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THE HONG KONG GOVERNMENT GAZETTE, SEPTEMBER 26, 1930.

493

No. 605.-Financial Statement for the month of June, 1930.

TREASURY.

REVENUE AND EXPENDITURE.

Balance of Assets and Liabilities on 31st May, 1930 ...

Revenue from Ist to 30th June, 1930

Expenditure from 1st to 30th June, 1930

Balance

$ 10,701,830,17

2,197,837.41

$ 12,899,676.58 2,134,360.28

$10,765,316.30

Assets and Liabilities on the 30th June, 1930.

LIABILITIES.

ASSETS.

Deposits not Available

$

1,196,813.81

C.

$ c.

Subsidiary Coins....

1,689,185.22

Postal Agencies

1,439.52

Advances

1,202,040.67

Coal Account

1,780.40

Building Loans

1,873,555.00

Suspense Account

791,811.61

Imprest

60,077.78

Suspense Trade Loan

872,155.87

House Service Account

39,472.00

Overdraft Trade Loan

1,619,760.88 † Joint, Colonial Fund

2,685,057,46

Public Works (1927) Loan

62,738.77

Unallocated Stores, (P.W.D.)..

525,314.75

Adjustment of Exchange

1,628,247.32

Unallocated Stores, (Railway)

149,411.55

Investment Account

1,296,394.66

Lorry Haulage Account

6,112.00

Fixed Deposit Account

4,200,000.00

Balance at Banks.......

1,009,931.56

Total Liabilities

6,174,748.18

Balance Public Works (1927)

Loan

62,738.77

Balance...

10,765,316.30

Trade Loan Outstanding Crown Agents, Current Account..

2,491,916.75

58,555.65

TOTAL....

16,940,064.48

TOTAL......

16,940,064.48

† Joint Colonial Fund...

...£182,500 0s. Od.

25th September, 1930.

C. McI. MESSER,

Treasurer.

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