B—l [Pt. IV]
Balance-sheet as at 31st March, 1946 Receipts and Expenditure on Capital Account
71
Dr. As at 1st April, 1945. Amount debited during Year. As at 31st March, 1946. Cr. Capital as at 1st April, 1945. Amount received during Year. Capital as at 31st March, 1946. Expenditure — Telegraph and toll system, including works in progress Telephone-exchange systems, including works in progress Wireless systems Buildings and sites Tools and plant Motor assets Furniture and fittings Aeradio systems — Communication equipment .. Buildings £ 3,121,687 10,683,521 126,055 4,990,408 168,074 314,975 235,158 137,962 52,071 £ 386,941 380,596 2,009 143,013 17,474 13,986 13,021 23,256 £ 3,508,628 11,064,117 128,064 5,133,421 185,548 328,961 248,179 161,218 52,071 Receipts — Public Works Account and National Development Loans Account Aeradio Adjustment Account (Consolidated Fund contribution to aeradio assets) £ 17,790,362 190,033 £ 235, 555 23,256 £ 18,025,917 213,289 Balance, carried to General Balance-sheet 17,980,395 258,811 18,239,206 2,571,001 19,829,911 980,296 20,810,207 1 20,810,207
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