11
B.—l [Pt. I
PUBLIC ACCOUNTS, 1912-1913
Year ended 31st March, 1913, compared with the Financial Year ended 31st March, 1912— continued.
ACCOUNT. 1911-1912. EXPENDITURE Annual Appropriation,— Vote 119—Scenery Preservation EXPENDITURE. 1912-1913. £ s. d. £ 8. d. 16,842 19 1 1912-1913. £ s. d. 5,758 5 4 £ a. d. 16,842 19 1 30,000 0 0 The New Zealand Loans Act, 1908, — The Scenery Preservation Act, 1908— Debentures matured 1st May, 1911, renewed 2,163 14 6 Balanoe at end of Year, — Cash in the Public Account .. .. .. .. 332 9 8 332 9 8 £37,921 19 10 Total? £17,175 8 9 £17,175 8 9 ACT ACCOi UNT. £ s. d. 605,711 0 0 605,711 0 0 Expenditure under the Act .. Expenditure under the Act £ s. d. £ s. d. 525,000 0 0 The New Zealand Loans Act, 1908, — The Naval Defence Act, 1909— 48,030 9 0 Charges and Expenses .. .. .. .. .. The New Zealand Loans Act, 1908, — 48,030 9 0 The Naval Defence Act, 1909— Charges and Expenses 13,878 16 2 The Naval Defence Aot, 1909,— Temporary Advances repaid The Naval Defence Aot, 1909,— Temporary Advances repaid 150,000 0 0 289,362 11 3 Balance at end of Year,— 289,362 11 3 Cash in the Public Aooount Imprests in the hands of Officers of the Government — 15,000 0 0 In London .. .. .. .. Balance at end of Year,— Cash in the Public Aooount Tmnrssts in the hands of Officers of the Governn tit— .. . 15,860 16 3 15,860 16 3 47,000 0 0 15,000 0 0 imprescs m tne nanus ui winueis ui one vjuvemii In London [lit 47,000 0 0 304,362 11 3 62,860 16 3 304,362 11 3 £958,104 0 3 Totals Totals .. : .. £751,739 12 5 £958,104 0 3 £751,739 12 5 LOCAL BODIES. £ a. d. Revenue paid over to Local Bodies, &c, — 13,020 7 9 Pees, Pines, cfec. .. 21,403 1 8 Endowments of Land, &c. .. 17,236 17 1 Goldfields Revenue 27,140 11 1 Gold Duty 78,800 17 7 £ a. d. 13,020 7 9 21,403 1 8 17,236 17 1 27,140 11 1 £ s. d. 11.205 9 1 21,460 4 3 16,151 11 2 17,599 11 4 £ s. d. 66,416 15 10 78,800 17 7 Counties Separate Account, — Amount distributed amongst Local Bodies where the Counties Act, 1908, is 43 10 10 not in full operation 80 13 8 43 10 10 Advance Accounts, — 27,439 9 4 Payments on behalf of Local Bodies 27,439 9 4 24,201 14 10 Balance at end of Year, — 7,812 6 10 Cash in the Publio Aocount .. .. .. .. .. 8,294 18 11 7,812 6 10 £114,096 4 7 £114,096 4 7 Totals £98,994 3 3
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