No. 1178.
FINANCIAL STATEMENT FOR THE MONTH OF JULY, 1951.
REVENUE AND EXPENDITURE.
General Revenue Balance as at 1st July, 1951
Revenue for July, 1951 Expenditure for July, 1951
Surplus for July, 1951
General Revenue Balance as at 31st July, 1951
$227,691,773.70
$25,732,818.28 19,307,182.14
6,425,636.14
$234,117,409.84
Statement of Assets and Liabilities as at 31st July, 1951.
LIABILITIES:
ASSETS:
DEPOSITS:
CASH:
Colonial Development & Welfare Scheme Contractors
$
367,258.51
313,050.00
At Bank
$11,864,418.70
At Bank (Kowloon-Canton Railway) In Hand (
437,876.16 17,981.20
Custodian of Property Surplus Fund
Government Servants
Liquor & Tobacco Export
18,110,747.25
557,374.58
468,568.80
Sub Total:
With Crown Agents (£541-3-4)
Joint Colonial Fund (£1,224,000)
12,320,276.06 8,658.67 67,584,000.00
1941 Balances Recovered
Other Administrations
2,755,355.03
1,416,490.91
Settlement with H. M. G.
26,043,993,00
Supplies and Distribution Balances
68,364,257.69
Water Deposits
3,100,687.06
Miscellaneous
3,766,320.15 $125,264,102.98
FIXED DEPOSITS:
IMPRESTS:-
INVESTMENT ADJUSTMENT ACCOUNT:
SUSPENSE:
Commerce & Industry Department
SUSPENSE:
Commerce & Industry Department
(Supplies Branch) Kowloon-Canton Railway
Miscellaneous
(Supplies Branch)
Miscellaneous
ADVANCES:
Other Administrations
79,912,934.73
75,000,000.00 635,605.00 166.65
48,453,433.01 611,058.47
49,064,491.48
1208
33
THE HONG KONG GOVERNMENT GAZETTE, NOVEMBER 16, 1951,
194.088.99
Personal
Miscellaneous
14,838,647.87 998,671.11 3,806,942.31
120,313,48
1,156,504,37
1,470,906.84
Sub Total:
19,644,261.29
Pending Raising of Loan
27,025,691.62
46,669,952.91