .. .. .. 143,396 17 0 Payment to the New Zealand State-guaranteed Advances Office under suction 95 of the New Zealand State-guaranteed Advanci s Act, 1909— 245 9 7 Interest .. .. .. .. .. .. .. .. .. 5,422 -2 1 ' Advances under section 274 of the Native Land Act, 1909, — Aotea District Maori Land Board .. .. .. .. .. .. 3,000 0 0 Tokerau District Maori Land Board .. .. .. .. .. 7,500 0 0 1 A K Afl A A ■ • : Balance at end of Ten Months, — 47,463 19 11 Gash in the Public Account .. .. .. .. .. .. 49,915 18 6 Advances in the hands of Officers of the Government - ;)>i.731 -2 7 In the Dominion .. .. .. .. .. .. .. 46,937 16 2 j , . 96,853 18 8 86,195 2 6 ±129,669 14 3 Totals .. .. .. .. ... .. .. ; £256,497 10 2 _ _ , I ■ ;he Ten Months ended 31st January, 19l2, compared with the fen Months ended 31st January, 1911. She Ten Months t: £ s. d. £ s. d. j Amount Mftte .Premium * s ' d ' £ s ' J ' Scrip and Debentures converted into cent, converted. Inscribed Stock, — .£ £ £ Aid to Public Works and Land Settlement Act, 1910 .. .. ■• -• •• 197,400 102 3,948 I Aid to Public Works and Land Settlement Act, 1905 .. .. .. •• ■■ 215,000 103 6,450 1,019,490 0 0 Finance Act, 1909 .. .. •• .. 10,500! 102 210 Aid to Public Works and Land Settlement Act, 612,000 0 0 1909 .. .. .. •• •• .. j .. Aid to Public Works and Land Settlement Act, 500 0 0 ! 1904 1,019,490 0 0 612,000 0 0 500 0 0 1,631,990 0 0 1,631,990 0 0 ] 422,900 j . ., . 10,608 ■■— ■- ■— ~"■ ■—■— j ■ ■'■■■ ■ ■■" ■■'— — j ■■ ■■ "■™" " ■■■ 1 — j "■■—— * —■■" ■.— ' —'' j ij\Jk> \J \J 433,508 0 0 Expenses Account,— j,. : 1,056 10 0 j Brokerage and Cominissioxi .. .. ■ .. .. .. ..I 39 5 9 ! 237 4 0 Discount.. .. .. .. .. .. .. .. .. 579 8 9 10,984 2 0 Stamp Duty .. .. .. .. .. .. .. .. 1,940 15 11 i 308 13 6 Rent and Office Expenses .. .. .. .. .. .. .. 388 11 6 — 2,948 1 11 1,056 10 0 237 4 0 10,984 2 0 308 13 6 12,586 9 6 12,586 9 6 Dr. 2,757 9 7 Balanoe at end of Ten Months, — Dr. 2,757 9 7 Gash in the Public Aooount .. .. .. .. .. .. Dr. 459 19 10 j Advances in the hands of Stock Agents— 6H1 11 2 Gash .. .. .. .. .. .. .. .. .. | 379 2 10 i 621 11 2 i-— i Dr. 80 17 0 Dr. 2.135 18 5 Dr. 2,135 18 5 Lfr. 2,ldO 1.O O £1,642,440 11 1 Totals .. .. .. .. .. .. .. , £436,375 4 11 j £1,642,440 11 1

8.—6

30

Table No. 5—continued.

Ten Months ended Ust Jan., 19.11. RECEIPTS. Ten ! EN 31si Jan Months rDED UARY, 1912. £ s. d. £ s. d. £ s. d. 23,876 0 0 Balance at beginning of Year, — Cash in the Public Acoount .. .. .. .. 18,865 3 7 The New Zealana Loans Act, 1908, — The Local Bodies' Loans Act, 1908Debentures issued for redemption of Debentures matured 1st June, 1911 50,000 0 0 1 18 11 18 10 1 100 0 0 320 15 0 1,000 0 0 Refunds under sections 64 and 72 of the Local Bodies' Loans Aot, 1908, — Counties— Cook Hokianga .. .. .. .. Patangata Pohangina Waikohu Woodville 0 11 9 18 8 6 237 16 1 100 14 9 29 9 9 30 2 3 89 18 8 Boroughs— Mataura Temuka Whangarei 3 9 0 Town Board— Hunterville 55 4 8 9 11 9 Drainage Boards— Ellesmere Land .. .. Hopelands 1,658 10 1 382 11 1 70,000 0 0 The Local Bodies' Loans Act, 1908,— Debentures issued Amount received from the New Zealand State-guaranteea Aavanoes Offioe in terms of section 77 of the New Zealand State-guaranteed Advances Aot, 1909 .. 39,820 0 0 135,354 10 1 , Carried forward .. .. .. 69,217 14 8

31

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the LOANS TO LOCAL BODIES ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911.

Ten Months ended 31st Jan., 1911. j EXPENDITURE. Ten IV ENI 31st Jani !onths )ED IARY, 1912. £ s. a. Loans under the Local Boaies' Loans Act, 1908,— Counties— Akitio Amuri Clifton Cook Hawera Hawke's Bay Hokianga Kawhia Kiwitea Lake Levels Manawatu Masterton Opotiki .. .. . > Pahiatua Piako .. Rangitikei Selwyn Stratford Tauranga Waikato Waimarino Waipa Waipawa Wairoa Whangamomona Whangarei £ s. d. 800 0 0 1,000 0 0 £ a. a. 300 0 0 565 0 0 575 0 0 594 7 2 500 0 0 1,000 0 0 400 0 0 2,000 0 0 1,116 0 0 100 0 0 2,290 0 0 1,400 0 0 500 0 0 540 0 0 300 0 0 1,500 0 0 4,803 0 0 50 0 0 2,500 0 0 1,000 0 0 1,000 0 0 750 0 0 250 0 0 690 0 0 150 0 0 500 0 0 500 0 0 250 0 0 300 0 0 150 0 0 1,400 0 0 7,349 7 2 22,424 0 0 City Council— Christohuroh 2,000 0 0 I 1,000 0 0 35 0 0 2,000 0 0 1,000 0 0 1,000 0 0 10,000 0 0 1,250 0 0 2,000 0 0 2,000 0 0 2,000 0 0 250 0 0 2,000 0 0 7,000 0 0 Boroughs— Dannevirke Eketahuna Eltham Feiiaing Kaiapoi Lower Hutt Maori Hill Newmarket Northcote Palmerston .. ' .. Petone Sumner Whangarei 500 0 0 250 0 0 250 0 0 1,700 0 0 31,535 0 0 2,700 0 0 j Carried forward 55,959 0 0 10,049 7 2 )

B.—6

32

Table STATEMENT of the RECEIPTS AND EXPENDITURE of the LOANS TO LOCAL BODIES ACCOUNT

Ten Months Ten Months ENDED RECEIPTS. ENDED 318T Jan., 1911. >j1st January, 1912. i • I £ B. a. £ B. d. & - s. ■ d. 135,354 10 1 I Brought forward .. .. .. ... .. .. 69,217 14 8 J .--■.■■■■:, £135,354 10 1 i Totals .. .. .. .. .. .. £69,217 14 8 ! £69,217 14 8 ■ ' . : r .inin'ii ii i I. i ■ ■ i i^^—— mi i.... in I .... STATEMENT of the RECEIPTS AND EXPENDITUBE of the OPENING UP CROWN LANDS FOR SETTLEI I £ "• rf - £ s. d. £ a. d. Balanoe at beginning of Year, — Cash in the Publio Account .. .. .. ,. .. 7.212 17 3 Advanoee in the Hands of Oflicerrt of the Government - In the Dominion .. .. ., .. ,, ,, 1,861 18 5 : 8,574 9 8 Amount received from the New Zealand State-guaranteed Advances Office in terms 48,700 0 0| of section 77 of the New Zealand State-guaranteed Advances Act, 1909 .. 55 000 0 0 _J48,700 0_0j Totals . .. .. .. I ., j £63574 g 8 j £63,574 9 8

33

8.—6

STATEMENT of the RECEIPTS AND EXPENDITURE of the LOANS TO LOCAL BODIES ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911—continued.

s—B. 6.

Ten Months ENDED 31st Jan., 1911. EXPENDITURE. Ten Months ended 31st January, 1912. ____ I " ' ' £ s. d. 55,959 0 0 Brought forward ,. £ a. a. £ s. d. I 10,049 7 2 2,000 0 0 1,000 0 0 200 0 0 232 0 0 350 0 0 250 0 0 500 0 0 310 0 0 2,375 0 0 2,182 0 0 411 0 0 600 0 0 3C8 0 0 1,800 0 0 Loaus under the Local Bodies' Loans Act, 1908 — continued. Boad Boards— Huntly Mangawhero Mataongaonga .. .. .. .. Moturoa Oero Okato Okain's Bay "■"- .. .. .. .. ".. .. Okotuku Pukekohe West Biooarton Tamahere Turanga .. .. .. .. .. Wairoa Waiuku j 300 0 0 500 0 0 56 0 0 I 11 450 0 0 . 1,306 0 0 12,518 0 0 . 1,306 0 0 Town Board— Opotiki .. .. .. .. ... 300 0 0 ! ; 2,935 0 0 1,000 0 0 500 0 0 2,800 0 0 Drainage Boaras— Ellesmere Land Hunga Hunga Makerua Moutoa • • j 400 0 0 400 0 0 400- 6 0 , 400" 6 0 7,235 6 0 76,012 0 0 Total Loans •■ 11,755 7 2 11,755 7 2 The New Zealand Loans Act, 1908,— The Local Bodies' Loans Act, 1908— Debentures matured 1st June, 1911, redeemed I 50,000 0 0 50,000 0 0 39,820 0 0 Amount transferred to Opening up Crown Lands for Settlement Account 19,522 10 1 Balance at end of Ten Months, — Cash in the Public Account 7,462 7 6 7,462 7 6 Totals .. .. ..! £69,217 14 8 £135,354 10 1 £69,217 14 8 IENT ACCO 'NT for the Ten Months euded 81st January, 1912, compared with the Ten Months ended 31st "ancaby, 1911. £ s. a. 25,567 2 3 Annual Appropriation,— Vote 127 —Roads to open up Crown Lands £ s. a. £ s. d. 25,923 5 1 10,776 9 11 12,356 7 10 Balance at end of Ten Months, — Cash in the Publio Account Advances in the hands of Officers of the Government— In the Dominion 21,712 4 2 15,939 0 5 37,651 4 7 23,132 17 9 £48,700 0 0 Totals .. £63,574 9 8

34

8.--6

Table No. 5-continued.

Ten Months ended 31st Jan., 1911. Tbh Months RECEIPTS. ended 31st Jantiaey, 1912. RECEIPTS. £ s. d. 5,387 6 1 £ s. d. £ s. d. Balance at beginning of Year, — Cash in the Public Account .. .. .. .. .. 22,044 11 3 Advances in the hands of Officers of the Government— In the Dominion .. .. .. .. .. .. 620 17 1 1,705 5 6 ■ — j 22,665 8 4 7,092 11 7 Receipts under section 5 of the Hauraki Plains Act, 1908, — Land Sales .. .. .. .. .. .. .. j ■ 52 18 0 Perpetual Leases .. .. .. .. .. .. ! 2,159 2 0 Miscellaneous .. .. .. .. .. .. 150 2 3 ; 1 2,362 2 8 Amount received from the New Zealand State-guaranteed Advances Office in terms of section 84 of the New Zealand State-guaranteed Advances Act, 1909 .. .. 10,000 0 0 Totals .. .. .. .. .. j ... £35,027 10 7 ____. _ ' _ — "™*' 2,167 0 0 2,137 7 0 40 15 10 4,345 2 10 15,000 0 0 £26,437 14 5 STATEMENT of the RECEIPTS and EXPENDITURE of the NATIONAL ENDOWMENT £ s. d. £ s. d. £ s. d. 55,861 12 2 Balance at beginning of Year, — Cash in the Publio Account 66,149 8 0 55,013 6 1 Rents, &c, from National Endowment Lands .. 59,144 17 8 £110,874 18 3 Totals £125,294 5 3 STATEMENT of the RECEIPTS and EXPENDITURE of the NEW ZEALAND STATE-GUARANTEED ADVANCES £ a. a. I i The New Zealand State-guaranteed Advances Acts, 1909-1910,— Advances to Settlers — 1,120,910 0 0 Instalment received in respect of £1,675,000 Loan authorized 250,000 0 0 Temporary advances on the security of Debentures issued .. £ s. d. 173,865 0 0 500,000 0 0 £ s. a. 673,865 0 0 1,370,910 0 0 Advances to Workers— 217,490 0 0 Instalment received in respect of £325,000 Loan authorized .. ..' 250,000 0 0 Temporary advances on the security of Debentures issued .. 33,735 0 0 467,490 0 0 j 33,735 0 0 Interest on overdue Instalments .. .. .. .. .. .. i 4 0 3 The New Zealand Loans Act, 1908,— Inscribed Stock created to cover expenses of raising £2,000,000 Loan The New Zealand State-guaranteed Advances Acts, 1909-1910, and New Zealand Loans Act, 1908,— Advances to Settlers-— Debentures issued for redemption of Debentures matured 1st December, 1911 Debentures issued in renewal of Debentures matured 1st December, 1911 Temporary advance on Reserve Fund Securities — Provision for Debentures matured 29th December, 1911 Advances to WorkersDebentures issued in renewal of Debentures matured let January, 1912 20,000 0 0 255,000 0 0 117,300 0 0 aos,ooo o o 76,514 14 2 597,300 0 0 £1,838,400 0 0 Totals £1,381,418 14 5

35

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the HAURAKI PLAINS SETTLEMENT ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911.

6—B. 6.

Ten Months ENDED 31st Jan., 1911. EXPENDITURE. Ten Months ended 31st January, 1912. £ s. d. 18,417 0 7 Expenditure under the Act £ s. d. £ s. d. 24,735 18 3 224 1 10 Payment of Principal and Interest under section 84 of the New Zealand Stateguaranteed Advances Aot, 1909 1,252 6 3 1,105 14 2 ! Balance at end of Ten Months, — Cash in the Publio Account Advances in hands of Officers of the Government— In the Dominion .. .. .. • .. 1,430 14 4 6,690 17 10 7,608 11 9 9,039 6 1 7,796 12 0 Totals .. .'. £26,437 14 5 £35,027 10 7 ' .CCOUNT tor 'he Ten Months ended 31st January, 1912, compared with the Ten Months endi id 31st January, .911. & s. d. 3,507 12 10 Annual Appropriation,— Vote 128—Roads to open up National Endowment Lands £ s. d. £ s. d. 3,957 4 3 73,792 19 5 Expenditure under the Land Aot, 1908 81,677 9 2 '■ 29,992 13 2 Balance at end of Ten Months,— Gash in the Public Account .. .. Advances in the hands of Officers of the Government — In the Dominion 35,0-51 12 11 3,581 12 10 4,607 18 11 39,659 11 10 33,574 6 0 £110,874 18 3 Totals £125,294 5 3 ,OAN ACCO JNT tor the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911. £ s. i. 870,910 0 0 £ s. d. I £ a. d. Amounts paid over to the State-guaranteed Advances Office Account on account of Loan, — Advances to Settlers .. .. ■ .. .. .. .. ..{ 211,220 0 0 Advances to Workers .. .. .. .. .. .. .. 21,580 0 0 232,800 0 0 870,910 0 0 ] i • • The Government Advances to Settlers Ant, 1908, — Advances to Settlers — Debentures matured 1st December, 1911, renewed .. .. .. .. 255,000 0 0 Advances to Workers — Debentures matured 1st January, 1912 renewed .. .. .. .. 205,000 0 0 : 460,000 0 0 The New Zealand State-guaranteed Advances Acts, 1909-1910, — Charges and Expenses authorized by The New Zealand Loans Act, 1908— On issue of Debentures .. .. .. .. .. .. ... 76,518 14 5 : On renewal of Debentures .. .. .. .. .. .. 670 8 0 Iff lot? Ja O The New Zealand State-guaranteed Advances Act, 1909, — Temporary Advacces repaid— Advances to Settlers Advances to Workers .. .. .. .. .. .. .. .. Balance at end of Ten Months, — Cash in the Public Aocount .. .. .. .. .. ..! 411,429 12 0 Investment Account .. .. .. .. .. .. .. 200,000 0 0 ! 611,429 12 0 500,000 0 0 412,045 0 0 912,045 0 0 55,445 0 0 _ 55,445 0 0 ! "™ ~ ~~~~—~ J £1,838,400 0 0 Totals .. .. .. .. .. .. .. £1,381,418 14 5

8.--6

36

Table No. 5— continued.

The Treasury, Wellington, 9th February, 1912.

Ten Months ended 31st Jan., 1911. RECEIPTS. Tun M END] 31st Janua ONTHS ED .BY, 1912. £ s. d. Balanoe at beginning of Year, — Cash in the Public Account £ s. d. £ s. d. 25,715 10 10 310 7 4 Receipts under the Rangitaiki Land Drainage Act, 1910 605 7 5 £310 7 4 Totals '' i I £26,320 18 3 STATEMENT of the RECEIPTS and EXPENDITURE of the BANK OF NEW ZEALAND ACT, 1903, £ s. d. £ s. d' I £ s. d. 500,000 0 0 .Balance at beginning ot Xear,— Investment Account .. .. .. .. .. .. .. .. 500,000 0 0 Balance at beginning of Year,— Investment Account Totals £500,000 0 0 Totals .. .. .. .. .. ..•! .. : £500,000 0 0 STATEMENT of the RECEIPTS and EXPENDITURE of the RESERVE FUND ACCOUNT * l £ s. d. £ s. (1. J ■ £ p. d. Balance at beginning of Year, — Investment Account .. .. .. .. .. .. .. .. 800,000 0 0 800,000 0 0 I £800,000 0 0 I Totals .. .. .. ,. .. ..! .. £800,000 0 0 £800,000 0 0 STATEMENT of the RECEIPTS and EXPENDITURE of the NEW ZEALAND CONSO S ACCOUNT £ s. a. £ s. d. £ s. d. 7,359 0 11 402,765 0 0 Balance at beginning of Year,— Ca«h in Deposit Account Investment Account 1 14 0 462,165 0 0 I 462,166 14 0 410,124 0 11 52,845 0 0 DepositB inscribed .. I 11,605 0 0 145 0 0 New Zealand Consols Act, 1908,— Contois due 1st February, 1910, renewed .. jk* £463,114 0 11 Totals ! £473,771 14 0 : -..- -

37

8.—6

STATEMENT of the RECEIPTS and EXPENDITURE of the RANGITAIKI LAND DRAINAGE ACCOUNT for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1911.

J. W. POYNTON, Secretary to the Treasury. K. L. MOWBEAY, Accountant to the Treasury.

Ten Months ended 31st Jan., 1911. EXPENDITURE. Ten I 31st Jani Months [DED EUBY, 1912. £ I s. d. £ a. d. £ s. d. 8,885 3 10 Expenditure under the Act Balance at end of Ten Months,— 310 7 4! Cash in the Public Aeoount .. .. .. .. .. .. 16,735 14 5 Advances in the hands of the Government— In the Dominion .. .. .. .. .. .. .. 1,200 0 0 am 7 a\ 310 7 4 16,735 14 5 17,935 14 5 1,200 0 0 310 7 4 £310 7 4 3J.U Y 4 £310 7 4 Totals £26,320 18 3 A.CCOUNT for the Ten Months ended 31st Janoaey, 1912, compared with the Ten Months ended 31st January, 1911. £ s. d. £ s. d. I £ s. d. Balance at end of Ten Months, — 500,000 0 0 Investment Acoount .. .. .. .. .. .. .. .. 500,000 0 0 £500,000 0 0 Totals .. .. .. .. .. .. .. £500,000 0 0 for the Ten Months ended 81st Januaby, 1912, compared with the Ten Months ended 31st January, 1911. £ s. d. £ 8. d. [ £ s. d. Balance at end of Ten Months,— 800,000 0 0 Investment Acoount .. .. .. .. .. .. .. i .. 800,000 0 0 £800,000 0 0 ' Totals .. .. .. .. .. .. .. £800,000 0 0 for the Ten Months ended 31st January, 1912, compared with the Ten Months ended 31st January, 1SW.1. for the Ten Mon £ a. d. £ s. d. £ s. d. £ s. d. ; New Zealand Consols Act, 1908, — 145 0 0 I Consols due 1st February, 1910, renewed 775 0 0 Consols due 1st; February, 1910, redeemed .. .. .. .. .. | 145 0 0 775 0 0 920 0 0 920 0 0 19 0 11 462,175 0 0 ] 462,194 0 11 Balance at end of Ten Months,— 19 0 11 Cash in Deposit Account .. .. .. .. .. .. .. | 26 14 0 462,175 0 0| Investment Account . .. .. .. .. .. .. 473,745 0 0 ', ] ATQ T7~\ i<1 f\ 462,194 0 11 j £463,114 0 11 Totals .. .. .. .. .. .. j .. j £473,771 14 0 j "—— I __ i r , ■ ' ~~ £463,114 0 11

8.—6.

38

Table No. 5 — continued. SUMMARY of BALANCES on 31st JANUARY, 1912.

By Authority : John Mackay, Government Printer, Wellington.—l9l2,

' BALANCES. ! Cash. Advances. i ; ! Investments. t Total. / £ s. d. £ ?. d. ! ! £ s. d. , £ s. d. Consolidated Fund: — Ordinary Revenue Account* .. 363,228 2 10 J 751,898 9 11 State Forests Account.. .. I 9,560 16 1 State Coal-mines Account ..' 8,869 17 7 21,034 1 7 Scenery Preservation Account .. i 3 15 6 i Naval Defence Act Account ..; 204,568 16 3 Accounts of Local Bodies .. j 8,501 1 3 , 1,839 12 10 Deposit Accounts .. .. 256,647 7 8 I 1,486 19 3 £ s. d. £ s. d. Consolidated Fund :— Ordinary Revenue Account* .. 1,115,121 12 9 ] State Forests Account .. 9,560 16 1 State Coal-mines Account .. 29,903 19 -2 Scenery Preservation Account .. 3 15 6 Naval Defence Act Account .. 304,563 16 3 Accounts of Local Bodies .. 10,340 14 1 Deposit Accounts .. .. 258,134 6 11 1,727,634 0 9 100,000 0 0 1,115,121 12 9 9,560 16 1 29,903 19 2 3 15 6 304,568 16 3 10,340 14 1 258,134 6 11 851,374 17 2 j 776,259 3 7 100,000 0 0 1,727,634 0 9 ! Public Works Fund .. .. j 735,424 16 11 j 199,972 12 5 Public Works Fond .. ..j .. 1,135,397 9 4 200,000 0 0 1,135,397 9 4 Wellington-Hutt Railway and Road Improvement Account .. .. 2,706 6 4 The Railways Improvements Account .. .. .. .. 1,530 4 3 The Waihou and Ohinbmuri Rivers Improvement Account .. .. 99,010 0 10 Native Land Settlement Account j .. 96,853 13 8 Land fob Settlements Account.. .. 57,419 18 6 Maori Land Settlement Act Ac- j count .. .. .. | .. 3,844 0 11 Cheviot Estate Account .. .. 63,310 9 7 Loans to Local Bodies Account '■ .. 7,462 7 6 Opening up Crown Lands for j Settlement Account .. .. .. 37,651 4 7 Hauraki Plains Settlement Account .. .. .. .. 9,039 6 1 National Endowment Account .. .. 39,659 11 10 Rangitaiki Land Drainage Account .. .. .. | .. 17,935 14 5 Conversion Account .. ... .. Dr. 80 17 0 New Zealand State-guaranteed j Advances Loan Account .. j .. 611, 429 12 0 New Zealand Consols Account., j .. 473,771 14 0 Reserve Fund Account.. ... .. 800,000 0 0 Bank op New Zealand Act, 1903, Account .. .. .. .. 500,000 0 0 Suspense Account .. .. .. 30,990 12 1 Total .. .. .. .. £5,715,615 9 8 I Wellington-Hutt Railway and Road Improvement Account .. j 2,706 6 4 The Railways Improvements Ac- | 2,706 6 .4 count .. .. .. 1,580 4 3 The Waihou and Ohinemuri } Rivers Improvement Account .. ! 99,010 0 10 Native Land Settlement Account > 49,915 18 6 46,937 15 2 Land for Settlements Account. . \ 56,169 18 6. 1,250 0 0 Maori Land Settlement Act Ac- | count .. .. .'. 3,844 0 11 Cheviot Estate Account .. | 63,310 9 7 Loans to Local Bodies Account ■ 7,462 7 6 Opening up Crown Lands for ' Settlement Account .. .. j 21,712 4 2 15,939 0 5 Hauraki Plains Settlement Ac- ; count .. .. .. | 1,430 14 4 7,608 11 9 National Endowment Account .. : 35,051 12 11 4,607 18 11 Rangitaiki Land Drainage Ac ! count .. .. .. : 16,735 14 5 1,200 0 0 Conversion Account .. .. . Cr. 459 19 10 379 2 10 New Zealand State - guaranteed ! Advances Loan Account ... 411,429 12 0 New Zealand Consols Account.. 26 14 0 Reserve Fund Account Bank of New Zealand Act, 1903, Account Suspense Account .. .. 30,990 12 1 General Services Account .. Cr. 249,386 14 5 249,386 14 5 General Imprest Account .. Cr. 9,835 16 2 9,835 16 2 1,580 4 3 I I 99,010 0 10 96,853 13 8 57,419 1.8 6 3,844 0 11 63,310 9 7 7,462 7 6 37,651 4 7 9,039 6 1 39,659 1.1 10 17,935 14 5 Cr. 80 17 0 200,000 0 0 473,745 0 0 800,000 0 0 611,429 12 0 473,771 14 0 800,000 0 0 500,000 0 0 | 500,000 0 0 30,990 12 1 •■ ._ . i .. .--— —— Totals.. .. -.1 £2,128,493 14 0 £1,313,376 15 8 1 . | £2,128,493 14 0 £1,313,376 15 8 [£2,273,745 0 0 £5,715,615 9 8 j I 'Against this Treasury Bills amounting to J2B00 1)00 are outstanding.

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Bibliographic details

FINANCIAL POSITION OF THE DOMINION. MEMORANDUM BY THE MINISTER OF FINANCE, Appendix to the Journals of the House of Representatives, 1912 Session I, B-06

Word Count
14,186

FINANCIAL POSITION OF THE DOMINION. MEMORANDUM BY THE MINISTER OF FINANCE Appendix to the Journals of the House of Representatives, 1912 Session I, B-06

FINANCIAL POSITION OF THE DOMINION. MEMORANDUM BY THE MINISTER OF FINANCE Appendix to the Journals of the House of Representatives, 1912 Session I, B-06