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B.—i [Pt. ivi .

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DEFENCE DEPARTMENT—continued. " Janie Seddon " Launch Revenue Account for the Year ended 31st March, 1925. Dr. £ s. d. Cr. £ s. dTo Pay, military, and overtime .. .. .. 1,607 8 9 By Hire of vessel .. .. .. 1,310 18 3 Paint, oil, and stores .. .. .. .. 153 11 11 Transport of troops and towing targets, Fuel and water .. .. .. .. .. 285 910 &c. .. .. .. .. 259 10 0 Maintenance, repairs, slip dues, &e. .. .. .. 256 6 3 Excess of expenditure over income Clothing and stores consumed .. .. .. 30 0 0 (carried down) .. .. .. 948 13 0 Depreciation on vessel .. .. .. . . 186 4 6 £2,519 1 3 £2,519 1 3 £ s. d. To Balance brought down .. .. .. .. 948 13 0 By Excess of expenditure over income after £ s. d. Interest on capital, one year, on £3,724, at 4|- per cent... 167 11 7 charging interest on capital .. 1,116 4 7 £1,116 4 7 £1,116 4 7 Territorial Revenue Account for the Year ended 31st March, 1925. Dr. £ s. d. Cr. £ s. d. To Pay, military, civil, and Territorial .. .. .. 61,797 18 8 By Rent of drill-halls, &c. .. .. 742 15 6 Clothing, stores, and ammunition .. .. .. 43,912 9 7 Grazing-rights on rifle ranges .. 441 7 3 Medical examination, attendance, and hospital charges.. 803 10 9 Excess of expenditure over income .. 145,848 3 4 Grants for rifle shooting .. .. .. .. 416 510 Advertising, printing, stationery, postages, repairs, and washing .. .. .. .. .. 1,802 3 4 Hire of drill-halls, offices and buildings, grounds, boatsheds and launches, camps, including departmental rental value of buildings occupied .. .. 12,615 14 7 Cost and upkeep of targets and rifle ranges .. .. 316 7 Rations, fuel, light, water, and forage .. . . 8,299 12 11 Regimental and bands fund grants .. .. .. 2,530 6 9 Travelling-expenses, railway and steamer fares, freights, and cartage .. .. .. .. .. 13,305 9 9 Horse-hire and maintenance of horses .. .. 1,137 17 9 Hire of vessel towing targets and transporting troops .. 174 0 0 Maintenance of wireless sets .. .. .. 22 18 6 Depreciation on— £ s. d. Furniture .. .. .. .. 126 II 6 Wireless sets .. .. .. 55 19 7 182 11 1 £147,032 6 1 £147,032 6 1 Cadets Revenue Account for the Year ended 31st March, 1925. £ s. d. £ s. d. To Pay, military, civil, and Territorial .. .. .. 35,252 14 10 By Rent of drill-halls, &c. .. .. 598 6 5 Clothing, stores, and ammunition .. .. .. 15,427 13 11 Grazing-rights on rifle ranges .. 458 1 2 Medical examination, attendance, and hospital charges 60 2 0 Excess of expenditure over income .. 68,332 6 9 Grants for rifle shooting .. .. .. .. 556 13 7 Advertising, printing, stationery, postages, repairs, and washing .. .. .. .. .. 1,617 211 Hire of drill-halls, offices and buildings, grounds, boatsheds and launches, camps, including departmental rental value of buildings occupied.. .. .. 6,817 12 5 Cost and upkeep of targets and rifle ranges .. .. 27 14 6 Rations, fuel, light, and water .. .. .. 2,336 13 11 Regimental and bands fund grants .. .. . . 1,153 7 2 Travelling-expenses, railway and steamer fares, freights and cartage .. .. .. .. .. 5,830 18 2 Horse-hire and maintenance of horses .. .. 37 17 10 Depreciation on furniture .. .. .. .. 270 3 1 £69,388 14 4 £69,388 14 4