THE HONG KONG GOVERNMENT GAZETTE, JANUARY 16, 1931. 23
No. 35.-Financial Statement for the month of September, 1930.
REVENUE AND EXPENDITURE.
Balance of Assets and Liabilities on 31st August, 1930
Revenue from 1st to 30th September, 1930.................
TREASURY
10,007,229.48
1,838,553.54
$ 11,845,783.02 2,507,376.63
Expenditure from 1st to 30th September, 1930
Balance
$ 9,338,406.39
Assets and Liabilities on the 30th September, 1930.
LIABILITIES.
ASSETS,
C.
c.
Deposits not Available
1,613,050.11
Subsidiary Coins...
1,774,990.49
Postal Agencies
6,056.71
Advances
2,198,345.52
Suspense Account
811,875.74
Building Loans
1,071,340.13
Suspense Trade Loan
904,565.10
Imprest
59,977.78
Overdraft Bank Trade Loan
1,431,527.15
House Service Account
23,105.50
Public Works (1927) Loan
Adjustment of Exchange
385,262.86* Joint Colonial Fund
2,864,761.90
1,755,791.52
Unallocated Stores, (P.W.D.).
490,502.34
Unallocated Stores, (Railway)
192,870.85
Coal Account
806.31
Investment Account
1,296,394.66
Lorry Haulage Account
Fixed Deposit Account
10,505.33
3,000,000.00
Balance at Banks....
522,443.72
Balance Public Works (1927)
Loan
385,262.86
Total Liabilities
6,908,129.19
Trade Loan Outstanding
2,336,092.25
Balance..
9,338,406.39
Crown Agents, Current Account..
19,135,94
TOTAL..... $ 16,246,535.58
TOTAL...
16,246,535.58
* Joint Colonial Fund.....
....£188,000 0s. Od.
15th January, 1931.
C. McI. MESSER,
Treasurer.