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3. There shall be payable in respect of any deposit or substituted deposit which takes the form of leasehold property or other securities a fee of ten cents for every hundred dollars of accepted value.
4. There shall be payable for each certificate issued by the Registrar of Companies a fee of five dollars.
5. There shall be payable for each copy signed by the Registrar of Companies as being a true copy of a document filed with him a fee of forty cents per folio of 72 words.
6. There shall be payable for each search relating to an insurance company a fee of one dollar.
SECOND SCHEDULE.
FORM NO. 1.
Revenue Account of the......
for the year ending.
in respect of Fire (and/or Marine) Insurance Business.
$ c.
Amount of fire (and/or
marine) insurance
fund at the beginning
of the year-
Reserve for unexpired
risks.
Additional reserve (if
any).
$
0.
Claims under policies paid
and outstanding
Commission
Expenses of management
Contributions to fire brigades
Other payments (accounts to
be specified).
Premiums
C.
Interest, dividends, and
rents........
Less income-tax
thereou
Other receipts (accounts to be
specified)
Amount of fire (and/or marine) insurance fund at the end of the year as per Form No. 3......
Reserve for unex- pired risks being per cent
of premium income for the year
Additional reserve
(if any)....
$ 0.
.19......
$e.
NOTE 1.-Items in this account to be the net amounts after deduction of the amounts paid in respect of re-insurances of the insurance company's risks.
NOTE 2.-If any sum has been deducted from the expenses of manage- ment account, and taken credit for in the balance sheet as an asset, the sum so deducted to be separately shown in the above account.
FORM NO. 2.
Profit and Loss Account of the.
..for the year ending.. 19....
$ 0.
Balance of last year's account
Dividends and bonuses to
shareholders...
$ c.
Expenses not charged to other
Interest and dividends not carried to other accounts... ...
accounts
Less income tax
thereon
Profit realised (accounts to be
specified)
Other receipts (accounts to be
specified)
Loss realised (accounts to be
specified)
Other payments (accounts
to be specified)
Balance as per Form No. 3
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