STATEMENT "B"—Continued
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Acts of
Assembly
Chapter No.
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General
Funds
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Special
Funds
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Loan
Funds
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Revolving-
Fund
Charges
C, P. B.
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Total
Disbursements
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SUMMARY
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General Government .................................
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$3,249,958.65
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$541,391.33
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$713.42
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$1,792,063.40
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Protection, of Person and Property .....................
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765,035.19
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918,426.42
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169.07
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1,683,630.68
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Promotion of Agriculture.............................
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935,093.62
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1,909,303.93
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14,171.80
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2,908,569.35
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Conservation of Natural Resources.................
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277,931.17
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350,596.74
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432.63
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628,960.54
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Conservation of Health ...............................
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505,431.89
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797.71
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506,229.60
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Maintenance of .Highways ............................
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14,189,887.83
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14,189,887.83
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Maintenance of Hospitals, Homes, Asylums, etc..........
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2.726,101.61
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54,499.28
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141,025.66
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2,921,625.89
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Maintenance of Reformatories and Correctional Institutions
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530,385.05
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391,710.30
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58,066.05
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980,167.40
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Education.... .....................................
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2,275,602.80
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3,055,151.87
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15.985.87
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5,346,740.54
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Payment of Specific Revenue..........................
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1,522,568.70
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1,522,568.70
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Public Debt ........................................
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4,098,357.50
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4,098,357.50
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Payment, Account of Loans...........................
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$2,039,909.41
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2,039,909.41
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Miscellaneous. . . ...................................
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155,489.21
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62,922.26
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15.11
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218,426.58
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Total ...................
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$9,471,029.19
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$27,094,822.16
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$2,039,909. 41
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$231,368.92
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$38,837,129.68
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Cash Balance—October 1, 1930...................................................................................... $10,631,946.24
Total Receipts—Statement "A" ..................................................................................... 37,110,584.00
$47,742,530.24
Total Disbursements—Statement "B" ................................................................................ 38,837,129.68
Balance in Treasury—September 30, 1931............................................................................. $8,905,400.56
Sinking Funds and Trust Funds...................................................................................... 858,516.21
Balance—General, Special and Loan Funds—October 1, 1931............................................................ $8,046,884.35
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