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8.—5-

for the Year ended 31st March, 1892, compared with the Financial Year ended 31st March, 1891. ACCOUNT.

5

I EXPENDITURE. 1891-92. 189O-91, Permanent Appropriations,— Interest on Debentures £ s. d. 25 0 0 £ s. d. 428 15 4 Balance of Debentures outstanding now redeemed .. 1,000 0 0 7,000 0 0 Balance at end of Year, — Cash in the Public Account 1,028 4 8 88 8 10 Totals £2,053 4 8 £7,517 4 2 LOCAL BODIES. Balance at beginning of Year, — Cash overdrawn .. .. .. .. .. .. Less Advances in the hands of Officers of the Government, — In the Colony .. .. .. .. .. £136 12 9 In London .. .. .. .. .. 150 0 0 20,869 9 2 21,764 7 5 286 12 9 18 10 4 ,| Bevenue paid over to Local Bodies, — Fees, Fines, &c. Endowments of Land, &c. Goldfields Eevenue Gold Duty 20,582 16 5 21,745 17 1 2,231 9 7 14,743 13 6 17,986 13 11 4,068 15 0 2,053 18 7 6,385 12 5 18,220 17 0 17,171 1 3 Counties Separate Accounts, — Amount distributed amongst Road Boards whera " The Counties Act, 1886," is not in full operation 39,030 12 0 43,831 9 3 427 16 5 1,101 14 5 Advance Accounts, — Payments on behalf of Local Bodies .. .. .. £11,749 1 7 Unauthorised .. .. .. .. .. 1,399 18 0\ 13,148 19 7 16,206 0 3 52,607 8 0 61,139 3 11 Totals £73,190 4 5 £82,885 1 0