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clear space white space Annual Report of the Comptroller, 1922
Volume 286, Page 65   View pdf image (33K)
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REPORT OF THE COMPTROLLER OF THE TREASURY. 65

STATE-AIDED INSTITUTIONS

   

By balance brought forward .......................

$84,352.46

 

By appropriation, Chapter 487 of 1920 ..............

926,634.59

 
   

$960,987.05

To amount disbursed ..............................

$889,903.38

 

To amount carried forward ..........................

49,095.50

 

To amount reverted to Treasury....................

21,988.17

 
   

960,987.05

MISCELLANEOUS APPROPRIATIONS

   

By balance brought forward .......................

$9,284.42

 

By appropriation, Chapter 487 of 1920 ..............

5,000.00

 
   

$14,284.42

To amount disbursed ..............................

$11,500.00

 

To amount carried forward .........................

2,784.42

 
   

14,284.42

STATEMENT OF RECEIPTS AND DISBURSEMENTS

OF MOTOR

VEHICLE

LICENSE FUND.

   

By balance brought forward from fiscal year 1921. . . .

$248,082.99

 

By receipts for fiscal year 1922 ......................

2,737,700.66

 
   

$2,985,783.65

To salaries and expenses of Motor Vehicle Commission-

   

er's Office ....................................

$203,488.60

 

To salaries and expenses of Traffic Court............

16,204.92

 

To State Roads Commission for maintenance..........

1,137,607.56

 

To State Roads Commission for reconstruction ........

325,316.44

 

To State Roads Commission for lateral roads .........

81,329.12

 

To Baltimore City .................................

532,706.23

 

To Peninsula Perry Corporation ....................

19,484.66

 

To Annapolis-Claiborne Ferry.......................

14,639.24

 

To State Roads Commission, account Baltimore City

   

streets. . . ....................................

325,316.44

 

To Baltimore City, account balance from fiscal year

   

1921. . . .....................................

30,000.00

 

To State Roads Commission, account balance from

   

fiscal year 1921 for use of Baltimore City streets. .

200,000.00

 

To amount reverting to Treasury, account fiscal year

   

1921. . . .....................................

81,831.60

 

To sundry balances carried forward ................

17,858.94

 
   

2, 985,788. 65

 

 

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Annual Report of the Comptroller, 1922
Volume 286, Page 65   View pdf image (33K)
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