24
REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT "C"
ESTIMATED RECEIPTS DURING THE FISCAL, YEAR ENDING SEPTEMBER 30, 1919,
AND CASH B ALANCES FROM THE FISCAL YEAR 1918.
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AVAILABLE FOR
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FROM WHAT SOURCES
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General Funds
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Special Funds
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Loan Funds
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From Taxes: —
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Public School Tax ..............
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$2,000,000.00
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Governmental Expense Tax .......
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$ 200,000.00
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Loan Tax ....................
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2,518,000.00
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Road Repair . Fund Tax.........
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5,000.00
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Gross Receipts Tax .............
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1,175,000.00
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Foreign Corporation Tax.........
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5O,000.00
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Protest Tax ...................
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750.00
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Collateral Inheritance Tax.......
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315,000.00
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Tax on Commissions of Executors
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and Administrators .........
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125,000.00
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Civil Commissions Tax..........
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1.500.00
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From Licenses: —
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Clerks of Courts ...............
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945,000.00
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200,000.00
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Clerks of Court, Credit of Conser-
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vation Commission ..........
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30,000.00
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Motor Vehicle Licenses..........
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1,766,718.66
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Insurance Companies ...........
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355,000.00
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Auctioneers ...................
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4.500.00
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From Franchise Taxes: —
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Savings Bank Deposits..........
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76,000.00
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Ordinary Business Corporations..
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66,000.00
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66,000.00
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From Fees, Fines, Etc.: —
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Excess of Fees of Office .........
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125,000.00
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Bonus Tax ...................
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47,000.00
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Charter Fees, Foreign Corporations,
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3,000.00
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Public Service Commission, Fees . .
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1,000.00
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Recording Fees ...............
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5,000.00
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State Hay Scales ...............
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100.00
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State Wharves ....'............
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2,000.00
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Penalty on Corporations.........
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5.500.00
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From Interest, Etc. : —
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Interest on Deposits ............
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36,000.00
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Interest on Personal Accounts ....
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56,000.00
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Maryland Agricultural College, In-
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terest .....................
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4.500.00
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Northern Central Railway Co... . . .
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90,000.00
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From State Hospitals: —
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Crownsville State Hospital.......
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60,000.00
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Eastern Shore State Hospital .....
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28,000.00
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Springfield State Hospital ........
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152,000.00
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Spring Grove State Hospital.....
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83,000.00
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From Miscellaneous Sources: —
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State Accident Fund ............
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250,000.00
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Bank Commissioner ............
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12,000.00
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Treasurer, Baltimore County .....
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5.500.00
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Land Office ...................
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2.500.00
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Conversation Fund .............
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50,000.00
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Public Buildings Loan Sinking
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Fund .....................
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1,618,000.00
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Motion Picture Censors..........
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24,000.00
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Insurance Commissioner ........
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65,000.00
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State Game Fund ...............
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65,000.00
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From Bonds to be Issued : —
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Road Loan of 1918 .............
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$1,500,000.00
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Totals ..................
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$3,793, 350.00
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$ 8,896,218.66
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$1,500,000.00
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Cash Balances from Fiscal Year 1918..
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338,943.97
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1,805,388.92
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269,905.00
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Totals ..................
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$4,132,293.97
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$10,701,607.58
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$1,769,905.00
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SUMMARY
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Estimated Receipts from General Funds ........................
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$ 3,793,350.00
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Estimated Receipts from Special Funds ........................
Estimated Receipts from Loan Funds ................
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8,896,218.66
1,500,000.00
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Total Estimated Receipts ...........................
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$14,189,568.66
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