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EXHIBIT "B"—Continued

SUMMARY







TOTA

L


General

Special

Special Fund

Loan and

Working




Fund

Fund

Budget Credits

Other Funds

Fund, Etc.









Amount

%

Taxes from Collectors.......................

$ 25,209.94



$ 3,270,260.74


$ 3,295,470.68

1.08

Taxes from Corporations...................

5,518,692.61

$ 183,857.00

$ 1,055.00

1.65


5,703,606.26

1.87

Tax on Insurance Premiums.............

5,482,425.91


1,132.93



5,483,558.84

1.80

Licenses .............................................

190,299.44





190,299.44

.06

Tax on Admissions.............................


422,240.84




422,240.84

.14

Motor Vehicle Revenue.......................


18,780,409.07

371,547.89



19,151,956.96

10.82

Motor Vehicle Fuel Tax....................


30,738,533.59

2,219,659.64



32,958,193.23

6.29

Motor Vehicle Titling Tax...............


8,119,708.61

2,950.26



8,122,658.87

2.67

Alcoholic Beverages Excise Tax.......

4,526,742.35


2,168.07



4,528,910.42

1.49

Tax on Beer.......................................

1,734,001.33


23,247.29



1,757,248.62

.58

Income Tax..........................................

31,298,961.50

9,686,487.05

241,090.65



41,224,539.20

13.53

Sales and Use Taxes.............................

31,536,598.76


444,409.67



31,981,008.43

10.50

Tax on Horse Racing........................

3,090,454.22

3,209,716.98




6,300,171.20

2.07

Interest and Penalty.............................

342,673.46


31.95



342.705.41

.11

Fees, Fines and Forfeitures, Etc....,

724,739.79


10,254.64



734,994.43

.24

Inheritance Taxes, Etc........................

3,938,344.16





3,938,344.16

1.29

Tax on Recordation of Instruments








in Writing........................................

28,527.98





28,527.98

.01

State Hospitals and Training








Schools ...........................................

1,728,266.97


462,833.55



2,191,100.52

.72

State Departments................................

1,768,381.62

13,193,185.58

44,261,095.79

150,000.00


59,372,662.99

19.49

Loan Funds..........................................




34,578,022.24


34,578,022.24

11.35

Federal Funds....................................




15,783,195.40


15,783,195.40

5.18

Miscellaneous Funds............................




5,445,569.47


5,445,569.47

1.79

Miscellaneous Accounts......................

257,412.05


57,235.01


$20,759,177.03

21,073,824.09

6.92






———————————



TOTAL......................

$92,189,732.09

$84,334,138.721

$48,098,712.34

$59,227,049.50

$20,759,177.03

$304,608,809.68

100.00









t Total includes receipts of $48,814.21 for Fiscal Year 1954, collected in advance.
See Exhibit "P", Statement of Revenue Estimates and Revenue Collections for the Fiscal Year Ended June 30, 1953.

RECONCILIATION OF SPECIAL FUNDS COLLECTED TO EXHIBIT "B"
Sp.ecial Funds Collected, Exhibit "P"........................................ $84,289,453.51

Add: 1954 revenue collected in 1953............................................ 48,814.21

$84,338,267.72
Deduct: 1953 revenue collected in 1952........................................_____4,129.00

Total Special Funds Collected, Exhibit "B"................................ $84,334,138.72


 

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Session Laws, 1954
Volume 604, Page 361   View pdf image (33K)
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