AnnualReport-1912 — Page 469

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Table III.

Revenue and Expenditure.

Receipts.

1910.

1911.

Increase Decrease.

$

$

$

Expenditure.

1910.

1911.

Increase!

Increase. Decrease.

Sale of Postage Stamps, H K 338,773.69 346,216.77 7,433.08 Do., Unpaid Postage, 128,665.12 12,983.81 115,681.31 Agencies, 4,827.25 7,652.50 2,825.25 Boxholders' Fees, 3,750.87 1,076.38 2,674.49 Commission on Money Orders and Postal Notes, 4,421.50 3,231.00 1,190.50 Profit on Exchange on Money Order Transactions, Interest on Money Order Fund, Void Money Orders & Postal Notes, Carriage of Mails:- Gratuities to Shipmasters Share of P. & C. Mail Subsidy, 8,003.02 7,997.75 5.27 19,915.84 12,667.46 7,248.38 Transit Payments, 125,526.74 117,774.87 134,116.80 142,169.34 8,052.54 Working Expenses, 203,737.79 151,326.01 52,411.78 17,838.67 1,321.64 16,517.03 73.83 1,032.79 958.96 17,991.99 158.32 17,833.67 288.85 121.96 166.89 48.13 48.13 Total Receipts, $ 519,066.54 399,217.16 7,679.53 127,528.92 Deficit, 23,050.82 23,050.82 Total Expenditure, $ 470,984.35 422,207.97 8,052.54 56,768.92 Profit, 48,082.19 48,082.19 Total, $ 519,066.54 422,267.97 Total, $519,066.54 422,267.97

10

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Table III. Revenue and Expenditure. Receipts. 1910. 1911. Increase Decrease. $ $ $ Expenditure. 1910. 1911. Increase! Increase. Decrease. Sale of Postage Stamps, H K 338,773.69 346,216.77 7,433.08 Do., Unpaid Postage, 128,665.12 12,983.81 115,681.31 Agencies, 4,827.25 7,652.50 2,825.25 Boxholders' Fees, 3,750.87 1,076.38 2,674.49 Commission on Money Orders and Postal Notes, 4,421.50 3,231.00 1,190.50 Profit on Exchange on Money Order Transactions, Interest on Money Order Fund, Void Money Orders & Postal Notes, Carriage of Mails:- Gratuities to Shipmasters Share of P. & C. Mail Subsidy, 8,003.02 7,997.75 5.27 19,915.84 12,667.46 7,248.38 Transit Payments, 125,526.74 117,774.87 134,116.80 142,169.34 8,052.54 Working Expenses, 203,737.79 151,326.01 52,411.78 17,838.67 1,321.64 16,517.03 73.83 1,032.79 958.96 17,991.99 158.32 17,833.67 288.85 121.96 166.89 48.13 48.13 Total Receipts, $ 519,066.54 399,217.16 7,679.53 127,528.92 Deficit, 23,050.82 23,050.82 Total Expenditure, $ 470,984.35 422,207.97 8,052.54 56,768.92 Profit, 48,082.19 48,082.19 Total, $ 519,066.54 422,267.97 Total, $519,066.54 422,267.97 10
Baseline (Original)
1 Table III. Revenue and Expenditure. Receipts. 1910. 1911. Increase Decrease. $ $ $ Expenditure. 1910. 1911. Increase! Increase. Decrease. Sale of l'ostage Stamps, H K......338.773.69 346,216.77 7,433.08 Do., Unpaid Postage,. Agencies,. Boxholders' Fees,... Commission on Money Orders and Postal Notes,. Profit on Exchange on Money Order Transactions, Interest on Money Order Fund, Void Money Orders & Postal Notes, Carriage of Mails:- 128,665.12 12,983.81 115.681 31 4 827 25 7,652.50 3,750.87 1,076 38 4 421,50 3,231 00 Gratuities to Shipmasters Share of P. & C. Mail Subsidy, 8,003 02 7,997.75 5.72 I 19,915.84 12,667.46 7,251.38 Transit Payments, 125,526.74 117,774.87 134,116 80 142.169.34 8,052.54 Working Expenses, .....203, -37.79 151,326.01 7,751.87 49,011.78 17.838.67 1,321,64 73 83 17,991 99 1,032.79 158.32 288 85 121.96 48.13 Total Receipts,.........$ 519,066.54 399,217 16 7,679.53 127,528.92 Deficit,. 23.050.82 Total Expenditure,...$ 470,984.35 422,207.97 8,052.54 56,768.92 Profit, 48,082.19 Total,.............$ 519,066.54 422,267.97 10 Total, $519,066.54 422,267.97 ++
2026-05-06 06:09:11 · Baseline
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1

Table III.

Revenue and Expenditure.

Receipts.

1910.

1911.

Increase Decrease.

$

$

$

Expenditure.

1910.

1911.

Increase!

Increase. Decrease.

Sale of l'ostage Stamps, H K......338.773.69 346,216.77 7,433.08

Do.,

Unpaid Postage,.

Agencies,.

Boxholders' Fees,...

Commission on Money Orders

and Postal Notes,.

Profit on Exchange on Money

Order Transactions, Interest on Money Order Fund, Void Money Orders & Postal

Notes,

Carriage of Mails:-

128,665.12

12,983.81

115.681 31

4 827 25 7,652.50

3,750.87

1,076 38

4 421,50

3,231 00

Gratuities to Shipmasters Share of P. & C. Mail

Subsidy,

8,003 02

7,997.75

5.72

I

19,915.84 12,667.46

7,251.38

Transit Payments,

125,526.74 117,774.87 134,116 80 142.169.34 8,052.54 Working Expenses, .....203, -37.79 151,326.01

7,751.87

49,011.78

17.838.67 1,321,64

73 83

17,991 99 1,032.79

158.32

288 85

121.96 48.13

Total Receipts,.........$ 519,066.54 399,217 16 7,679.53 127,528.92

Deficit,.

23.050.82

Total Expenditure,...$ 470,984.35 422,207.97 8,052.54 56,768.92

Profit,

48,082.19

Total,.............$ 519,066.54 422,267.97

10

Total,

$519,066.54 422,267.97

++

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