Receipts.
Amount Estimated.
HONGKONG.
FINANCIAL RETURNS FOR THE YEAR: 1906.
No. 1907
Laid before the Legislative Council by Command of His Excellency the Governor.
Statement showing the total Receipts and Expenditure in the year 1906.
Actual Reecipts.
More than Estimated.
Less than Estimated.
Payments.
Amount Estimated.
TREASURY.
Actual More than Less than Payments, Estimated.
Estimated.
C.
C.
C.
C.
C.
Balance, 1st January, 1906,
HEADS OF REVENUE.
1. Light Dues,
2. Licences and Internal Revenue, not
otherwise specified,
35,462.15
C.
C.
C.
C.
Nett Balance (overpaid) 1st Jau., 1906,
HEADS OF EXPENDITURE.
2,796,665.48
C.
$
$$3
C.
76,000.00
77,722.04
1,722.04
Charge on account of Public Debt,.
185,000.00
Pensions,
236,294.00
140,160.84 193,662.47
41,839.16
42,031.53
Governor,
87,074.00
69,424.50
17,649.50
4,758,820.00 4,765,227.78
6,107.78
Colonial Secretary's Department and
3. Fees of Court or Office, Payments for specific purposes and Reimbur- "sements in aid,
Legislature,
73,056.00
38, 139.62
14,616,38
Registrar General's Department,
46,363.00
37,745.02
8,617.98
Post Offiec,
410,000.00
519,275.00 470,151,53
420,454.04 10,454.04
49,123.47
Audit Departinent,
16,298.00
14,664.20
1,633.80
Treasury,
60,271.00
51,876.93
8,394.07
Post Office,
417,118.00
359,484.08
57,633.92
$
Harbour Master's Department,
185,322.00
160,899 99
24,422.01
Rent of Government Property, Land
and Houses,
Observatory,
23,344.00 |
19,995.17
3,318.83
6. Interest,
7. Miscellaneous Receipts,
TOTAL, Onlinary,
S. Land Sales,
9. Widows and Orphans' Pension Fund,
6,698,395.00 6,622,070.25
400,000.00 315,733.21
249,000.00
735,900.00
6,000.00
192,400.00
$26,699.20 90,799.20
8,063.42 2,068.42
58.747.24
Judicial and Legal Departments.
214,715.00
192,728.04
21,986.96
Police and Prison Departments,.
731,895.00
640,191.83
91,703.17
Medical Departments,
247,357.00
215,880.01
31,476.99
Sanitary Department,.
491,645.00
396,737.46
94,907.54
→
138,652.76
Botanical and Forestry Department,
47,677.00
46,796.19
880.81
Education,
188,851.00
159,874.32
111,451.48 187,776.28
Ecclesiastical,
3,800.00
3,600.00
29,477.68 200.00
Charitable Allowances,
5,420.00
3,474.41
1,945,59
84,266.79
Transport,
10,000.00
8,142.97
1,857.03
Miscellaneous Services,
142,291.00
620,140.53
477,849.58
249,000.00
| 7,847,395.00 6,937,503.46
10. Amount transferred from Praya
Reclamation Fund,
Total Revenue, ... ... ... ... ... ... ... .... ...
97,208.32
7,847,895.00 7,035,011.78
111,451.48
97,208.32
208,659.80| 521,043.02
521,043.02
Military Expenditure, Public Works Department, Public Works Recurrent,
1,389,142.00
1,352,587.14
36,604.86
283,022.00 203,068.43
79,953.57
409,200.00 879,797.77
29,402.23
Total,
5,495,155.00 5,328,820.92 477,849.53
644,183.61
Public Works Extraordinary,
1,561,800.00 1,503,789.76
58,010.24
Deposits Available,
Deposits Available, (Subsidiary Coins),
4,137,647.00
Deposits Not Available,
1,458,363.90
Crown Agents' Account,
3,829,135.46
Crown Agents' Advance,
336,066.88
Total Expenditure,
7,058,955.00 6,832,610,68
477,849.53 702,193.85
$6,832,610.68
Crown Agents' Deposit,
Account,
anttances,
3,051,642.29
Deposits Available,
150,000.00
1,198,387.94
Deposits Available, (Subsidiary Coins),
1:1,215.00
Deposits Not Available,
1,157,469.32
51,326.18
Crown Agents' Account,..
3,305.273.72
ury Coins,
3.462,244.59
Crown Agents' Advance,
[11,605,398.51
Crown Agents' Deposit,
3,828,788.91
Money Order Account,
118,662.21
Suspense Account,.......................
Suspense House Service,
Exchange,
Suspense Interest,
Viceroy of Wachang,..
26,069.67
35,961.19
142.699.18
11,208,180.00
Crown Agents' Bills in trausit,
Family Remittances,
Subsidiary Coins,..
Money Order Account,
Suspense Account,
Suspense House Service, Suspense Interest,
Advance Account,
330,000.00 1,303,791.28 50,880.18 3,828,847.69 128,690.41
22,388.26 78, 32.55
Total Payments,...$ 32,789,186.51
Total Receipts,.
35,651,608.22
Total Payments, with opening Balance,
Total Receipts, with opening Balance,
35,687,070.37
Balance 31st Dec., 1906,
35,585,851.99
101,218.38
Total,
35,697,070.87
Total,
.$ 35,687,070.37