REPORT OF THE COMPTROLLER OF THE TREASURY. 19
STATEMENT H.
Receipts and Disbursements on account of the Oyster Fund
during the Fiscal Year ended September 30, 1897.
SOURCES.
|
Amounts.
|
Aggregates
|
Balance to the creel it of the Oyster Fund, Sep
|
|
|
tember 80, 1896.............................
|
|
$486 83
|
RECEIPTS.
|
|
|
From Clerk Circuit Court Talbot Co.........
|
$950 00
|
|
" " " Queen Anne's Co,.
|
475 00
|
|
" Kent Co...........
|
475 00
|
|
Dredging Licenses......................
|
42,058 14
|
|
Oyster Measurers Licenses..............
|
1,083 40
|
|
From Tongs and Scrape Licenses......
|
14,289 45
|
|
Oyster Canners and Packers Licenses. .
|
5,821 73
|
|
From Fishery Licences.................
|
612 77
|
|
Oyster Fines. ..........................
|
1,018 41
|
66,783 90
|
Total Receipts. .....................
|
|
$67,270 73
|
DISBURSEMENTS.
|
|
|
For Salaries.................................
|
$33,377 47
|
|
" Rations..................................
|
1,184 00
|
|
Supplies..... ...........................
|
3,453 13
|
|
Repairs. . ...............................
|
9,825 23
|
|
" Fuel.......................... .....
|
1,841 98
|
|
Incidental Expenses..................
|
884 78
|
|
" Expenses at Headquarters........ ......
|
222 75
|
|
Painting and furnishing Numbers 2 years
|
1,472 63
|
|
" Repayment as per Chap. 846 of 1896. . . . .
|
15,000 00
|
66,761 97
|
Balance to the credit of the Oyster Fund
|
|
|
September 30, 1897..........................
|
|
$508 76
|
|
|