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Annual Report of the Comptroller, 1936
Volume 300, Page 60   View pdf image (33K)
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60 REPORT OF THE COMPTROLLER OF THE TREASURY

STATEMENT "W"

Statement of Receipts and Distribution of Receipts Prom Gaso-
line Taxes for the Year Ended December 31, 1935

 

Receipts

Refunds

Net Receipts

1935

   

.

January ......................

$749,027.45

$ 30,072.70

$718,954.75

February .....................

465,347.96

20,405.27

444,942.69

March .......................

511,503.50

22,226.70

489,276.80

April ........................

630,224.73

30,852.16

593,372.57

May .........................

713,139.33

47,552.78

665,586i55

June .........................

847,810.79

54,958.90

792,851.89

July .........................

595,276.11

55,608.16

539,667.95

Augiist .......................

861,402.97

68,722.01

792,680.96

September ....................

1,061,173.73

53,979.02

1,007,194.71

October ......................

759,858.21

62,392.63

697,465.58

November ....................

807,411.48

46,150.51

761,260.97

December .....................

806,225.99

37,456.31

768,769.68

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

$8,808,402.25

$530,377.15

$8,278,025.10

Distribution

 

Baltimore City ..................................................

$1,288,450.76

State Roads Commission...........................................

5,267,188.42

State Roads Commission, account Baltimore City........................

824,871.05

State Roads Commission, Incorporated Town Tax .....................

8,891.50

State Roads Commission, $3,000,000.00 Debt Service Fund..............

230.868.28

Annuity Bond Fund ... ...........................................

469,737.09

Transferred to Conservation Department Fiscal Year 1934..............

75,000.00

Administration Account Fiscal Year 1935 .............................

17,300.00

Administration Account Fiscal Year 1936.............................

34,031.00

Ferries Appropriation Fiscal Year 1935 ..............................

48,000.00

Ferries Appropriation Fiscal Year 1936 ..............................

13,687.00

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

$8,278,025.10

Statement of Receipts and Distribution of Receipts From Gaso-
line Taxes for the Fiscal Year Ended September 30, 1936

 

Receipts

Refunds

Net Receipts

1935

     

October ......................

$759,858.21

$62,392.63

$ 697,465.58

November ....................

807.411.48

46,150.51

761,260.97

December .....................

806,225.99

37,456.31

768,769.68

January, 1936 ................

623,846.60

32,820.02

591,026.58

February .....................

674,784.14

22,745.74

652,038.40

March .......................

568,508.69

22,909.94

545.598.75

April ........................

526, 486.83

40,559.99

485,926.84

May .........................

806,637.68

56,813.22

749,824.46

June .........................

950.721.34

65,811.63

884,909.71

July .........................

870,833.22

67,842.70

802,990.52

August .......................

922,717.38

62,777.97

"859.939.41

September ....................

982,118.83

64,527.33

917,591.50

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

$9,300,150.39

$582,807.99

$8,717,342.40

Distribution

 

Baltimore Citv ..................................................

$1,115,887.75

State Roads Commission ...........................................

4,670,572.13

State Roads Commission, account Baltimore City ......................

752,289,45

State Roads Commission, Incorporated Town Tax ....................

10.687.85

State Roads Commission, $3,000,000.00 Debt Service Fund............

303.630.55

Annuity Bond Fund ...............................................

1,816.556.67

Administration Account ..........................................

34.031. 00

Ferries Appropriation .............................................

13,687.00

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

$8,717,342.40

 

 

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Annual Report of the Comptroller, 1936
Volume 300, Page 60   View pdf image (33K)
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