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RECEIPTS.
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1915.
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Oct. 1,
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Cash balance on hand ..................
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$200 00
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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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87,728 51
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From all other sources, to wit:
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Mayor and City Council of Baltimore
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City ...............................
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10,882 17
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Interest on bank balance ..............
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12 85
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Fees collected for certified copies of
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P. S. C. orders, testimony and inspec-
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tion fees of water, gas and electric
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meters .............................
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1,250 70
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Total Receipts .....................
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$100,074 23
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Fees remitted to Treasurer of Maryland
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1,250 70
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Net cash receipts ..................
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$98,823 53
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EXPENDITURES.
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1916.
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Sept. 30,
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Amounts paid for salaries of Commission
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by State of Maryland................
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$9,000 00
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Amounts paid for salaries of Commission
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by City of Baltimore ...............
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10,882 17
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Amounts paid for general salaries ......
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56,773 95
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Amounts paid for special services ......
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5,028 09
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Amounts paid for general expenses .....
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4,769 72
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Amounts paid for Engineers' equipment . .
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867 29
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Amounts paid for office rent ..........
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6,000 00
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Amounts paid for books and stationery..
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4,685 50
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Amounts paid for office furniture and
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equipment ..........................
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603 96
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Cash Balance on hand .................
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212 85
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$98,823 53
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