33
Dr.
APPENDIX IV-Contd.
FIRE SERVICES DEPARTMENT
WELFARE FUND
INCOME AND Expenditure Account
- FOR THE YEAR ended 31st March, 1963
Cr.
EXPENDITURE
INCOME
$
Recompensing members for extra services
Outright grants to members and stations
35,606.00
Fines
$
610.42
22,643.49
Fees for Firemen's Services
:
66,343.50
Bad Debts written off
2,640.00
Donations
250.00
Depreciation on investments
1,280.00
Interest
Balance being excess of income over
On Investments .......
**
expenditure
7.371.02
On Fixed Deposits
490.00
1,846.59
2,336.59
$69,540.51
1
$69,540.51
J. MILNER,
Dep. Director of Fire Services. Aug., 1963.
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