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Annual Report of the Comptroller, 1931
Volume 295, Page 19   View pdf image (33K)
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STATEMENT "B"—Continued

 

Acts of
Assembly
Chapter No.

General
Funds

Special
Funds

Loan
Funds

Revolving-
Fund
Charges
C, P. B.

Total
Disbursements

SUMMARY

           

General Government .................................

 

$3,249,958.65

$541,391.33

 

$713.42

$1,792,063.40

Protection, of Person and Property .....................

 

765,035.19

918,426.42

 

169.07

1,683,630.68

Promotion of Agriculture.............................

 

935,093.62

1,909,303.93

 

14,171.80

2,908,569.35

Conservation of Natural Resources.................

 

277,931.17

350,596.74

 

432.63

628,960.54

Conservation of Health ...............................

 

505,431.89

   

797.71

506,229.60

Maintenance of .Highways ............................

   

14,189,887.83

   

14,189,887.83

Maintenance of Hospitals, Homes, Asylums, etc..........

 

2.726,101.61

54,499.28

 

141,025.66

2,921,625.89

Maintenance of Reformatories and Correctional Institutions

 

530,385.05

391,710.30

 

58,066.05

980,167.40

Education.... .....................................

 

2,275,602.80

3,055,151.87

 

15.985.87

5,346,740.54

Payment of Specific Revenue..........................

   

1,522,568.70

   

1,522,568.70

Public Debt ........................................

   

4,098,357.50

   

4,098,357.50

Payment, Account of Loans...........................

     

$2,039,909.41

 

2,039,909.41

Miscellaneous. . . ...................................

 

155,489.21

62,922.26

 

15.11

218,426.58

Total ...................

 

$9,471,029.19

$27,094,822.16

$2,039,909. 41

$231,368.92

$38,837,129.68

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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Annual Report of the Comptroller, 1931
Volume 295, Page 19   View pdf image (33K)
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