AnnualReport-1923 — Page 718

Administrative Reports 行政報告書 All AI Reviewed

Amount

1922.

Gross Receipts.

Per cent. on

Revenue Account for the Year ending 31st December, 1923.

Expenditure.

Amount 1923.

Per cent. on

Gross

Receipts.

Amount 1922.

Earnings.

Amount 1923.

Total.

$ c. % $ c. $ c. 83,888.30 11.81 323,063.80 45.48 Main Line. To Maintenance of Ways and Works, & Stations, Loco, Carriage and Wagon Department, 90,616.33 12.76 49,706.04 7.00 479.45 0.06 General Staff... Traffic Department, Miscellaneous Expenditure, $ c. % $ c. Local. 168,977.28 By Coaching Traffic, 96,430.29 20.31 Goods 10,389.14 Sundry 21,180.69 255,213.65 15,758.56 37,879.14 |278,568.18 58.68 86,049.36 18.13 200,547.11 308,851.35 46,749.35 9.85 40.00 0.01 Foreign. 438,904.28 By Coaching Traffic, |109,880.01 Branch Line. To Maintenance of Way and Works, & Stations, 4,135.12 0.58 Loco, Carriage and Wagon 9,489.33 1.34 55,624.94 6,285.68 500,814.90 Department, Traffic Department, 9,883.68 2.08 755.88 0.16 Goods 8,121.26 Sundry 812.48 35,279.29 23,765.98 11 8,287.95 153,447.25 5,036.39 1.06 Branch Line. By Coaching Traffic, 8,287.95 Goods 11,430.30 Sundry 992.88 31 $562,144.35 79.14 148,151.40 20.86 $710,295.75 100.00 Total Expenditure Loss on Working, $523,513.13 110.28 8,933.74 12,423.18 48,791.35 10.28 $474,721.78 100.00 710,295.75 $474,721.78

J. MORRIS,

Chief Accountant.

Kowloon, 14th March, 1924,

N.B. Figures printed in Italics are minus quantities.

H. P. WINSLOW, Manager.

S 16

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Amount 1922. Gross Receipts. Per cent. on Revenue Account for the Year ending 31st December, 1923. Expenditure. Amount 1923. Per cent. on Gross Receipts. Amount 1922. Earnings. Amount 1923. Total. $ c. % $ c. $ c. 83,888.30 11.81 323,063.80 45.48 Main Line. To Maintenance of Ways and Works, & Stations, Loco, Carriage and Wagon Department, 90,616.33 12.76 49,706.04 7.00 479.45 0.06 General Staff... Traffic Department, Miscellaneous Expenditure, $ c. % $ c. Local. 168,977.28 By Coaching Traffic, 96,430.29 20.31 Goods 10,389.14 Sundry 21,180.69 255,213.65 15,758.56 37,879.14 |278,568.18 58.68 86,049.36 18.13 200,547.11 308,851.35 46,749.35 9.85 40.00 0.01 Foreign. 438,904.28 By Coaching Traffic, |109,880.01 Branch Line. To Maintenance of Way and Works, & Stations, 4,135.12 0.58 Loco, Carriage and Wagon 9,489.33 1.34 55,624.94 6,285.68 500,814.90 Department, Traffic Department, 9,883.68 2.08 755.88 0.16 Goods 8,121.26 Sundry 812.48 35,279.29 23,765.98 11 8,287.95 153,447.25 5,036.39 1.06 Branch Line. By Coaching Traffic, 8,287.95 Goods 11,430.30 Sundry 992.88 31 $562,144.35 79.14 148,151.40 20.86 $710,295.75 100.00 Total Expenditure Loss on Working, $523,513.13 110.28 8,933.74 12,423.18 48,791.35 10.28 $474,721.78 100.00 710,295.75 $474,721.78 J. MORRIS, Chief Accountant. Kowloon, 14th March, 1924, N.B. Figures printed in Italics are minus quantities. H. P. WINSLOW, Manager. S 16
Baseline (Original)
Amount 1922. Gross Receipts. Per cent. on Revenue Account for the Year ending 31st December, 1923. Expenditure. Amount 1923. Per cent. on Gross Receipts. Amount 1922. Earnings. Amount 1923. Total. $ c. % 83,888.30 11.81 323,063.80 45-48 Main Line. To Maintenance of Ways and Works, & Stations, Loco, Carriage and Wagon Department,. General Staff... 90,616.3312-76 49,706.04 7:00 479.45 *06 " Traffic Department, "" Miscellaneous Expenditure, $ B c. % $ C. Local. $ c. GA c. |168.977.28 | By Coaching Traffic, 96,430.29 20:31 10,389.14 Goods "" 21,180.69 Sundry 255,213.65 15,758.56 37,879.14 |278,568.18 | 58:68 86,049.36 18:13 200,547.11 308,851.35 46,749.359-85 40.00 *01 Foreign. 438,904.28 By Coaching Traffic, |109,880.01 Branch Line. }} 4,135.12 *58 To Maintenance of Way and Works, & Stations, 9,489.33 134 Loco, Carriage and Wagon 55,624.94 6,285.68 500,814.90 }; Goods Sundry 35,279.29 23 8,287.95 153,447.25 5,036.39 1.06 Branch Line. 765.98 11 17 Department, Traffic Department, 9,883.68 2:08 755.88 •16 8,121.26 | By Coaching Traffic, 812.48 11 Goods Sundry 11,430.30 992.88 31 " $562,144.35 79-14 148,151.40 20-86 $710,295.75 100.00 Total Expenditure Loss on Working, $523,513.13 110-28 8,933.74 12,423.18 48,791.35 10:28 $474,721.78 100·00 710,295,75 $474,721.78 J. MORRIS, Chief Accountant. Kowloon, 14th March, 1924, N.B. Figures printed in Italics are minus quantities. H. P. WINSLOW, Manager. S 16
2026-05-07 06:05:31 · Baseline
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Amount

1922.

Gross Receipts.

Per cent. on

Revenue Account for the Year ending 31st December, 1923.

Expenditure.

Amount 1923.

Per cent. on

Gross

Receipts.

Amount 1922.

Earnings.

Amount 1923.

Total.

$

c.

%

83,888.30 11.81

323,063.80 45-48

Main Line.

To Maintenance of Ways and

Works, & Stations,

Loco, Carriage and Wagon

Department,.

General Staff...

90,616.3312-76 49,706.04 7:00 479.45 *06

"

Traffic Department,

""

Miscellaneous Expenditure,

$

B

c.

%

$

C.

Local.

$

c.

GA

c.

|168.977.28 | By Coaching Traffic,

96,430.29 20:31

10,389.14 Goods

""

21,180.69 Sundry

255,213.65 15,758.56 37,879.14

|278,568.18 | 58:68

86,049.36 18:13 200,547.11

308,851.35

46,749.359-85 40.00 *01

Foreign.

438,904.28 By Coaching Traffic,

|109,880.01

Branch Line.

}}

4,135.12 *58 To Maintenance of Way and

Works, & Stations,

9,489.33 134 Loco, Carriage and Wagon

55,624.94 6,285.68

500,814.90

};

Goods Sundry

35,279.29

23

8,287.95

153,447.25

5,036.39 1.06

Branch Line.

765.98 11

17

Department, Traffic Department,

9,883.68 2:08 755.88 •16

8,121.26 | By Coaching Traffic,

812.48

11

Goods Sundry

11,430.30 992.88

31

"

$562,144.35 79-14

148,151.40 20-86

$710,295.75 100.00

Total Expenditure

Loss on Working,

$523,513.13 110-28

8,933.74

12,423.18

48,791.35 10:28

$474,721.78 100·00 710,295,75

$474,721.78

J. MORRIS,

Chief Accountant.

Kowloon, 14th March, 1924,

N.B. Figures printed in Italics are minus quantities.

H. P. WINSLOW, Manager.

S 16

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