30 REPORT OF THE COMPTROLLER OF THE TREASURY.
STATEMENT L—Continued.
SUMMARY.
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Balance applicable to School Year commencing October
1, 1905...........................................
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$444,796 24
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Receipts from Public School Tax from all sources during
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Fiscal Year 1906...................................
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1,121,606 79
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Total Receipts Fiscal Year 1906 and balance from 1905. .
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$1,566,403 03
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Total Disbursements of Public School Tax during Fiscal
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Year 1906..........................................
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1,105,405 69
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Balance applicable to School Year, commencing October
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1, 1906.............................................
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$460,997 34
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Of this balance of $460,997.34 there was distributed
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October 1, 1906, to Public Schools...................
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200,000 00
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Amount on hand to equalize future distributions.......
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$260,997 34
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