11

Detailed Statement of Special Expenditure and transfer for the year 1928.

201

Items chargeable to Capital.

Estimates

Expenditure

for the year. during the year.

Allocations.

Machines for Workshops

9,500.00

6,575.93

C-12-2

C-4

$ 3,508.92

Improvements and Alterations to Taipo Market Station...

12,500.00

C-9

9,640.00

21,027.31

9,758.54

C-10

3,375.84

C-11-2

4,384.01

C-9-1

$ 544.87

C-9-2

1,906.58

Disposal of Fanling Branch Line Permanent Way

*

4,973.00

2,538.05

C-15-1

74.37 Fanling Branch.

C-15-2

6.12

C-15-3

6.11

Re-railing Tunnel No. 2

C-9-1 $ 675.00

* 25,650.00

23,736.22

C-9-2

21,006.59

C-9-3

2,054.63

Transfer.

53,877.51

Part cost of underground cable for Telegraph and

Telephone lines

Items chargeable to Revenue and debited to

Operating Expenses.

Special Repairs to Fanling Branch Line

30,000.00

C-8

9,000.00

Locomotive Shed, Carriage Shed and Workshop for

Fanling Branch Line Rolling Stock

*

2,788.00

2,317.72

New Roofing to Workshops...

1,760.00

1,073.72

New Asbestos Sheet Roofing to Railway Quarters Printing of Staff Rules Tariff Books etc.

*

4,330.00

4,329.81

**

1,620.00

1,116.07

8,837.32

Items chargeable to Government

Total.....

......

81,761.00

92,714.83

52

* Items voted subsequent to the preparation of the 1928 estimates.

Other Charges.

E-5-11 New Minor Work F. B. E-5-8 Central Mechanical Works. E-5-7-3 Repairs, Staff Quarters. E-2-5 Printing, Stationery and

Tickets.

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