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TABLE No. 1. Summary showing the Total Expenditure on Public Works and other Services out of Public Works Fund to 31st March, 1923, and the Liabilities on that Date.

Number of Table containing Details. Total Expenditure Recoveries Net Expenditure Twe ?™Months of Total NrfExp^d,31st MaSh,,** M g£ M Total Liabilities on Net Expenditure j 31st March, 1923. and Liabilities. Works. Works. I I [ I 3 Railways*.. ; Roads Development of mining : Telegraphs Public buildings Lighthouses, harbour-works, and har-bour-defences Departmental 18 of 1878 Coal-exploration and mine-development 11 of 1877 Aiding works on Thames goldfields Immigration Purchase of Native lands Defence Charges and expenses of raising loans .. Interest and sinking fund Rates on Native lands Thermal springs Tourist and health resorts Lands improvement Payment to Midland Railwaj' bondholders Irrigation and water-supplyt Plant, material, and stores Timber-supply and sawmills for Public Works Department Motor Transport Services £ 40,735,641 13,111,960 835,805 5.000,427 8,635,603 1,175,553 1,817,407 10,835 50,000 2,507,271 2,061,739 1,086,052 1,427,538 218,500 68,672 14,600 304.181 157,846 150,000 332,892 435,638 16,369 £ 2,110,859 648,006 Cr. 98 512,657 257,694 9,784 111,367 90,611 62,399 5,435 26,204 58,131 Cr. 19,708 14,725 22,679 £ 3,171 244 1,785 11,082 1,876 1,235 131 140 463 £ 42,843,329 13,759,722 833,922 5,502,002 8,891,421 1,184,102 1,928,643 10.835 50,000 2,597,742 2,061,739 1,087,291 1,489,937 218,500 68,672 14,600 309,616 184,050 150,000 £ 261,910 257,731 360,027 93,346 3,918 513 493 1,202 £ 43,105,239 14,017,453 833,922 5,862,029 8,984,767 1,188,020 1,929,156 10,835 50,000 2,597,742 . 2,061,739 1,087,291 1,489,937 218,500 68,672 14,600 310,109 185,252 150,000 Railways. Roads. Development of mining. Telegraphs. Public buildings. Lighthouses, harbour-works, and harbourdefences. Departmental. Coal-exploration and mine-development. Aiding works on Thames goldfields. Immigration. Purchase of Native lands. Defence. Charges and expenses of raising loans. Interest and sinking fund. Rates on Native lands. Thermal springs. Tourist and health resorts. Lands improvement. Payment to Midland Railway bondholders. Irrigation and water-supply. Plant, material, and stores. Timber-supply and sawmills for PubhY Works Department. Motor Transport Services. 391,023 415,930 31,094 3,512 16,136 141 394,535 432,066 31,235 22,679 22,679 Totals 80,154,529 3,912,447 20,127 20,127 84,046, 849 998,929 85,045,778 Totals. * Exclusive of expenditure on Hutt Railway and Road Improvement and Railways Improvement Accounts. Account 1911-12 to 1915-16 and part 1917-18, now included in Public Works Fund. f Includes £115,000 previously expended under Irrigation and Water-supply

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