26

Statement No. 4 A-Rehabilitation Loan.

Item 10-Railway.

Sub-head

Funds Allocated

Expended up

Expended up

to 31.3.47

to 31.3.48

Expended up to 31.3.49

Expenditure during 1949/50

Total Expenditure

up to 31.3.50

Balance

1

Building

573,500.00

8,193.50

177,328.27

378,595.15

2

Equipment and Tools

2,428,300.00

124,497.11

543,201.64

133,386.70

1,271,107.28

511,981.85

61,518.15

1,814,308.92

613,991.08

3

General Repairs

747,000.00

258,672.74

615,105.99

643,142.74

24,957.63

668,100.37

78,899.63

4

Motor Transport

32,000.00

31,829.75

31,829.75

31,829.75

31,829.75

Permanent Way

2,494,200.00

662,488.81

Rolling Stock

13,125,000.00

1,273,447.98

63,311.72

1,302,346.46

525,370.33

455,243.57

30.53

1,757,590.03

525,400.86

170.25

736,609.97

12,599,599.14

Total

19,400,000.00

961,184.80

2,285,520.82

3,424,486.07

1,884,725.71

5,309,211.78

14,090,788.22

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