REPORT OF THE COMPTROLLER OF THE TREASURY. 27
STATEMENT L—Continued.
SUMMARY.
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Balance applicable to School Tear commencing
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October 1, 1902...........................
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$330,708 79
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Receipts of Public School Tax from all sources
during fiscal year 1903.......................
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750,408 94
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Total receipts Fiscal Year 1903, and balance
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from 1902...................................
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$1,081,117 73
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Total Disbursements of Public School Tax dur-
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ing fiscal year 1903..........................
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734,683 05
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Balance applicable to School Year, commenc-
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ing October 1, 1903..........................
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346,434 68
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Of this balance of $346,434.68 there was dis-
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tributed October 1, 1903, to wit :
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To White Schools.............................
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$130,000 00
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To Colored Schools. ........................
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37,500 00
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167,500 00
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Amount on hand to equalize future distri-
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butions......................................
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$178,934 68
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