MARYLAND MANUAL
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81
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W. P. S. 0..................................................
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35,143.84
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7,028.77
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Emergency Relief, Works Progress, Grade
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Eliminations, 1936
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37,702.87
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79,095.68
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Federal Grant, 30% Basis........... ..
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None
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417,155.24
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Federal Grant, 45% Basis....................
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None
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161,596.90
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Regular Federal Aid, 1937-1938................
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105,933.89
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9,523.20
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Federal Grade Elimination, 1938.........
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178,100.00
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28,275.68
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Federal Funds, Secondary or Feeder Roads,
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F.A.S...........................................................
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47,338.34
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243,547.20
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Regular Federal Aid, 1938-1939...............
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401,109.08
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373,568.66
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Regular Federal Aid, 1939-1940........................
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359,525.13
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206,748.78
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Federal Grade Elimination, 1939................
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123,160.00
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37,280.35
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Regular Federal Aid, 1940-1941................
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25,500.00
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594,100.00
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Federal Grade Elimination, 1940..............
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None
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168,000.00
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Federal Grade Elimination, 1942...............
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None
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140,600.00
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Proceeds of State Bonds
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Flood Damage .. Construction and Repairs,
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Emergency Loan of 1935.......................
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None
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345,488.28
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Federal Grants and State Funds
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Chesapeake Beach Bulkhead.........................
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11,983.04
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None
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Reimbursement to Salary and Wage Account
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for Chesapeake Bay Ferry System Payrolls
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50,264.62
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156,669.85
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Unused Portion of Ferry Coupon Redemption
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Fund..................................................................
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None
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12,821.91
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Increase in Working Fund................................
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10,000.00
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91,402.99
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Total Receipts from all sources.................... ,
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$17,477,636.24
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$25,973,511.57
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The expenditures were made for the following
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purposes in 1941
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and 1942:
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FISCAL YEAR
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1941-1942
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For Construction of New Projects, Including
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Reconstruction, Betterments, and Addi-
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tions to the State System
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Payments to Contractors for Construction
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Work..................................................................
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$5,424,306.93
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$7,208,736.36
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Cement purchased direct by the Commission
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for project construction.............................
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3,146.36
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6,085.68
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Purchase of Hights-of-way and expenditures
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incident to the procurement thereof . . ....
Pay of Commission's employes engaged in
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640,643.53
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979,372.41
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projects of construction and reconstruction
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(force account)..........................................
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183,837.13
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229,206.27
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Salaries of Commission's Inspectors and En-
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gineering Forces..............................................
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352,645.79
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356,007.21
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Cost of Equipment Operation (Including De-
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preciation).....................................................
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133,680.94
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162,886.54
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Depreciation on Capital Properties, ratably
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distributed to projects....................................
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167,487.34
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217,508.01
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Materials and Other Expenses incident to con-
struction and reconstruction......................
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1,172,525.63
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1,898,922.94
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Adjustments of Construction Cost Items........
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5,251.02
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4,257.90
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Total..................................................................
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$8,083,524.67
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$11,062,983.32
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Maintenance of the County System of Roads
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Pay of Employes..................................................
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$390,182.81
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$330,729.74
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