30 REPORT OF THE COMPTROLLER OF THE TREASURY,
STATEMENT H.
Receipts and Disbursements on account of the Oyster Fund
during the Fiscal Year ended September 30,1898.
SOURCES. (
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Amounts.
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Aggregates
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Balance to the credit of the Oyster Fund,
|
|
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September 30, 1897..........................
|
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$508 70
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RECEIPTS.
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|
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From Clerk Circuit Court Talbot Co........
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$050 00
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" " Queen Anne's Co.
|
475 00
|
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" " " Kent Co..........
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473 00
|
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Clk Circ't Court St. Mary's Co., Postage,
|
10 20
|
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Dredging Licenses.....................}
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35,098 75
|
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Oyster Measurers Licenses........... j
|
009 20
|
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Tongs and Scrape Licenses............'
|
12,i)23 04
|
|
Oyster Canners and Packers Licenses. .,
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4,858 92
|
|
Fishery Licenses....................... |
|
204 85
|
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Oyster Fines ... ....................}
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1,221 42
|
57,718 08
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Total Receipts..........................
|
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$58,227 34
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DISBURSEMENTS.
|
|
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For Salaries........ . .................... .
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$44,550 00
|
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Rations ..................................
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1,5315 00
|
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Supplies ............. ................
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1,594 07
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Repairs ..............................
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3,801 08
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Fuel....................................
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1,704 1C
|
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Incidental Expenses .................
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031 87
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Expenses at Headquarters......... ....
|
49 00
|
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Painting and furnishing lumbers..... ,
|
l,0<>fi 15
|
| 55,083 02
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Balance to the credit of the Oyster Fund,
|
|
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September 30. 1398.... . . . ............... |
|
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3,143 42
|
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