6403-1907-Financial-Returns-January-1907 — Page 1

Government Gazette 政府憲報 轅門報 All

THE HONGKONG GOVERNMENT GAZETTE, APRIL 12, 1907.

447

TREASURY.

No. 255.-Receipts into and Payments out of the Treasury between 1st January and 31st January, 1907.

RECEIPTS.

Hongkong.

Crown Agents.

Total.

PAYMENTS.

Hongkong.

Crown Agents.

Total.

$

8

Balance, 1st Jan., 1907, ...

81,532.55

19,685,83

101,218.38 Charge on Account of Pub-

lie Debt,

Pensions,

Governor,

3,496.76 5.129.49

739.18 18,719.67 15.33

739.18 22,216.43

5,144.82

Light Dues,

7,019.87

7,019.87

Colonial Secretary's Dept.

and Legislature,

4,036.60

491.22

4.527.82

Registrar General's Dept.,..

3,157.09

3,157.09

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

Audit Department,

731.90

731.90

Treasury,

4,279.76

941.85

5,221.61

466,291.81

466,291.81

Post Office,

14,694.68

3,235.41

17,930.09

Fees of Court or Office, Pay-

Harbour Master's Dept.,

11,755.34

403.78

12,159.12

ments for specific pur- poses, and Reimburse-

Observatory,...

1,381.23

1,381.23

Judicial and Legal Depts.,.

14,110.41

35.56

14,145.97

ments in Aid,...

35.663.63

35,663.63

Police and Prison Depts.,

46,840.71

994-33

47.835.04

Medical Departments,

14,569.63

1,235.56 15,805.19

Sanitary Department,...

28,805.42

1,731-37

30,536.79

Botanical and Forestry

Post Office,

50,087-53

50,087.53

Department,

3,210.19

Education,

10,068.94

138.00

3,210.19 10,206.94

Ecclesiastical & Charitable

Rent of Government Pro-

perty, Land and Houses,

Services,...

293.66

50,913-57

50,913.57

Transport,

2.89

293.66 2.89

Miscellaneous Services,

17:783-77

6,709.26

24,493.03

Military Expenditure,...

102,915.69

102,915.69

Interest,

355.95

7,361.11

7.917.06

Public Works Department, Public Works Recurrent,

16,766.66

32,915.82

530.56 137-74

17,297.22

33,053-56

Miscellaneous Receipts,..

705.86

795.86

TOTAL,

.$ 336,943-75

36,06171 373,005.46

TOTAL, EXCLUSIVE

OF LAND SALES,...$

Land Sales,

611,238.22

75,282.00

7.361.11 618,599.33

75,282.00

Public Works Extraordinary,

108,158.63

5,937.26

114,095.89

TOTAL REVENUE,...$ 686,520.22

7,361.11 693,881.33

TOTAL EXPENDITURE, ...S

445,102.38

41,998.97 487,101.35

Deposits not Available,

34.439.13

Crown Agents' Deposit,

Advance Account,...

161,413-33

88,888.89 2,243.74

34,439.13 88,888.89

163,657.07

Family Remittances,

Money Order Account,

Suspense House Service, Exchange,

1.148.32 1,316.65 3,272.25

1,148.32

1,316.65 Deposits not Available,

3,272.25 Advance Account,

161,827.35 166,045.80

71,567.44

1,218.04

233.394-79 167,263.84

182.28

182.28 Family Remittances,

Money Order Account, Suspense House Service,

892.59 3,196.37

892.59 3,196.37

73-47

73.47

888,109.90

98,676.02

986,785.92

TOTAL RECEIPTS, $

TOTAL PAYMENTS, ...

773,049.00 118,873.41 891,922.41

TOTAL RECEIPTS

WITH OPENING

969,642.45 118,361.85 1,088,004-30

BALANCE,

TOTAL PAYMENTS

BALANCE (OVER-

WITH OPENINGS BALANCE,

773,049.00

118,873.41

891,922.41

PAID), 31st January, 1907

511.56

511.56

BALANCE, 31st Jan., 1907, S

196,593,45

196,593.45

TOTAL,

969,642.45 118,873.41 1,088,515.86

TOTAL,

969,642.45 118,873.41 1,088,515.86

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