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724
THE HONG KONG GOVERNMENT GAZETTE, JULY 17, 1936.
No. 620.-Financial Statement for the month of April, 1936.
REVENUE AND EXPENDITURE.
Excess of Assets over Liabilities on 31st March, 1936 Revenue from 1st to 30th April, 1936
Expenditure from 1st to 30th April, 1936
Balance
TREASURY.
$ 12,897,243.46 2,955,496.13
$ 15,852,739.59 2,411,737.42
$13,441,002.17
Assets and Liabilities on the 30th April, 1936.
LIABILITIES.
ASSETS,
$
Deposits:
C.
Advances:-
$
C.
Contractors
and Officers
Miscellaneous
111,811.68
Deposits
524,645.00
Suitors Fund
353.70
Pending Re-imbursements
from future loan
5,776,803.86
Insurance Companies
1,018,304.57
Building Loans
809,310.93
Miscellaneous Deposits
2,012,742.90
Imprest Account.
137,138.25
House Service Account
22,464.39
Subsidiary Coins.....
170,347.75
Government House and City
Note Issue Account...
1,300,000.00
Development Fund.....
836,407.12
Nickel Coinage Account.
1,024,000.00
Exchange Adjustment
36,311.13
Trade Loan Outstanding
548,500.50
Trade Loan Reserve
1,082,358.89
Suspense Account
4,634.69
Praya East Reclamation
111,547.17
Unallocated Stores, (P.W.D.)..............
592,173.73
Coal Account .......
17,831.00
Note Security Fund
1,300,000.00
Unallocated Stores, (K.C.R.) Roads Transport Haulage and
146,206.65
Upkeep Account
6,785.83
Nickel Coinage Security Fund
1,024,000.00
Cash :-
Treasurer
2,493,037.01
Crown Agents
Total Liabilities
8,586,965.87
Excess of Assets over Liabili-
ties
13,441,002.17
* Joint Colonial Fund
Fixed Deposit :-
General Insce. Cos. Misce.
53,149.75 3,223,132.53
$3,550,000.00
1,618,304.57 462,630.31
TOTAL.........$
15th July, 1936.
22,027,968.04
* Joint Colonial Fund............£209,000 Os. Od.
5,630,934.88
22,027,908.04
EDWIN TAYLOR,
Treasurer.
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