AnnualReport-1928 — Page 716

Administrative Reports 行政報告書 All AI Reviewed

Items chargeable to Capital.

S 11.-

Detailed Statement of Special Expenditure and transfer for the year 1928.

Estimates Expenditure during the year. Allocations. Machines for Workshops. 9,500.00 6,575.93 C-12-2 04 3,508.92 Improvements and Alterations to Taipo Market Station..! 12,500.00 * 9,640.00 C-9 21,027.31 C-10 9,758.54 C-11-2 3,375.84 C-9-1 4,384.01 C-9-2 544.87 1,906.58 Disposal of Fanling Branch Line Permanent Way 4,973.00 2,538.05 C-15-1 74.37 Fanling Branch. C-15-2 6.12 C-15-3 6.11 C-9-1 $ 675.00 Re-railing Tunnel No. 2 25,650.00 23,736.22 C-9-2 21,006.59 C-9-3 2,054.63 Transfer. 53,877.51 Part cost of underground cable for Telegraph and Telephone lines 30,000.00 C-8

Items chargeable to Revenue and debited to Operating Expenses,

Special Repairs to Fanling Branch Line 9,000.00 + Locomotive Shed, Carriage Shed and Workshop for Fanling Branch Line Rolling Stock 2,788.00 2,317.72 New Roofing to Workshops... 1,760.00 1,073.72 New Asbestos Sheet Roofing to Railway Quarters Printing of Staff Rules Tariff Books etc. ** 4,330.00 4,329.81 1,620.00 1,116.07 Other Charges. E-5-11 New Minor Work, F. B. E-5-8 Central Mechanical Works. E-5-7-3 Repairs, Staff Quarters. E-2-5 Printing, Stationery and Tickets.

Items chargeable to Government

Total.................

8,837.32

81,761.00

92,714.83

* Items voted subsequent to the preparation of the 1928 estimates.

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Items chargeable to Capital. S 11.- Detailed Statement of Special Expenditure and transfer for the year 1928. Estimates Expenditure during the year. Allocations. Machines for Workshops. 9,500.00 6,575.93 C-12-2 04 3,508.92 Improvements and Alterations to Taipo Market Station..! 12,500.00 * 9,640.00 C-9 21,027.31 C-10 9,758.54 C-11-2 3,375.84 C-9-1 4,384.01 C-9-2 544.87 1,906.58 Disposal of Fanling Branch Line Permanent Way 4,973.00 2,538.05 C-15-1 74.37 Fanling Branch. C-15-2 6.12 C-15-3 6.11 C-9-1 $ 675.00 Re-railing Tunnel No. 2 25,650.00 23,736.22 C-9-2 21,006.59 C-9-3 2,054.63 Transfer. 53,877.51 Part cost of underground cable for Telegraph and Telephone lines 30,000.00 C-8 Items chargeable to Revenue and debited to Operating Expenses, Special Repairs to Fanling Branch Line 9,000.00 + Locomotive Shed, Carriage Shed and Workshop for Fanling Branch Line Rolling Stock 2,788.00 2,317.72 New Roofing to Workshops... 1,760.00 1,073.72 New Asbestos Sheet Roofing to Railway Quarters Printing of Staff Rules Tariff Books etc. ** 4,330.00 4,329.81 1,620.00 1,116.07 Other Charges. E-5-11 New Minor Work, F. B. E-5-8 Central Mechanical Works. E-5-7-3 Repairs, Staff Quarters. E-2-5 Printing, Stationery and Tickets. Items chargeable to Government Total................. 8,837.32 81,761.00 92,714.83 * Items voted subsequent to the preparation of the 1928 estimates.
Baseline (Original)
Items chargeable to Capital. S 11.- Detailed Statement of Special Expenditure and transfer for the year 1928. Estimates Expenditure for the year. during the year. Allocations. Machines for Workshops. 9,500.00 6,575.93 C-12-2 04 3,508.92 Improvements and Alterations to Taipo Market Station..! 12,500.00 * 9,640.00 C-9 21,027.31 9,758.54 C-10 3,375.84 C-11-2 4,384.01 C-9-1 544.87 C-9-2 1,906.58 Disposal of Fanling Branch Line Permanent Way 4,973.00 2,538.05 C-15-1 74.37 Fanling Branch. C-15-2 6.12 C-15-3 6.11 C-9-1 $ 675.00 Re-railing Tunnel No. 2 25,650.00 23,736.22 C-9-2 21,006.59 C-9-3 2,054,63 Transfer. 53,877,51 Part cost of underground cable for Telegraph and Telephone lines 30,000.00 C-8 Items chargeable to Revenue and debited to Operating Expenses, Special Repairs to Fanling Branch Line 9,000,00 + Locomotive Shed, Carriage Shed and Workshop for Fanling Branch Line Rolling Stock 2,788.00 2,317.72 New Roofing to Workshops... 1,760.00 1,073,72 New Asbestos Sheet Roofing to Railway Quarters Printing of Staff Rules Tariff Books etc. ** 4,330.00 4,329.81 * 1,620.00 1,116.07 Other Charges. E-5-11 New Minor Work, F. B. E-5-8 Central Mechanical Works. E-5-7-3 Repairs, Staff Quarters. E-2-5 Printing, Stationery and Tickets. Items chargeable to Government Total................. 8,837.32 81,761.00 92,714.83 * Items voted subsequent to the preparation of the 1928 estimates.
2026-05-09 00:54:15 · Baseline
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Items chargeable to Capital.

S 11.-

Detailed Statement of Special Expenditure and transfer for the year 1928.

Estimates

Expenditure

for the year. during the year.

Allocations.

Machines for Workshops.

9,500.00

6,575.93

C-12-2

04

3,508.92

Improvements and Alterations to Taipo Market Station..!

12,500.00 * 9,640.00

C-9

21,027.31

9,758.54

C-10

3,375.84

C-11-2

4,384.01

C-9-1

544.87

C-9-2

1,906.58

Disposal of Fanling Branch Line Permanent Way

4,973.00

2,538.05

C-15-1

74.37 Fanling Branch.

C-15-2

6.12

C-15-3

6.11

C-9-1 $ 675.00

Re-railing Tunnel No. 2

25,650.00

23,736.22

C-9-2 21,006.59 C-9-3

2,054,63

Transfer.

53,877,51

Part cost of underground cable for Telegraph and

Telephone lines

30,000.00

C-8

Items chargeable to Revenue and debited to

Operating Expenses,

Special Repairs to Fanling Branch Line

9,000,00

+

Locomotive Shed, Carriage Shed and Workshop for

Fanling Branch Line Rolling Stock

2,788.00

2,317.72

New Roofing to Workshops...

1,760.00

1,073,72

New Asbestos Sheet Roofing to Railway Quarters Printing of Staff Rules Tariff Books etc.

**

4,330.00

4,329.81

*

1,620.00

1,116.07

Other Charges.

E-5-11 New Minor Work, F. B. E-5-8 Central Mechanical Works. E-5-7-3 Repairs, Staff Quarters. E-2-5 Printing, Stationery and

Tickets.

Items chargeable to Government

Total.................

8,837.32

81,761.00

92,714.83

* Items voted subsequent to the preparation of the 1928 estimates.

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