STATEMENT "B"—Continued
|
Act of Assembly
Chapter No.
|
General
Funds
|
Special
Funds
|
Loan
Funds
|
Totals
|
State Weather Service.................................
|
500 of 1922
|
2,200.29
|
|
|
2,200.29
|
Maryland State Firemen's Association...................
|
"
|
1,000.00
|
|
|
1,000.00
|
Public Athletic League...............................
|
"
|
10,000.00
|
|
........
|
10,000.00
|
Southern Maryland Immigration Commission............
|
|
18,638.01
|
.............
|
|
18,638.01
|
Totals .......................................
|
|
$6,556,319.37
|
$10,135,322.56
|
$3,774,805.09
|
$20,466,447.02
|
SUMMARY
General Government ..................................
|
|
$722,740.92
|
5237,355.33
|
|
$959,896.25
|
Protection of Persons and Property ......................
|
|
549,913.50
|
339,145.89
|
..........
|
889,059.39
|
Promotion of Agriculture...............................
|
|
685,125.21
|
86,546.65
|
..........
|
771,671.86
|
Conservation of Natural Resources.....................
|
|
60,917.60
|
235, 077. 13
|
.........
|
295,994.73
|
Conservation of Health ..................................
|
|
290,347.05
|
|
.............
|
290,347.05
|
Maintainance of Highways............
|
|
|
3,165,860.25
|
.............
|
3,165,860.25
|
Maintainance of Hospitals, Homes, Asylums, &c...........
|
|
1,613,233.87
|
395,373.38
|
.............
|
2,008.607.25
|
Maintainance of Reformatories and Correctional Institutions
|
|
444,261.83
|
73,806.83
|
.............
|
518,068.66
|
Education ............................. .
|
|
2,071,700.00
|
1,707,738.55
|
............
|
3,779,438.55
|
Miscellaneous ................................. .
|
|
118,079.39
|
1,141.00
|
........
|
119,220.99
|
Payments Account of Loans.............................
|
|
|
|
3,774,805.09
|
3,774,805.09
|
Payment of Specific Revenue.....................
|
|
|
615,172.90
|
.......
|
615,172.90
|
Public Debt ..........................................
|
|
|
3,278,301.05
|
....
|
3,278,304.05
|
Totals......................................
|
|
$6,556,319.37
|
$10,135,322.56'
|
$3,774,805.09
|
$20,466,447.02
|
Total Receipts, including Balance brought down Statement "A" ........................... ...........................
|
$26,375,514.62
|
Total Disbursements, Statement "B"..................... .................................................... .
|
20,466,447.02
|
Balance in Treasury, September 30th, 1923.......................................................................
|
$5,909,007.00
|
Of the above Cash there is obligated for payment out of General Funds, Special Funds, Loan Funds, and monies belonging
|
|
to Sinking Funds, the sum of .........................................................................
|
3,384,514.29
|
Balance unobligated as of October 1st, 1923........................................................................
|
$2,524,553.31
|
|
|