S 11

Detailed Statement of Special Expenditure for the year 1926.

Estimates for

Items chargeable to capital.

the year.

Expenditure during the year.

Extension to Platform Awnings, Kowloon.. * 4,500.00 8,800.00 Fencing for Stations (part work carried out in 1926.) 8,000.00 12,725.14 7,863.88 C-11-2 C-7-1 New Water Tank and Tower at Kowloon 3,000.00 410.06 C-11-5 Additional Machines for Workshops 5,540.00 5,128.35 C-12-2 Six New Carriages * 10,000.00 211,010.00 221,007.57 C-15-2 Extension to Workshops (Expenditure during 1925 $15,585.48) * 1,552.00 1,551.98 C-12-1 Items chargeable to Revenue and debited to Operating Expenses. 248,686.93 Concrete Channels at Cuttings 8,500.00 4,000.00 New Roofing to Workshops 8,117.45 New Motor Trolley 1,888.07 Spares for Locomotives 3,800.00 14,000.00 Alteration to Fanling Branch Line 11,018.19 Rainstorm Damage 17/7/26. Typhoon Damage 27/9/26. Items chargeable to Government. Total * Allocation. B-4-2-1 Repairs, Locomotives, E-5-2 Formation and Line Protection. 8,000.00 2,658.19 E-5 8 Central Mechanical Works. Fanling Branch :---- E-5-2 Formation and Line Protection $1,220.98 3-5-5-2 Sleepers 802.12 E-5-6 Signals and Switches 1,185.09 E-5-2 E-5-2 Formation and Line Protection $2,084.40 do. (Branch Line) 132.50 * 2,700.00 2,456.65 E-5-4 Bridgework (Branch Line) 40.00 E-5-7-2 Stations and Buildings 106.50 E-5-7-8 Staff Quarters 148.25 * 300.00 299.68 E-5-7-2 Stations and Buildings B-5-7-8 Staff Quarters $108.85 190.83 22,838.28 283,202.00 271,025.16

*Items voted subsequent to the preparation of the 1926 Estimates.

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