THE HONG KONG GOVERNMENT GAZETTE, JULY 6, 1928.
No. 393-Financial Statement for the month of March, 1928.
TREASURY.
265
REVENUE AND EXPENDITURE.
Balance of Assets and Liabilities on 29th February, 1928 Revenue from 1st to 31st March, 1928..
$ 5,258,576.88 1,770,546.69
$ 7,029,123.57 1,576,955.97
Expenditure from 1st to 31st March, 1928
Balance
$ 5,452,167.60
Assets and Liabilities on the 31st March, 1928.
LIABILITIES.
ASSETS.
C.
Deposits not Available
House Service Account
Postal Agencies
2,056,091.83
Subsidiary Coins
C.
1,673,766.76
5,334.61
Advances
143,423.72
596.15
Building Loans
1,479,373.60
Coal Account
9,158.91 Imprest
44,507.57
Suspense Account
490,994.50* Crown Agents Deposit Account ...
2,028,865.97
Suspense Account, Trade Loan
621,231.95
Overdraft, Trade Loan
5,753,728.18
Unallocated Stores, (P.W.D.).
Unallocated Stores, (Railway)...
371,052.29
173,258.61
Adjustment of Exchange
482,036.64
Investment Account...
1,279,861.69
Lorry Haulage Account
6,849.66
Balance at Banks
1,251,378.06
Trade Loan Outstanding...
6,374,960.13
Crown Agents Current Account...
44,042.31
Total Liabilities
Balance
9,419,172.77
5,452,167.60
TOTAL......
$ 14,871,340.37
6th July, 1928.
* Cash lent at Interest..
Cash on deposit.......
TOTAL.........$
14,871,340.37
.£171,000 Os. Od.
£ 34,000 0s. Od.
C. MCI. MESSER,
Treasurer.