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APPENDIX VI-Contd.

FIRE SERVICES DEPARTMENT

WELFARE FUND

INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST MARCH, 1965

EXPENDITURE

1963/64

$26,980-00

14,943-20

Recompensing members for extra services

Procuring for members who are serving or for former members who have been retired on pension, gratuity or other allowance, comforts, convenience or other advantages not chargeable to public revenue

Net loss on revaluation of Christmas Cards.

INCOME

1963/64

$22,580-00

$ 764-00

Fines

77,644-12

8,115.00

Fees for Firemen's Services

34,746-74

131-10

2,016-00

Donations

Net gain on sale of Fire Protection

Year Book

Interest

On Loans

Remission of Fees for Firemen's Services

1,890.00

Bad Debts written off

Suspense Account written off

On Investments

Depreciation on investments

5.00

280.00

On Fixed Deposits

2,065.00

44,974.92

Balance being excess of income over

expenditure

200.00

Appreciation on investments

29,637.95

$88,788-12

$89,396.79

$88,788-12

$ 375-00

79,651-70

4,588-95

2:00

$ 33.05

490-00

4,256-09

4,779-14

$89,396-79

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