296
REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT OF THE MARYLAND STATE ROADS COMMISSION.
Showing the Receipts and Expenditures of the Maryland State Roads Com-
mission for the Fiscal Year ended September 30th, 1916.
RECEIPTS.
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1915.
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Oct. 1, Cash balance on hand (all funds included)
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$1,768,792 16
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Received from State of Maryland dur-
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ing Fiscal Year October 1, 1915, to
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September 30, 1916 ..................
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2,108,555 94
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From all other sources, to wit:
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Permits ..............................
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1,987 12
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Rent income ..........................
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583 50
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Sale of forms .........................
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277 98
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Preliminary surveys and plans (State Aid
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Roads) .............................
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3,494 00
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Interest on bank balances ..............
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26,062 36
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Miscellaneous .........................
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372 65
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$3,910,125 71
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EXPENDITURES.
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1916.
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Sept. 30, Amount paid for salaries of Commission.
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$10,500 09
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" " salary of chief clerk...
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1,800 00
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" asst. clerks. .
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17,003 12
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" " " stenographers
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4,680 00
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" " books and stationery,
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office furniture and
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equipment ...........
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10,641 44
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" " " construction and main-
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tenance of roads .....
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2,094,795 37
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2,139,420 02
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Cash balance on hand October 1, 1916 . . .
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$1,770,705 69
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