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13

£.—1 TPT. I

PUBLIC ACCOUNTS, 1929-1930

Year ended 31st March, 1930, compared with the Year ended 31st March, 1929 —continued.

ACCOUNT. 1928-1929. EXPENDITURE, 1929-1930. Gross. Gross. I _ __ . — ■ - j : £ s. d. Transfer of balance,, — £ s. d. £ s. d. Balance of Conversion Account as at 31st March, 1929, representing amounts raised to cover charges and expenses of conversions, now transferred to Loans Redemption Account to meet charges and expenses of conversions of 4-per-cent. 31 5 2 Stock, 1929 ! £31 5 2 Totals ISLANDS ACCOUNT. £ s. d. Annual Appropriation,— £ s. d. £ s. d. 505 0 0 Vote—Nauru and Ocean Islands .. .. .. .. .. s. j .. ' 505 0 0 — i Public Revenues Act, 1926, Section 139, — 26,106 0 0 Interest recouped to the Consolidated Fund .. .. .. .. .. 25,856 11 4 Amortization of Debt, — 9,742 11 2 Transfer to Nauru and Ocean Islands Sinking Fund Account .. .. .. 9,991 19 10 Balance at end of Year, — 83 11 11 Cash .. .. .. .. .. .. .. .. .. 121 17 4 Investment Account— 3,200 0 0 Securities held .. .. .. .. .. .. .. 3,050 0 0 . 3,171 17 4* 3,283 11 11 : : £39,637 3 1 j Totals .. .. .. .. .. .. j .. £39,525 8 6 * For explanatory statement see page 73. SINKING FUND ACCOUNT. £ s. d. Debentures redeemed and cancelled in terms of Section 24 of the Finance Act, £ s. d. £ s. d. 1921-22,— Finance Act, 1920, Section 15 (Nauru and Ocean Islands) .. .. .. .. 20,120 0 0 Balance at end of Year, — 21 10 5 CaBh .. .. .. .. .. .. .. .. .. 12 4 0 Investment Account — 10,000 0 0 Securities held .. .. .. .. .. .. .. 300 0 0 - 312 4 0* 10,021 10 5 £10,021 10 5 Totals .. .. .. .. .. .. .. £20,432 4 0 * For explanatory statement see page 73. LOCAL BODIES. £ s. d. Revenue paid over to Local Bodies and other disbursements, — £ s. d. £ s. d. 234 10 0 Fees, Fines, &c. .. .. .. .. .. .. .. 900 4,130 18 1 Endowments of Land, &c. .. .. .. .. .. .. 5,159 8 II 20,637 1 8 Goldfields Revenue .. .. .. .. .. .. .. 22,414 3 10 8,372 14 6 Gold Duty .. .. .. .. .. .. .. .. 7,705 3 4 — 35,287 16 1 33,375 4 3 Public Revenues Act, 1926, Section 146, — 62 19 0 Advance Accounts —Payments on behalf of Local Bodies .. .. .. .. 37 3 10 _______ * Balance at end of Year, — 7,349 4 7 Cash .. .. .. .. .. .. -• •• •• 9,728 15 4 £40,787 7 10 Totals .. .. .. .. .. .. .. £45,053 15 3