STATEMENT "B"—Continued
|
Acts of Assembly
Chapter No.
|
General
Funds
|
Special
Funds
|
Loan
Funds
|
Total
|
SUMMARY
|
|
|
|
|
|
General Government ................................................................
|
|
$958,497.79
|
$547,066.73
|
|
$1,505,564.52
|
Protection of Persons and Property ....................................
|
|
715,525.67
|
813,571. 24
|
|
1,529,096.91
|
Promotion of Agriculture ..........................................................................
|
|
853,700.40
|
1,960,573.86
|
|
2.814.274.26
|
Conservation of Natural Resources .....................................................
|
|
280,000.65
|
321,544.20
|
|
601,544.85
|
Conservation of Health .......................................................................
|
|
468,526.83
|
|
|
468,526.83
|
Maintenance of Highways .....................................................
|
|
|
15,156,955.59
|
|
15,156,955.59
|
Maintenance of Hospitals, Homes, Asylums, etc..............................
|
|
2,791,403.00
|
15,161.50
|
|
2,806,564.50
|
Maintenance of Reformatories and Correctional Institutions........
|
|
564,379.23
|
399,871.50
|
|
964,250.73
|
Education ..............................................................................
|
|
2,215,844.46
|
2,891,775.89
|
................
|
5,107,620.35
|
Payment of Specific Revenue ..................................................
|
|
|
1,434,561.28
|
|
1,434,561.28
|
Public Debt ........................................................................
|
|
|
3,981,642.50
|
|
3,981,642.50
|
Payment, account of Loans .................................................
|
|
|
|
$2,126,661.82
|
2,126,661.82
|
Miscellaneous ..............................................................................
|
|
186,045.85
|
60,954.92
|
|
247,000.77
|
|
|
$9,033,923.88
|
$27,583,679.21
|
$2,126,661.82
|
$38,744,264.91
|
Cash Balance — October 1, 1929..............................................................................................
|
|
$11,888,693.67
|
Total Receipts — Statement ''A"...................................................................................
|
$37,487,441.72
|
|
Check issued January 26, 1921 — Cancelled ..........................................................
|
75.76
|
37,487,517.48
|
|
|
49,376,211.15
|
Total Disbursements — Statement "B".....................................................................
|
|
38,744,264.91
|
Balance in Treasury — September 30, 1930......................................................
|
|
|
|
|
10,631.946.24
|
Sinking Funds and Trust Funds........................................................................................
|
|
1,912,315.18
|
Balance — General, Special and Loan Funds, October 1, 1930............................
|
|
$8,719,631.06
|
|
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