144
Author
ASSETS
Cash with Accountant General
LLL
TABLE 77
SAMARITAN PUND
INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31st March, 1969
EXPENDITURE
Grants to neody patientt för temporary maintenance, travelling expenses eis. Balance carried to Aucunvalared Food
INCOME
Bonnions:
$38,631.00
10,077.00
J
The Royal Hong Kong Jockey Club Li Po Chun Charitable Trust Fund Lutheran World Federation Mr. Ho Sai-ki Standard Sing Tao Pai Choy Drive Hoog Stup Bank Ltd. Otben
+
$30,000.00
10,000,00
3,000,00
241
77+
SAL
L
1,500.00
1,000.00
ni
-11
1,000.00
208.00
546,700.00
$48,708.06
$48,700.00
BALANCE SHEET AS AT 31st March, 1969
$13,483.49
$13,483.50
311,483.55
CERTIFICATE OF THE DIRECTOR OF AUDIT
Cenißed Correl
P. H. Taxo
Director of Medical & Health Services.
9th May, 1969,
The above Balance Sheet and Income and Expenditure Account have been exargined in accrodanes with Condition 5(2) of the Schedule co the Legislative Couneli Rasobation dated 24th May, 1956 (G.N.A. 13 of 26th May, 1950, as amended by G.M.A. 33 of 22nd April, 1960). I have obtained all the information and explanations that I have required, and it certify, as a result of this audit, that io my opinico the Balance Sheet and the Income and Expenditure Account are correct subject to the following observation.
The accounu were certified by the Dietevor of Medical and Health Services though the Principal Almoner was required to sign them. The wide of Principal Almonet wat changed and the post of the officer holding the revland title was abolished before 31st March, 1969. The Legislative Council on 21st May, 1969 prased a rezolution cancelling the previous revolution (31 amended) God provided for the Director to carry out the duties previously ascribed to the Principal Almuner.
AULIT BEPALEMENT,
Hong Kong, 30th June, 1959,
REPORT ON THE SAMARITAN FUND 1.4.63—31.3.69
D. G. BarTON, Director of Audit.
Heavy calls on the Find with reulting expenditure in excess of income for the past three years called the balzore of the accumcisted fund to be reduced to as low as 53,406.58 on 1st Aprli 1968. It was therefore necessary during the year under review to seriously curtail expenditure to ecture not only that the Fundi remained solvent, but to attempt to build up again a small rosirve against a shortfil in donations. In spite of this, It was found possible to assist some 2,143 nesdy patients to the extent of a total of $33,631.00. The main purposes for which assistance is given to needy patienu are for Marsportation to hospitals sod dinis to maħle them to obtain cæsential medical treatment, assistance with payment of rent, school foes, etc Small monetary grants are also made to masiet needy parents in the purchase of clothing, toilet decessities and Food fup mira nourishment after discharge froša hospital. The Samaritan Fund is entirely dependent oa volusmiy donations and receives no apaistance whatsoever from public funds,
P. H. TENO. Director of Medical & Health Services, 20th June, 1989.
LIABH ITIES
Accumulated Fund as si in April, 1968 Surplus Book lovorde and Expanditure Account
$ 3,406.58
=78
10,677.00
145