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APPENDIX

Table No. i.—Receipts and Payments Account (Post Office Working-expenses) for the Year ended 31st March, 1947 Receipts Payments £ £ £ £ Balance forward .. , .. 29,762 Salaries .. .. 3,445,745 Postages .. 3,062,538 Conveyance of ocean and Money-order and postal- air mails .. .. 294,862 note commission .. 76,365 Conveyance of inland Private box and bag mails .. .. 198,965 rents and rural delivery Conveyance of mails by fees .. .. 75,930 rail .. .. 132,131 Miscellaneous receipts .. 1,149,823 Maintenance of telegraph Paid telegrams .. 669,511 and telephone lines .. 505,110 Paid tolls .. .. 1,588,160 Renewals and replace-Telephone-exchange ments .. .. 100,000 receipts .. .. 2,050,313 Motor services and work8,672,640 shops .. .. 342,906 Maintenance of Post and Telegraph buildings .. 100,290 Miscellaneous .. 1,504,387 Interest on capital liability .. .. 738,996 Sick Benefit Fund .. 11,169 7,374,561 Surplus available for depreciation and other reserves and payment of profit (when ascertained) to Consolidated Fund .. .. .. 1,298,570 Balance carried down .. .. 29,271 £8,702,402 £8,702,402 Table No. 2. —Receipts and Payments on account of Telegraph Extension for the Year ended 31st'March, 1947 Receipts Payments £ £ Amount made available from National Capital expenditure— Development Loans Account and (a) Materials .. .. .. 790,845 revenue contribution to capital (b) Freight .. .. .. 58,547 outlay .. .. .. 1,218,511 (c) Travelling .. .. .. 1,641 (d) Camp allowances .. .. 3,366 (e) Labour .. .. .. 364,112 / £1,218,511 £1,218,511

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