DEPARTMENT OF SUPPLIES AND DISTRIBUTION HONG KONG
MARKETING SECTION
REALISATION ACCOUNT for the PERIOD from 1st MAY 1946 to 31st MARCH 1950
Charges for Goods received,
including provision for liabilities under Financial Settlement
Landing and Handling Charges
Storage Charges and Incidental
Expenses
Bank Charges on Remittances
Share of Vote Head Expenditure:
$ 269,924 | 68|
1946/47
!
1947/48
1948/49
1949/50
Bad Debts written off
Balance, being Surplus of
Realisations over Payments
HK$
Sales
139,025,077 | 55|
863,207 55
Balance of Realisations
Stocks
-
B.M.A.
Commissions
Stocks at 31st March 1950
1,542,800 63
35,759 28
308,478 23
229,577 77
193.949. 55
1,001,930 23
11.818 00
142,480,593 24
17,776,955 07
$160,257,548 | 31|
SCHEDULE III
58
HK$
154,198,625 83
607,779 11
412,592 90
5,038,550 47
|$160,257,548 | 31
No comments yet.
Private notes are available after approval.