KOWLOON.
Expenditure.
12. Typhoon and Rainstorm Damages
13. Water Works
$ 2,407.68 33,529.73
(iii) Savings under this Head were largely due to some works, for which substantial sums were allocated, not being proceeded with during the year on account of the necessity for economy.
Comparison of Expenditure, 1929 and 1930.
3. The following is a Statement of the Expenditure of 1930 as compared with that of the previous year:-
1929 1930 Increase Decrease C. C. (i) Personal Emoluments *1,358,196.24 †1,915,727.39 557,531.15 220,173.20 224,914.77 4,741.57 (ia) Other Charges, (iB) Special Expenditure, 430,218.28 (ii) Annually Recurrent Works, 69,141.61 1,464,558.35 1,564,118.43 99,560.08 (iii) Extraordinary Works, 2,125,974.96 861,076.67 1,264,898.29 *5,599,121.03 †6,624,401.03 1,386,356.67 361,076.67 (iv) Works undertaken on P.W.D. Loan Account. 839,387.54 911,598.60 72,211.06 (v) Works undertaken on Advance Account from Surplus Balance of the Colony, 596,188.32 618,087.23 21,898.91 (vi) Works undertaken on behalf of Participants P.E.R. 579,396.64 271,765.14 307,631.50 (vii) Works undertaken on behalf of War Memorial Nursing Home Trustees and other private lots owners and Military authorities etc. 33,500.32 22,242.19 11,258.13 Total, $7,647,593.85 $8,478,094.19 1,510,466.64 679,966.30*Includes Personal Emoluments of Senior and Junior Clerical Services amounting to $135,307.54.
†Includes Personal Emoluments of Senior and Junior Clerical Services amounting to $176,483.69.
Q 7
KOWLOON.
Expenditure.
12. Typhoon and Rainstorm Damages
13. Water Works
$ 2,407.68 33,529.73
(iii) Savings under this Head were largely due to some works, for which substantial sums were allocated, not being proceeded with during the year on account of the necessity for economy.
Comparison of Expenditure, 1929 and 1930.
3. The following is a Statement of the Expenditure of 1930 as compared with that of the previous year:-
1929.
1930.
Increase.
Decrease.
C.
..
(.
C.
(i) Personal Emoluments *1,358,196.24 |†1,915,727.39 557,581.15
220,173.20 224,914.77 4,741.57
(ia) Other Charges,
(iB) Special Expenditure, 430,218.28
(ii) Annually Recurrent
Works,
........
69,141.61
1,464,558.35 1,564,118.43 99,560.08
(iii) Extraordinary Works, 2,125,974.96
861,076,67
2,850,498.83 724,523.87
•
*5,599,121.03†6,624,401.03 1,386,356.67
361,076.67
(iv) Works undertaken on P.W.D. Loan Ac- count.
839,387.54
911,598.60 72,211.06
(♥) Works undertaken on Advance Account from Surplus Balance of the Colony,
(vi) Works
undertaken
on behalf of Parti- cipants P.E.R.
(vii) Works undertaken
on behalf of War Memorial Nursing Home Trustees and other private lots owners and Military authorities etc......................
596,188.32
618,087.23 51,898.91
579,396.64
271,765.14
33,500.32
22,242.19
307,631.50
11,258 13
Total,.... $7,647.593.85 +8,478,094.19 1,510,466.64 679,966.30
*Includes Personal Emoluments of Senior and Junior Clerical Services
amounting to $135,307.54.
t Includes Personal Emoluments of Senior and Junior Clerical Services
amounting to $176,483.69.
No comments yet.
Private notes are available after approval.