AnnualReport-1936 — Page 860

Administrative Reports 行政報告書 All AI Reviewed

Dr.

Balance at beginning

of year.

$ 44

Statement No. 6—

ASSETS OR DEBIT BALANCE.

Balance at

Heads of Classifications.

close of

Increase.

Decrease.

Year.

C.

B-6 Investment Assets :--

20,448,395.75

$

C.

B-6-1 Cost of Road and Equipment

20,462,339.30

B-6-2 Cost of Other Physical Property

B-6-3 Cost of Non-Physical Assets

C.

13,943.55

20,448,395.75;

Total Investment Assets

20,462,339.30

13,943.55

B-7 Working Assets :-

33.48

B-7-1 Cash

43.63

10.15

B-7-2 Loans and Bills of Exchange

B-7-3 Traffic Balances receivable

Š

B-7-3-1 Government Railways

B-7-3-2 Private Companies

16,801.83:

B-7-3-3 Home Line

21,376.21

4,574.38

B-7-4 Other Accounts receivable

B-7-4-1 Other Railways

B-7-4-2 Sundry Debtors

27,670.27

B-7-4-3 Advance Account

27,670.27

137,344.67

151.02

B-7-5 Stores

123,141.37

14,203.30

B-7-5-1 Workshop Suspense

320.57

169.55

182,001.27

Total Working Assets

144,881.78

4,754.08

41,873.57

B-8 Deferred Debit Items :-

B-8-1 Temporary Advance to Govt.

B-8-2 Payments made in advance

(a)

28,362.64

28,362.64

B-8-3 Unextinguished Discounts on

Funded Debt

B-8-4

Abandoned Property not

8,288,129.67

28,918,526.69

charged off

B-8-5 Special Funds

B-8-6 Miscellaneous Deferred Debits

Total Deferred Debits

28,362.64

28,362.64

357,257.17

B-9 Balance or Accumulated Deficit

7,930,872.50

Grand Total

$ | 28,566,456.22

47,060.27

399,130.74

(a) Head B-8-2 includes :-

7/8 cost of Re-railing Tunnel No. 2

2/3 cost of Creosoting Plant

$27,376.07

986.57

$28,362.64

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2026-05-10 04:11:18 · NVIDIA / meta/llama-4-maverick-17b-128e-instruct
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Dr. Balance at beginning of year. $ 44 Statement No. 6— ASSETS OR DEBIT BALANCE. Balance at Heads of Classifications. close of Increase. Decrease. Year. C. B-6 Investment Assets :-- 20,448,395.75 $ C. B-6-1 Cost of Road and Equipment 20,462,339.30 B-6-2 Cost of Other Physical Property B-6-3 Cost of Non-Physical Assets C. 13,943.55 20,448,395.75; Total Investment Assets 20,462,339.30 13,943.55 B-7 Working Assets :- 33.48 B-7-1 Cash 43.63 10.15 B-7-2 Loans and Bills of Exchange B-7-3 Traffic Balances receivable Š B-7-3-1 Government Railways B-7-3-2 Private Companies 16,801.83: B-7-3-3 Home Line 21,376.21 4,574.38 B-7-4 Other Accounts receivable B-7-4-1 Other Railways B-7-4-2 Sundry Debtors 27,670.27 B-7-4-3 Advance Account 27,670.27 137,344.67 151.02 B-7-5 Stores 123,141.37 14,203.30 B-7-5-1 Workshop Suspense 320.57 169.55 182,001.27 Total Working Assets 144,881.78 4,754.08 41,873.57 B-8 Deferred Debit Items :- B-8-1 Temporary Advance to Govt. B-8-2 Payments made in advance (a) 28,362.64 28,362.64 B-8-3 Unextinguished Discounts on Funded Debt B-8-4 Abandoned Property not 8,288,129.67 28,918,526.69 charged off B-8-5 Special Funds B-8-6 Miscellaneous Deferred Debits Total Deferred Debits 28,362.64 28,362.64 357,257.17 B-9 Balance or Accumulated Deficit 7,930,872.50 Grand Total $ | 28,566,456.22 47,060.27 399,130.74 (a) Head B-8-2 includes :- 7/8 cost of Re-railing Tunnel No. 2 2/3 cost of Creosoting Plant $27,376.07 986.57 $28,362.64
Baseline (Original)
Dr. Balance at beginning of year. - S 44 Statement No. 6— ASSETS OR DEBIT BALANCE. Balance at Heads of Classifications. close of Increase. Decrease. Year. C. B-6 Investment Assets :-- 20,448,395.75 $ C. B-6-1 Cost of Road and Equipment 20,462,339,30 B-6-2 Cost of Other Physical Property B-6-3 Cost of Non-Physical Assets C. 13,943.55 20,448,395.75; Total Investment Assets 20,462,339.30 13,943.55 B-7 Working Assets :- 33.48 B-7-1 Cash 43.63 10.15 B-7-2 Loans and Bills of Exchange B-7-3 Traffic Balances receivable Š B-7-3-1 Government Railways B-7-3-2 Private Companies 16,801.83: B-7-3-3 Home Line 21,376.21 4,574.38 B-7-4 Other Accounts receivable B 7-4-1 Other Railways B-7-4-2 Sundry Debtors 27,670.27 B-7-4-3 Advance Account 27,670.27 137,344.67 151.02 B-7-5 Stores 123,141.37 14,203.30 B-7-5-1 Workshop Suspense 320.57 169.55 182,001.27 Total Working Assets 144,881.78 4,754.08 41,873.57 B-8 Deferred Debit Items :- B-8-1 Temporary Advance to Govt. B-8-2 Payments made in advance (a) 28,362.64 28,362.64 B-8-3 Unextinguished Discounts on Funded Debt B-8-4 Abandoned Property not 8,288,129.67 28,918,526.69 charged off B-8-5 Special Funds B-8-6 Miscellaneous Deferred Debits Total Deferred Debits 28,362.64 28,362.64 357,257.17 B-9 Balance or Accumulated Deficit 7,930,872.50 Grand Total $ | 28,566,456,22 47,060.27 399,130.74 (a) Head B-8-2 includes :- 7/8 cost of Re-railing Tunnel No. 2 2/3 cost of Creosoting Plant $27,376.07 986.57 $28,362.64
2026-05-10 04:11:18 · Baseline
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Dr.

Balance at beginning

of year.

- S 44

Statement No. 6—

ASSETS OR DEBIT BALANCE.

Balance at

Heads of Classifications.

close of

Increase.

Decrease.

Year.

C.

B-6 Investment Assets :--

20,448,395.75

$

C.

B-6-1 Cost of Road and Equipment 20,462,339,30 B-6-2 Cost of Other Physical

Property

B-6-3 Cost of Non-Physical Assets

C.

13,943.55

20,448,395.75;

Total Investment Assets

20,462,339.30

13,943.55

B-7 Working Assets :-

33.48

B-7-1 Cash

43.63

10.15

B-7-2 Loans and Bills of Exchange B-7-3 Traffic Balances receivable

Š

B-7-3-1 Government Railways

B-7-3-2 Private Companies

16,801.83:

B-7-3-3 Home Line

21,376.21

4,574.38

B-7-4 Other Accounts receivable

B 7-4-1 Other Railways

B-7-4-2 Sundry Debtors

27,670.27

B-7-4-3 Advance Account

27,670.27

137,344.67 151.02

B-7-5 Stores

123,141.37

14,203.30

B-7-5-1 Workshop Suspense

320.57

169.55

182,001.27

Total Working Assets

144,881.78

4,754.08

41,873.57

B-8 Deferred Debit Items :-

B-8-1 Temporary Advance to Govt. B-8-2 Payments made in advance

(a)

28,362.64

28,362.64

B-8-3 Unextinguished Discounts on

Funded Debt

B-8-4

Abandoned Property not

8,288,129.67

28,918,526.69

charged off

B-8-5 Special Funds

B-8-6 Miscellaneous Deferred Debits

Total Deferred Debits

28,362.64 28,362.64

357,257.17

B-9 Balance or Accumulated Deficit 7,930,872.50

Grand Total

$ | 28,566,456,22 47,060.27 399,130.74

(a) Head B-8-2 includes :-

7/8 cost of Re-railing Tunnel No. 2 2/3 cost of Creosoting Plant

$27,376.07 986.57

$28,362.64

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