2.

121

18,571 which should be deducted from the Hevenue before the

unt. 20 computation is made. Its effect would be to reduce the

Further capital

contribution by $3,714.00 in respect of 1930.

outlay of approximately $59,000 is being made in 1930 whi ch

would similarly have an effect on the Contribution for 1931.

2. Revenue Gross and Net.a

The actual revenue for the year 1929 was 187,690.92.

This figure is taken from the Treasury books and may be found

on page 65 of the 1929 Blue Book. The working expenses for

1929 amounted to $179,114 as under:-

$130,671.00

Personal Emoluments.

Other charges:

Repairs and Stores

$29,222.62

Transport

Rent of Offices

3,388.16 15,000.00

Incidental Expenses

832.53

48,443.31

$179,114.31

No reference in print can be given to final figures for

personal emoluments as in 1929 the items were included in the

personal emoluments division of the Public Works Department

Estimates under Electrical and these included items which are

not a charge against this service and have been omitted.

figures under " Other Charges" will be found at the foot of

page 28 in the printed Appropriation Account for 1929.

*

The

Deducting expenditure at $179,114 from gross receipts of

$187,690 the net revenue works out at $8,576 for the year 1929.

The effect of this would be :-

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ant

20 on gross revenue

20 on net revenue

($187,690

8,576

ん $37,538

1,715

A reduction in Military Contribution of $35,823 for the year

3

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