THE HONG KONG GOVERNMENT GAZETTE, MARCH 14, 1930.
No. 164 Financial Statement for the month of November, 1929.
TREASURY.
REVENUE AND EXPENDITURE.
Balance of Assets and Liabilities on 31st October, 1929
Revenue from 1st to 30th November, 1920.
Expenditure from 1st to 30th November, 1929
Balance
$ 10,051,882.50 2,042,211.90
$ 12,097,094.55 1,812,454.21
$ 10,284,610.34
Assets and Liabilities on the 30th November, 1929.
LIABILITIES.
ASSETS.
115
C.
C.
Deposits not Available
1,232,659.70
Subsidiary Coins.....
1,888,792.17
Postal Agencies
6,185.38
Advances
220,770.85
Coal Account
6,592.79
Building Loans
1,400,259.30
Suspense Account
626,182.18
Imprest
55,261.54
Suspense Trade Loan
862,185.39
House Service Account
43,312.47
Overdraft Trade Loan
2,523,836.83 |† Joint Colonial Fund
4,742,162.65
Adjustment of Exchange
1,011,231.46
Unallocated Stores, (P.W.D.)......
456,669.91
Unallocated Stores, (Railway)
152,546.66
Investment Account
1,240,712.28
Lorry Haulage Account
2,301.45
Fixed Deposit Account
1,000,000.00
Balance at Banks...
1,921,860.01
Trade Loan, Outstanding
3,386,022.22
Total Liabilities
6,268,978.73
Crown Agents, Current Account..
42,942.53
Balance.......
10,284,640.34
TOTAL..
16,553,614.07
TOTAL......
16,553,614.07
10th March, 1930.
† Joint Colonial Fund..
£110,000 0s. Od.
C. McI. MESSER,
Treasurer.