## 11. Statement of Assets
December, 1935.
of Assets and Liabilities on the 31st
LIABILITIES.
DEPOSITS:-
$ C.
ASSETS.
$ C.
ADVANCES:
Purchase of three 533,338.40 Contractors and Locomotives for Officers Deposits Chinese Section! 10,436.05 Kowloon - Canton 27,468.26 Railway Suitors Fund Insurance Companies Miscellaneous 1,830,312.85 Deposits House Service Account 1,713,304.57 Government House & City Development Fund Imprest Account Miscellaneous 258,639.18 Pending Reimbursements from future loan 4,182,298.66 Building Loans 776,220.94 50,828.81 Subsidiary Coin 135,347.75 Note Issue Account... 1,280,000.00 26,873.51 Crown Agents Remittances 1,069.63 Trade Loan Outstanding 548,500.50 836,407.12 Nickel Coinage Account 573,500.00 Trade Loan Reserve.. 1,080,801.79 Exchange Adjustment 23,197.49 Unallocated Stores, 519,408.60 Praya East Reclamation (P.W.D.) Unallocated Stores, 112,175.27 (Railway) 137,495.69 Coal Account 6,155.14 Suspense Account 269,793.38 Cash Balance:- Note Security Fund.. 1,280,000.00 Treasurer 3,089,636.07 Crown Agents 35,495.82 Nickel Coinage Security Fund... 573,500.00 *Joint Colonial Fund 256,000.00 Fixed Deposits: Total Liabilities... 12,387,668.51 Excess of Assets over Liabilities 8,008,304.70 General $6,050,000.00 Companies 1,713,304.57 Miscellaneous 462,768.36 Insurance 8,226,072.93 Total......$ 20,390,973.21 *Joint Colonial Fund £18,000.0.0. Total......$' 20,390,973.21