Particulars.
S 17
Detailed Statement of Special Expenditure for the year 1933.
Items chargeable to Capital Account.
Sub-heads
35 Extension to Painting Shop
42 Underground Cable at Workshops
Items chargeable to Revenue Account and debited
to Operating Expenses.
Estimates
for the year.
Expenditure during the year.
$ 12,200.00
8,359.55
6,850.00
4,995.64
13,355.19
Allocations.
C-12-1 Buildings and Fixtures (Cen.
Mech. Works).
C-12-1 Buildings and Fixtures (Cen.
Mech. Works).
34 Installation of Electric Lighting at Taipo, Taipo
Market and Fauling Stations...
5,870.00
36 Flush System to Workshop Latrine
3,720.76
3,600.00
37 Furniture for Staff Quarters
3,341.76
1,650.00
38 Heavy Repairs to Taipo Pier...
1,410,00
10,000.00
39 Protection Works to Mile 63
4,781.77
300.00
175.41
41 Rewiring Workshops Internally
9,000.00
43 Waiting Shelter, Fanling Station
6,611.33
1.200.00
Improvement to Taipo Market Station (South) Conversion of Car Shed to Staff Quarters
1,097.51
**
5,250 00
3,337,98
E-5-11
*
410.00
403.30
Items chargeable to Depreciation Reserves.
24,879.82
E-5-11 New Minor Works.
E-5-8 Central Mechanical Works.
E-5-7-3 Staff Quarters.
E-5-15-2 Maintenance.
E-5 2 Formation and Line Protection.
E-4-9 Central Mechanical Works.
E-5-11 New Minor Works.
Do.
E-5-7-3 Staff Quarters.
40 Reconditioning Two Locomotive Boilers 44 New Bodywork for 4 Coaches
34,286.00
40,000.00
29,558.69
39,969.74
B-3-3 Depreciation Reserves.
Do.
69,528.43
Items chargeable to Government.
Total
$130,410.00
$ 107,763.44
* Items voted subsequent to the preparation of 1933 Estimates.
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