36 REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT "J"—Continued
Character of Disbursement
|
General
Funds
|
Special
Funds
|
Loan
Funds
|
Totals
|
Maintenance and Improvement of
|
|
|
|
|
Highways —
|
|
|
|
|
Lateral Road Construction ....
|
|
3,303,842,64
|
|
3,303,842.64
|
Grade Crossing Construction . . .
|
|
886,136.36
|
|
886,136.36
|
Reconstruction, Betterments, etc.
|
|
3,568,221 93
|
|
3,568,221.93
|
Maintenance of Road System. .
|
|
2,740,437.62
|
|
2,740,437.62
|
Post Road Construction .......
|
|
1,052,000.00
|
|
1,052,000.00
|
Bridge Construction .........
|
|
|
1,000,000.00
|
1,000,000.00
|
Ferries..... ...............
|
|
48,000.00
|
|
48,000.00
|
Maintenance of Hospitals, Homes,
|
|
|
|
|
Asylums, Etc. —
|
|
|
|
|
State Hospitals and Institutions
|
2,286,000.00
|
315,000.00
|
|
2,601,000.00
|
State-Aided Institutions ......
|
740,000.00
|
|
|
740,000.00
|
Disabled War Veterans.......
|
75,000.00
|
|
|
75,000.00
|
Maintenance of Correctional Insti-
|
|
|
|
|
tutions —
|
|
|
|
|
State Institutions ...........
|
1,275,000.00
|
|
|
1,275,000.00
|
State-Aided Institutions ......
|
110,000.00
|
|
|
110,000.00
|
Education —
|
|
|
|
|
State Department of Education
|
|
|
|
|
— Public School System ....
|
4,365,402.00
|
172,000.00
|
|
4,537,402.00
|
Md. State School for the Deaf.
|
99,635.00
|
.............
|
|
99,635.00
|
Colleges, Academies and Schools
|
325,000.00
|
|
|
325,000.00
|
Federal Vocational Edu. Fund.
|
|
90,000.00
|
|
90,000.00
|
St. Mary's Female Seminary. .
|
|
16,500.00
|
|
16,500.00
|
Library Advisory Commission. .
|
17,976.00
|
|
|
17,976.00
|
Teachers Retirement Fund. . . .
|
977,964.00
|
|
|
977,964.00
|
University of Maryland (College
|
|
|
|
|
Park and Baltimore) .......
|
1,026,.000.00
|
1,677,000.00
|
|
2,703,000.00
|
Public Indebtedness —
|
|
|
|
|
Interest on Public Debt and
|
|
|
|
|
Redemption of Bonds .......
|
|
4,156,856.75
|
|
4,156,856.75
|
Payment of Revenue to Civil Di-
|
|
|
|
|
vision of State —
|
|
|
|
|
Baltimore City, account of Motor
|
|
|
|
|
Vehicle Licenses and Gasoline
|
|
|
|
|
Tax. . . . . ...............
|
|
1,779,755.62
|
|
1,779,755.62
|
Franchise Tax on Ordinary
|
|
|
|
|
Business Corporations ......
|
|
250,000.00
|
|
250,000.00
|
Bond Issues —
|
|
|
|
|
General Construction Loan of
|
|
|
|
|
1931. . . . . ...............
|
|
|
$5,073,000.00
|
5,073,000.00
|
Ocean City Inlet Loan of 1931.
|
|
|
500,000.00
|
500,000.00
|
Miscellaneous —
|
|
|
|
|
Miscellaneous Appropriations .
|
188,000.00
|
|
|
188.000.00
|
State Accident Fund ..........
|
|
435,000.00
|
|
435,000.00
|
Balances from Fiscal Year 1931,
|
|
|
|
|
Payable in Fiscal Year 1932.
|
489,928.15
|
3,181,253.02
|
759,845.20
|
4,431.026.37
|
Totals ..................
|
$14,757,848.71
|
$24,660,176.94
|
$7,332,845.20
|
$46,750,870.85
|
SUMMARY
|
|
|
|
|
Estimated Receipts, Fiscal Year
|
|
|
|
|
1932 and Balance from Fiscal
|
|
|
|
|
Year 1931 (Statement "I"...
|
$15,957,121.75
|
$24,660,176.94
|
$7,332,845.20
|
$47,950,143.89
|
Estimated Disbursements During
|
|
|
|
|
Fiscal Year 1932 (Statement
|
|
|
|
|
"J") .....................
|
14,757,848.71
|
24,660,176.94
|
7,332,845.20
|
46,750,870.85
|
Estimated Cash Balance October
|
|
|
|
|
1, 1932 ....................
|
$1,199,273.04
|
|
|
$1,199,273.04
|
|
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