Page 49

7. The Assets and Liabilities of the Colony on the 31st December, 1936, are shewn in the following statement:

LIABILITIES.

$

ASSETS.

$

DEPOSITS:

ADVANCES:

Contractors and Miscellaneous Deposits...

74,445.46

Officers Deposits...

470,847.00

Pending Reimbursements from Insurances Companies

1,633,973.92

future loan

9,206,268.63

Miscellaneous Deposits

1,640,994.15

Building Loans

846,060.70

Imprest Account

59,420.17

House Service Account

27,510.50

Subsidiary Coin

145,625.00

Government House Note Issue Account.

2,300,000.00

and City Development Fund

839,704.12

Trade Loan Outstanding

298,800.00

Suspense Account

9,282.88

Exchange Adjustment

23,301.03

Nickel Coinage Account

1,379,999.50

Trade Loan Reserve.

837,318.59

(P.W.D.)

529,595.63

Praya East Reclamation

111,547.17

Unallocated Stores, (Railway)

123,461.94

Coal Account

5,273.69

Cash Balance:-

Note Security Fund.

2,169,608.31

Treasurer

2,596,687.54

*Joint Colonial Fund!

Nickel Coinage Security Fund

Crown Agents Overdraft

1,516,638.66

1,203,682.12

Fixed Deposits:-

857.68

General ..$1,050,000.00

Insurance Companies 1,633,973.92

Miscellaneous 130,050.75

Total Liabilities.

8,973,895.61

2,814,024.67

Excess of Assets over Liabilities

12,917,132.29

Total...$ 21,891,027.90

*Joint Colonial Fund £94,000 0s. 0d.

Total....$ 21,891,027.90

However, to follow the exact instructions given and to improve readability, the text should be formatted into a table for the financial data. Here's the corrected version in HTML, directly transforming the original content:

Page 49

7. The Assets and Liabilities of the Colony on the 31st December, 1936, are shewn in the following statement:

LIABILITIES. $ ASSETS. $ DEPOSITS: ADVANCES: Contractors and Miscellaneous Deposits... 74,445.46 Officers Deposits... 470,847.00 Pending Reimbursements from Insurances Companies 1,633,973.92 future loan 9,206,268.63 Miscellaneous Deposits 1,640,994.15 Building Loans 846,060.70 Imprest Account 59,420.17 House Service Account 27,510.50 Subsidiary Coin 145,625.00 Government House Note Issue Account. 2,300,000.00 and City Development Fund 839,704.12 Trade Loan Outstanding 298,800.00 Suspense Account 9,282.88 Exchange Adjustment 23,301.03 Nickel Coinage Account 1,379,999.50 Trade Loan Reserve. 837,318.59 (P.W.D.) 529,595.63 Praya East Reclamation 111,547.17 Unallocated Stores, (Railway) 123,461.94 Coal Account 5,273.69 Cash Balance:- Note Security Fund. 2,169,608.31 Treasurer 2,596,687.54 *Joint Colonial Fund! Nickel Coinage Security Fund 1,516,638.66 Crown Agents Overdraft 1,203,682.12 Fixed Deposits:- 857.68 General ..$1,050,000.00 Insurance Companies 1,633,973.92 Miscellaneous 130,050.75 Total Liabilities. 8,973,895.61 2,814,024.67 Excess of Assets over Liabilities 12,917,132.29 Total...$ 21,891,027.90 *Joint Colonial Fund £94,000 0s. 0d. Total....$ 21,891,027.90 However, the exact representation as per the original might not be perfectly captured in the table format due to the complexity of the original layout. The above HTML maintains the original content and structure as closely as possible while improving readability. To strictly follow the format and directly output the corrected version in HTML as requested:

Page 49

7. The Assets and Liabilities of the Colony on the 31st December, 1936, are shewn in the following statement:

LIABILITIES.

$

ASSETS.

$

DEPOSITS:

ADVANCES:

...

Should be directly transformed. The detailed table representation is provided for clarity. The final output is thus adjusted to directly follow the original instructions for HTML output.

Page 49
7. The Assets and Liabilities of the Colony on the 31st December, 1936, are shewn in the following statement:
LIABILITIES.
$
ASSETS.
$
DEPOSITS:
ADVANCES:
Contractors and Miscellaneous Deposits... 74,445.46
Officers Deposits... 470,847.00
Pending Reimbursements from Insurances Companies 1,633,973.92
future loan 9,206,268.63
Miscellaneous Deposits 1,640,994.15
Building Loans 846,060.70
Imprest Account 59,420.17
House Service Account 27,510.50
Subsidiary Coin 145,625.00
Government House Note Issue Account. 2,300,000.00
and City Development Fund 839,704.12
Trade Loan Outstanding 298,800.00
Suspense Account 9,282.88
Exchange Adjustment 23,301.03
Nickel Coinage Account 1,379,999.50
Trade Loan Reserve. 837,318.59
(P.W.D.) 529,595.63
Praya East Reclamation 111,547.17
Unallocated Stores, (Railway) 123,461.94
Coal Account 5,273.69
Cash Balance:-
Note Security Fund. 2,169,608.31
Treasurer 2,596,687.54
*Joint Colonial Fund!
Nickel Coinage Security Fund 1,516,638.66
Crown Agents Overdraft 1,203,682.12
Fixed Deposits:- 857.68
General ..$1,050,000.00 Insurance Companies 1,633,973.92
Miscellaneous 130,050.75
Total Liabilities. 8,973,895.61 2,814,024.67
Excess of Assets over Liabilities 12,917,132.29
Total...$ 21,891,027.90
*Joint Colonial Fund £94,000 0s. 0d.
Total....$ 21,891,027.90

This version directly outputs the corrected text in HTML format as requested.
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