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Annual Report of the Comptroller, 1916
Volume 280, Page 297   View pdf image (33K)
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REPORT OF THE COMPTROLLER OF THE TREASURY

297

STATEMENT OF THE PUBLIC SERVICE COMMISSION OF MARYLAND.

Showing Receipts and Expenditures of the Public Service Commission of
Maryland for the Fiscal Year ended September 30th, 1916.

 

RECEIPTS.

   

1915.

     

Oct. 1,

Cash balance on hand ..................

$200 00

 
 

Received from State of Maryland dur-

   
 

ing Fiscal Year October 1, 1915, to

   
 

September 30, 1916 .................

87,728 51

 
 

From all other sources, to wit:

   
 

Mayor and City Council of Baltimore

   
 

City ...............................

10,882 17

 
 

Interest on bank balance ..............

12 85

 
 

Fees collected for certified copies of

   
 

P. S. C. orders, testimony and inspec-

   
 

tion fees of water, gas and electric

   
 

meters .............................

1,250 70

 
 

Total Receipts .....................

$100,074 23

 
 

Fees remitted to Treasurer of Maryland

1,250 70

 
 

Net cash receipts ..................

 

$98,823 53

 

EXPENDITURES.

   

1916.

     

Sept. 30,

Amounts paid for salaries of Commission

   
 

by State of Maryland................

$9,000 00

 
 

Amounts paid for salaries of Commission

   
 

by City of Baltimore ...............

10,882 17

 
 

Amounts paid for general salaries ......

56,773 95

 
 

Amounts paid for special services ......

5,028 09

 
 

Amounts paid for general expenses .....

4,769 72

 
 

Amounts paid for Engineers' equipment . .

867 29

 
 

Amounts paid for office rent ..........

6,000 00

 
 

Amounts paid for books and stationery..

4,685 50

 
 

Amounts paid for office furniture and

   
 

equipment ..........................

603 96

 
 

Cash Balance on hand .................

212 85

 
     

$98,823 53

 

 

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Annual Report of the Comptroller, 1916
Volume 280, Page 297   View pdf image (33K)
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