AnnualReport-1911 — Page 393

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Page 3

The following is a statement of the expenditure in 1911 as compared with that of the previous year :-

1910 1911 Increase Decrease $ $ $ $ C. C. C. C. Personal Emoluments & Other Charges,.. 809,784.69 308,408.12 1,376.57 Annually Recurrent Works,..... 429,835.24 486,940.80 57,105.56 Extraordinary Works, 1,223,909.83 1,094,817.93 129,091.90 Total, 1,963,529.76 1,890,166.85 57,105.56 130,468.47

The decrease in the first item is due to the higher rate of exchange prevailing during the year (average for 1911 being 1/93 against 1/91 for 1910).

The increase in the second item is principally due to increased expenditure under the following sub-heads :-

Maintenance of Buildings,
Maintenance of Roads & Bridges in City,...
Maintenance of Roads & Bridges outside City,...
Maintenance of Roads & Bridges in New Territories,.
Gas Lighting, City & Hill District,
Electric Lighting, City,
Exhumation of remains in Cemeteries,.
Typhoon and Rainstorm Damages,.
Maintenance of City & Hill District Waterworks,

$ 7,843.21 14,595.88 1,829.19 7,971.79 5,012.73 2,146.43 3,924.83 24,534.63 1,572.86

The principal decreases under the second item were as follows:-

Maintenance of Buildings in New Territories,...$ 3,220.21
Maintenance of Sewers, Nullahs, &c.,......
Maintenance of Praya Wall & Piers,
Maintenance of Public Cemeteries,
Maintenance of Public Recreation Grounds,.
Dredging Foreshores,
Maintenance of Shaukiwan Water Works,

3,003.10 1,737.70 1,826.00 1,455.29 2,790.64 1,232.09

The decrease in the third item may be ascribed entirely to the large sum ($364,979) expended in 1910 on resumptions of land intended for the site of the terminal station for the Railway and for the extension of the old Western Market during its reconstruction.

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Page 3 The following is a statement of the expenditure in 1911 as compared with that of the previous year :- 1910 1911 Increase Decrease $ $ $ $ C. C. C. C. Personal Emoluments & Other Charges,.. 809,784.69 308,408.12 1,376.57 Annually Recurrent Works,..... 429,835.24 486,940.80 57,105.56 Extraordinary Works, 1,223,909.83 1,094,817.93 129,091.90 Total, 1,963,529.76 1,890,166.85 57,105.56 130,468.47 The decrease in the first item is due to the higher rate of exchange prevailing during the year (average for 1911 being 1/93 against 1/91 for 1910). The increase in the second item is principally due to increased expenditure under the following sub-heads :- Maintenance of Buildings, Maintenance of Roads & Bridges in City,... Maintenance of Roads & Bridges outside City,... Maintenance of Roads & Bridges in New Territories,. Gas Lighting, City & Hill District, Electric Lighting, City, Exhumation of remains in Cemeteries,. Typhoon and Rainstorm Damages,. Maintenance of City & Hill District Waterworks, $ 7,843.21 14,595.88 1,829.19 7,971.79 5,012.73 2,146.43 3,924.83 24,534.63 1,572.86 The principal decreases under the second item were as follows:- Maintenance of Buildings in New Territories,...$ 3,220.21 Maintenance of Sewers, Nullahs, &c.,...... Maintenance of Praya Wall & Piers, Maintenance of Public Cemeteries, Maintenance of Public Recreation Grounds,. Dredging Foreshores, Maintenance of Shaukiwan Water Works, 3,003.10 1,737.70 1,826.00 1,455.29 2,790.64 1,232.09 The decrease in the third item may be ascribed entirely to the large sum ($364,979) expended in 1910 on resumptions of land intended for the site of the terminal station for the Railway and for the extension of the old Western Market during its reconstruction. Page 3 Page 3
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P 3 The following is a statement of the expenditure in 1911 as compared with that of the previous year :- 1910. 1911. Increase. Decrease. $ $ C. $ C. $ CA Personal Emolu- ments & Other Charges,.. 809,784.69 308,408.12 1,376,57 Annually Recur- rent Works,..... 429,835.24 486,940.80 57,105.56 Extraordinary Works, 1,223,909.83 1,094,817.93 129,091.90 Total, 1,963,529.76 1,890,166.85 57,105.56 130,468.47 The decrease in the first item is due to the higher rate of ex- change prevailing during the year (average for 1911 being 1/93 against 1/91 for 1910). The increase in the second item is principally due to increased expenditure under the following sub-heads :- Maintenance of Buildings, Maintenance of Roads & Bridges in City,... Maintenance of Roads & Bridges outside City,... $ 7,843.21 14,595.88 1,829.19 Maintenance of Roads & Bridges in New Terri- tories,. 7,971.79 Gas Lighting, City & Hill District, 5,012.73 Electric Lighting, City, 2,146.43 Exhumation of remains in Cemeteries,. 3,924.83 Typhoon and Rainstorm Damages,. 24,534.63 Maintenance of City & Hill District Waterworks, 1,572.86 The principal decreases under the second item were as follows:- Maintenance of Buildings in New Territories,...$ 3,220,21 Maintenance of Sewers, Nullahs, &c.,...... 3,003.10 Maintenance of Praya Wall & Piers, 1,737.70 Maintenance of Public Cemeteries, 1,826.00 Maintenance of Public Recreation Grounds,. 1,455:29 Dredging Foreshores, 2,790.64 Maintenance of Shaukiwan Water Works, 1,232.09 The decrease in the third item may be ascribed entirely to the large sum ($364,979) expended in 1910 on resumptions of land intended for the site of the terminal station for the Railway and for the extension of the old Western Market during its reconstruction.
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P 3

The following is a statement of the expenditure in 1911 as compared with that of the previous year :-

1910.

1911.

Increase.

Decrease.

$

$

C.

$ C.

$

CA

Personal Emolu-

ments & Other Charges,..

809,784.69

308,408.12

1,376,57

Annually Recur-

rent Works,.....

429,835.24

486,940.80

57,105.56

Extraordinary

Works,

1,223,909.83

1,094,817.93

129,091.90

Total,

1,963,529.76

1,890,166.85

57,105.56

130,468.47

The decrease in the first item is due to the higher rate of ex- change prevailing during the year (average for 1911 being 1/93 against 1/91 for 1910).

The increase in the second item is principally due to increased expenditure under the following sub-heads :-

Maintenance of Buildings,

Maintenance of Roads & Bridges in City,... Maintenance of Roads & Bridges outside City,...

$ 7,843.21

14,595.88

1,829.19

Maintenance of Roads & Bridges in New Terri-

tories,.

7,971.79

Gas Lighting, City & Hill District,

5,012.73

Electric Lighting, City,

2,146.43

Exhumation of remains in Cemeteries,.

3,924.83

Typhoon and Rainstorm Damages,.

24,534.63

Maintenance of City & Hill District Waterworks,

1,572.86

The principal decreases under the second item were as follows:-

Maintenance of Buildings in New Territories,...$ 3,220,21

Maintenance of Sewers, Nullahs, &c.,......

3,003.10

Maintenance of Praya Wall & Piers,

1,737.70

Maintenance of Public Cemeteries,

1,826.00

Maintenance of Public Recreation Grounds,.

1,455:29

Dredging Foreshores,

2,790.64

Maintenance of Shaukiwan Water Works,

1,232.09

The decrease in the third item may be ascribed entirely to the large sum ($364,979) expended in 1910 on resumptions of land intended for the site of the terminal station for the Railway and for the extension of the old Western Market during its reconstruction.

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