80 MARYLAND MANUAL
and to construct roads under the County System and likewise changed the
previous law with respect to use of the Lateral Gasoline Tax Fund by the
Counties for the payment of debt service and county obligations, except in
connection with those counties which, by a previous Act, had dedicated
a part of the Lateral Tax to service bond obligations.
During the fiscal years ended September 30, 1941, and September 30,
1942, the receipts of the Commission, from all sources, were $17,477,636.24
and $25,973,511.57, respectively. The details of receipts and the sources
from which they were derived follows:
|
FISCAL YEAR
|
1941-1942
|
Maintenance and Reconstruction Account
|
|
|
2c gasoline Tax, nets, exclusive of $.0014 of
|
|
|
the Tax......................
|
$4,147,938.32
|
$3,946,321.46
|
Commissioner of Motor Vehicles Receipts, ex-
|
|
|
clusive of Truck License Fees and Fran-
|
|
|
chise Taxes...............
|
3,022,537.72
|
2,671,099.81
|
For the Use of the Counties, Distributed to
|
|
|
each on a Road Mileage Basis
|
|
|
70% of 1 1/2c Lateral Gasoline Tax Fund
|
3,310,256.63
|
3,153,954.06
|
For the Use of Baltimore City
|
|
|
30% of 1 1/2c Lateral Gasoline Tax Fund ........
|
1,418,681.41
|
1,351,694.60
|
Incorporated Town Tax
|
14,843.37
|
12,881.50
|
Grade Elimination Fund
|
|
|
1/2 c Grade Elimination Gasoline Tax
|
1,274,566.66
|
1,212,623.71
|
Proceeds of Bonds or Advancements made by
|
|
|
Counties
|
|
|
Prince George's County...........
|
45,833.00
|
45,589.94
|
Talbot County..............................
|
6,000.00
|
None
|
Proceeds of Sale of State Roads Commission
|
|
|
Bonds
|
|
|
"Refunding and Improvement Bonds"
|
None
|
9,008,286.10
|
"Chesapeake Bay Ferry Revenue Bonds.......
|
1,217,302.80
|
None
|
Miscellaneous Receipts
|
|
|
Sale of Specifications,... ..............
|
939.00
|
1,894.00
|
Rental of Properties.......................
|
1,042.00
|
3,043.97
|
Payments to Commission by State Treasurer
for Tolchester Ferry Company....
|
6,666.68
|
None
|
Miscellaneous...............................
|
76,341.33
|
89,027.60
|
Release of Impounded Cash..........
|
101,614.33
|
None
|
Gasoline Tax Refunds to Incorporated Towns
|
810.17
|
1,018.49
|
Sign License Revenue.................
|
2,983.42
|
3,333.35
|
Sign Permit Fees............................ .
|
9,381.28
|
10,209.58
|
Debt Service Income
|
|
|
Truck License Fees and Franchise Taxes for
|
|
|
Debt Service on Bonds of the State Roads
|
|
|
Commission, excluding Bridge Revenue
|
|
|
Bonds............................................
|
928,902.58
|
962,613.64
|
$.0014 of the 2c Tax for Debt Service on Bonds
of the State Roads Commission....
|
447,206.95
|
425,516.27
|
Receipts from Federal Appropriations
National Recovery, Public Works Funds,
|
|
|
Municipalities, 1934 Appropriation
|
27.22
|
None
|
1935 Appropriation ....................
|
20,655.31
|
None
|
Public Works Funds .. Secondary Roads, 1935
|
20,234.72
|
None
|
Regular Federal Aid, 1936-1937....................
|
14,280.08
|
None
|
Emergency Relief, Works Progress, Second-
|
|
|
ary, 1936, W. P. S. S...............
|
2,830.45
|
1,500.00
|
|
|