19
FIRE BRIGADE WELFARE FUND
APPENDIX IV-Contd.
Receipts and Payments Account for the Year ended 31st March, 1958
PAYMENTS
(a) Cash awards
(b) Comforts, conveniences etc. :
(i) Purchase of sports gear etc.
(ii) Maintenance or improvement
playing field
(iii) Transport expenses
of
(iv) Grants or assistance to Fire Brigade club, canteen or recreation rooms...
(v) Books, magazines and other periodicals
1
529.85
(vi) Educational expenses
(vii) Entertainment expenses
(viii) Medical and dental expenses
(ix) Grants on death of serving Fire
Brigade members or pensioners
200.00
(x) Other suitable purposes
971.30
Depreciation on local investment
880.00
Balance being excess of receipts over payments
3,572.35
$6,153.50
RECEIPTS
Fines
Firemen's services .......
205.00
5,458.50
Interest on local investment
$560.00
Less Tax...
70.00
490.00
(Sd.) W. J. Gorman,
Chief Officer, Fire Brigade. 18.6.58.
$6,153.50
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