4117-1906-Financial-Returns--November-1905 — Page 1

Government Gazette 政府憲報 轅門報 All

THE HONGKONG GOVERNMENT GAZETTE, FEB. 2, 1906. 99

TREASURY.

No. 81. Receipts into and Payments out of the Treasury between 1st January and 30th November, 1905.

RECEIPTS.

Hongkong.

Crown Agents.

Total.

PAYMENTS,

Hongkong.

Crown Agents.

Total.

$

$

Balance in hand, 1st Jan., 1905,

326,413.17

326,413.17

Balance, 1st Jan., 1905,

12,155.48

12,155.48

Charge on Account of Public

Light Dues,

67,933.92

AA4

67,933.92

Debt,

162,753-17

162,753.17

Pensions,

45,967-75

145,370.42

191,338.17

Governor,

68,829.28

68,829.28

Licences and Internal Reve- nue not otherwise spe- cified,

Colonial Secretary's Dept.

and Legislature,

44,860.37

11,297-35

56,157.72

4,326,943.25

4.326.943.25

Audit Department,

8,617.01

3,965.81

12,582.82

Treasury,

40,210.47

7.722.55

47,933-02

Fees of Court or Office, Pay- ments for specific pur- poses, and Reimburse- ments in Aid,...

Post Office,

211,601.50

322,814.22

534,415.81

Registrar General's Dept.,.

29,001.62

29,001.62

Harbour Master's Dept.,

94,363.16

3.550.81

97,91397

377,057.05

7,484.21

384,541.26 Lighthouses,

29.267.05

5.371.50

34,638.55

Observatory,...

16,030.98

3:435.57

19,166.55

Botanical and Afforestation

Department,

37,891.96

1.597.83

39,489.79

Post Office,

395,034-43

395,934-43

Judicial and Legal Depts.,.

121,245.68

20,020.76

141,266.44

Ecclesiastical,

2,700.00

2,700.00

Education,

144.131.63

3,858.12

147,989.75

Rent of Government Pro-

perty, Land and Houses, 503,462.69

Medical Departments,

166,573.85

26,263.87

192,837-72

593,462.69 Magistracy,

31,642.69

31,642.69

Police,

573,471.94

39,387.71

612,859.65

Sanitary Department,..

348,377.81

10,602.73

358,980.54

Charitable Allowances,

3,450.87

103.22

Interest,

8,063.03 2,010.00

10,073.12

Transport,

4,712.60

4.753-14

3,554.09

9,465-74

Miscellaneous Services,

157,096.29

26,502.80 183,599.09

Military Expenditure,...

1,263,585.61

Miscellaneous Receipts,...

60,594.09

2,314.28

62,908.37

Public Works Department, Public Works, Recurrent, .

196,685.73

352,078.03

30,612.161,294,197.77

352,819.51

4,855-31 201,541.04

741.48

Water Account,

TOTAL, EXCLUSIVE |

of Land SALES, Í $5,819,090.04

Land Sales,

TOTAL REVENUE,...$6,127,087.55

80,001.58

80,001.58

TOTAL,

3.992,393-97

835,280.53 4,827,674.50

11,808.585,830,898.62

Public Works, Extraordinary, 1,156,004.29

225,905.64 1,381,909.93

307,997-51

397,997.51

11,808.58 6,138,896.13

TOTAL EXPENDITURE,

Deposits Available,

5,148,398.26 1,061,186.17 6,209,584 43

300,000.00

4,359,585.00 882,677-53

300,000.00

Do., Subsidiary Coins, 1,077,960.00

920,730.22

300,000.00 Da, Subsidiary Coins, 1,077,960.00 Deposits not Available,

920,730.22 Crown Agents' Account, 4,870,000.00 4,870,000.00

Do. Advance, 12,149,898.15 12,149,898.15| Advance Account,

Deposits Available,

Deposits not Available,

Crown Agents' Account,

Crown Agents' Advance,

Advance Account,...

Family Remittances,

18,939.28

Subsidiary Coins,

4,359,585.00

Money Order Account,

176,640.26

Suspense House Eervice,

24,067.29

Suspense Interest Account,

2,419.71

18,491,10 182,386.77 200,877.87 Family Remittances,

18,939.28 Subsidiary Coins, 4.359.585.00 Money Order Account,

176,640.26 Suspense Interest Account, 24,067.29 Suspense House Service,

2,419.71 Exchange,

TOTAL RECEIPTS, $13,023,500.70 17,216,513.21 30,240,013.91

TOTAL RECEIPTS WITH OPENING BALANCE,

BALANCE (OVERPAID), 30th Nov, 1905,

TOTAL,

13,349,913.87 17,216,513.21 30,566,427.08.

2,829,413.63 36,439-32 | 2,865,852.95 |

...$16,179,327.50 17,252,952.53 33,432,280.03

Viceroy of Wuchang, Loan

Account,

5,090,000.00

300,000.00 4,359,585.00

2,638.04 885,315.57

| 5,090,000.00

862,107.27 862,107.27 329,254.04 6,537.99 335,792.03 23,872.36 6,372.95 30,245.31

27,173.593,816,662.243,843,835.83 179,558.58 179,558.58 35,563.67 35,563.67

18.366.72

18,366.72

1,690.14

11,268,480.00 11,268,480.00

1,690.14

TOTAL PAYMENTS, ...$ 16,179,327.50 17,240,797.05 33,420,124.55

TOTAL PAYMENTS

WITH OPENING BALANCE,

16,179,327.50 17,252,952.53 33,432,280.03

TOTAL,

...$ 16,179,327.50 17,252,952.53 33,432,280.03

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