AnnualReport-1919 — Page 491

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Revenue Account for the Year ending 31st December, 1919.

Expenditure Amount 1919 Per cent. on Gross Receipts Amount 1918 To Maintenance of Way and Works, $63,622.68 12.98 $44,921.86 Traffic Expenses, $10,761.46 2.20 $16,203.82 General Charges, Miscellaneous Expenditure, Main Line. Loco, Carriage and Wagon Expenses, $132,353.37 Local. By Coaching Traffic, $144,307.69 Goods Sundry $11,434.27 $241,452.51 49.27 $159,318.65 $179,434.14 Foreign. By Coaching Traffic, $234,974.80 $272,588.56 Goods Sundry $25,254.88 Branch Line. To Maintenance of Way and Works, $7,087.32 1.63 $265,694.78 Loco, Carriage and Wagon Expenses, $1,381.51 0.32 Traffic Expenses, $681.96 0.14 $7,894.18 1.61 $3,578.78 By Coaching Traffic, $7,482.43 Goods Sundry $613.72 $8,330.89 $778.57 $356,221.07 82.22 $417,032.14 85.09 Balance (Net Earnings), $73,060.63 14.91 $77,053.36 $490,092.77 100.00 $433,274.43 $490,092.77 100.00

J. MORRIS,
Chief Accountant.

Kowloon, 13th April, 1920.

H. P. WINSLOW,
Manager.

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Revenue Account for the Year ending 31st December, 1919. Expenditure Amount 1919 Per cent. on Gross Receipts Amount 1918 To Maintenance of Way and Works, $63,622.68 12.98 $44,921.86 Traffic Expenses, $10,761.46 2.20 $16,203.82 General Charges, Miscellaneous Expenditure, Main Line. Loco, Carriage and Wagon Expenses, $132,353.37 Local. By Coaching Traffic, $144,307.69 Goods Sundry $11,434.27 $241,452.51 49.27 $159,318.65 $179,434.14 Foreign. By Coaching Traffic, $234,974.80 $272,588.56 Goods Sundry $25,254.88 Branch Line. To Maintenance of Way and Works, $7,087.32 1.63 $265,694.78 Loco, Carriage and Wagon Expenses, $1,381.51 0.32 Traffic Expenses, $681.96 0.14 $7,894.18 1.61 $3,578.78 By Coaching Traffic, $7,482.43 Goods Sundry $613.72 $8,330.89 $778.57 $356,221.07 82.22 $417,032.14 85.09 Balance (Net Earnings), $73,060.63 14.91 $77,053.36 $490,092.77 100.00 $433,274.43 $490,092.77 100.00 J. MORRIS, Chief Accountant. Kowloon, 13th April, 1920. H. P. WINSLOW, Manager.
Baseline (Original)
Amount 1918. Gross Receipts. Per cent. on Revenue Account for the Year ending 31st December, 1919. Expenditure. Amount 1919. Per cent, on Gross Receipts. Amount 1918. Earnings. Amount 1919. Total. $ C. 44,921.8610.37 To Maintenance 204,704.75 | 47.25 53,675,0112,39 40,716.60 9.40 64.50 *01 " " Works, Expenses, Traffic Expenses, General Charges, Miscellaneous Expenditure, Main Line. $ C. of Way and 63,622.68 12.98 Loco, Carriage and Wagon $ 132,353.37 10,761.46 16,203.82 C. Local. $ C. $3 C. By Coaching Traffic, 144,307.69 "} Goods Sundry 11,434.27 " ** 23,692.18 241,452.5149.27 59,139.63 12.07 159,318.65 179,434.14 40,593.20 8.28 Foreign. 69.20 .01 234,974.80 By Coaching Traffic,. 272,588.56 25,254.88 Branch Line. 27,967.80 2,752.18 11 "1 Goods Sundry }} 4,484,30 "} 3,669.52 .85 To Maintenance of Way and 265,69-1.78 302,327,74 Works, 3,578.78 .73 Branch Line. "} 7,087.32 1.63 Loco, Carriage and Wagon 1,381.51 .32 Traffic Expenses,. }" Expenses, 7,894.18 1.61 681.96 .14 7,482.43 778,57 By Coaching Traffic,. ,, Goods Sundry 7,717.17 613.72 " " 356,221.0782,22 $417,032.14 85.09 8,261,00 8,330.89 77,053.36 17.78 " Balance (Net Earnings), 73,060.63 14.91 $433,274.43 100.00 J. MORRIS, Chief Accountant. Kowloon, 13th April, 1920. $490,092.77 100.00 433,274.43 100.00 $ 490,092.77 H. P. WINSLOW, Manager. $ 10
2026-05-06 21:09:10 · Baseline
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Amount

1918.

Gross Receipts.

Per cent. on

Revenue Account for the Year ending 31st December, 1919.

Expenditure.

Amount 1919.

Per cent, on

Gross Receipts.

Amount 1918.

Earnings.

Amount

1919.

Total.

$

C.

44,921.8610.37 To Maintenance

204,704.75 | 47.25

53,675,0112,39 40,716.60 9.40

64.50 *01

"

"

Works,

Expenses,

Traffic Expenses,

General Charges,

Miscellaneous Expenditure,

Main Line.

$ C.

of Way and

63,622.68 12.98

Loco, Carriage and Wagon

$

132,353.37 10,761.46 16,203.82

C.

Local.

$ C.

$3

C.

By Coaching Traffic,

144,307.69

"}

Goods Sundry

11,434.27

"

**

23,692.18

241,452.5149.27

59,139.63 12.07 159,318.65

179,434.14

40,593.20 8.28

Foreign.

69.20 .01

234,974.80 By Coaching Traffic,.

272,588.56

25,254.88

Branch Line.

27,967.80 2,752.18

11

"1

Goods Sundry

}}

4,484,30

"}

3,669.52 .85

To Maintenance of Way and

265,69-1.78

302,327,74

Works,

3,578.78 .73

Branch Line.

"}

7,087.32 1.63 Loco, Carriage and Wagon

1,381.51 .32 Traffic Expenses,.

}"

Expenses,

7,894.18 1.61 681.96 .14

7,482.43 778,57

By Coaching Traffic,.

,,

Goods Sundry

7,717.17 613.72

"

"

356,221.0782,22

$417,032.14 85.09

8,261,00

8,330.89

77,053.36 17.78

"

Balance (Net Earnings),

73,060.63 14.91

$433,274.43 100.00

J. MORRIS,

Chief Accountant.

Kowloon, 13th April, 1920.

$490,092.77 100.00 433,274.43

100.00

$ 490,092.77

H. P. WINSLOW,

Manager.

$ 10

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