CO129-541-2 Estimates 1931 14-10-1932 - 19-7-1934 — Page 295

CO129 Colonial Office Hong Kong Records 理藩院香港檔案 All

Summary Statement of Expenditure from Loan Account and Surplus Balances showing amounts expended to 31st December, 1931,

and Estimated Expenditure for Subsequent Years.

Works.

LOAN WORKS authorized in the Schedule of Ordinance

No. 14 of 1927.

Revised Estimated Cost.

Expended from Loan Funds.

Expended from Surplus Balances to 31. 12. 31.

1933.

1934.

Revised Es- timated Ex- Estimated Estimated Estimated Estimated Estimated penditure from Expenditure Expenditure Expenditure Expenditure Expenditure

Surplus Bul- ances 1932,

1935.

1936.

1937.

HEAD 1.-Water Works Development.

SUB-HEAD 1-Shing Mun Valley Scheme

4,166,960.68 | 3,500,000.00 337,562.68

263,000.00

€6,398.

HEAD 2.- Aerodrome and Harbour Development.

SUB-HEAD 1. Harbour Development

474,854.63 474,854.63

SUB-HEAD 2.- Aerodrome

2,797,812.70

1,083,270.32 †1,504,735 03

109,807.35

-----

347

114

ADDITIONAL WORKS.

Aberdeen Valley Water Scheme.

2,529,000.00

+

1,868,983.12

do.

do.

Shing Mun Valley Scheme-2nd Section Preliminary Works

Filters.. Gorge Dam...

50,000.00

30,399.17

347,016.88 9,600.83

263,000. 10,000.

50,000.

do.

124,000.00

88,831.34

35,168.66

A

do.

9,200,000.00

75,000,00

Vebicular Ferry.

1,500,000,00

417,906.28

912.093.72

New Gaol at Wong Ma Kok

4,500,000.00

50,000.00

Tytam Tuk Catchwaters

690,000.00

1,525,000. 2,300,000.

170,000. 500,000. 2,300,000. 1,650,000. 300,000.

2,300,000. 2,300,000.

700,000.

390,000,

Total

$ 26,032,628.01

5,058,124,95 4,348,417.62 1,801,687.44

2,834,398. 5,040,000. 3,950,000.

2,300,000.

700,000.

DEDUCT.

Received from Hong Kong & Kowloon Wharf and Godown Co. towards Harbour Development

Contribution by Imperial Government towards cost of Aerodrome £70,000

do.

£30,000

Received from Air Ministry

$ 58,124.95

692,783.50*

425,092.25

on account of Slipway £8,000 do. Hangars £3,500

171,620.11*

49,594.10 $1,397,214.91

58,124.95 864,403.61

474,686.35

Total.....

Met from Public Works Loan Account

To be met from Surplus Balances or further Loan when

raised

$24,635,413.10 5,000,000.00 3,484,014.01 1,827,001.09 2,834,398.

$5,000,000.00

5,040.000. 3,950,000.

Includes items marked.*

$ 19,635,413,10

A

Appendix V (B).

2,300,000.

700,000.

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