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78 REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT "Y"
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Year Ended December 31, 1938
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Receipts
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Refunds
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Net Receipts
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1938
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January ........................
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$893,194.15
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$ 49,293.23
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$843,900.92
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February ........................
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643,116.75
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34,410.71
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608,706.04
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March ..........................
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797,068.05
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43,019.17
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754,048.88
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April ...........................
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822,344.23
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54,444.59
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767,899.64
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May ............................
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' 908,873.23
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66,324.54
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842,548.69
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June ...........................
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904,161.40
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70,953.19
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833,208.21
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July ............................
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936,525.56
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75,557.26
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860,968.30
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August .........................
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998,009.43
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84,289.39
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913,720.04
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September ......................
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1,020.589.04
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90,683.29
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929,905.75
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October .........................
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975,983.35
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68,839.01
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907,144.34
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November ............... .......
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905,587.20
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69,055,30
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836,531.90
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December .......................
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889,165.52
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58,888.00
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830,277.52
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Total ..................
.
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$10,694,617.91
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: $765,757.68
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$9,928,860.23
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DISTRIBUTION
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Baltimore City ....................................................
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$1,175,423.29
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State Roads Commission ............................................
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3,040,448.06
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State Roads Commission for Counties...............................
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1,858,287.03
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State Roads Commission for Baltimore City ............................
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796,408.75
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State Roads Commission for Incorporated Cities and Towns...............
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10,874,00
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Annuity Bond Fund ............................................
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1,421,524.04
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General Fund ...........................................
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1,240,838.78
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State Roads Commission $3,000,000.00 Debt Service Fund..........
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348,186.78
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Administration Account, Fiscal Year 1939 ..............................
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34,031.00
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Tolchester Lines, Incorporated ......................................
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2,838.50
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Total .............................................
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$9,928,860.23
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Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Fiscal Year Ended September 30, 1939
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Receipts
|
Refunds
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Net Receipts
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1938
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October .........................
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$ 975,983.35
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$68,839.01
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$907,144.34
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November .......................
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905,587.20
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69,055.30
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836,531.90
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December .......................
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889,165.52
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58,888.00
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830,277.52
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January, 1939 ...................
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864,878.22
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51,951.05
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812,927.17
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February........................
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778,893.66
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34,509.95
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744,383.71
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March ..........................
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741,397.91
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43,412.22
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697,985.69
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April ...........................
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883,965.78
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49,298.25
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834,667.53
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May ............................
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901,046.09
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76,433.92
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824,612.17
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June ............................
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1,020,018.80
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80,922.77
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939.096.03
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July ............................
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1,032.598.62
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82,801.29
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949,797.33
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August .........................
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1,005,717.92
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87,136.59
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918,581.38
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September........................
Total...................
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1,171,695.36
$11,170,948.43
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95,131.88
$798,380.23
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1,076,563.48
$10,372,568.20
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DISTRIBUTION
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Baltimore City ..................................................
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$1,224,792.30
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State Roads Commission ..........................................
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3,168.144.83
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State Roads Commission for Counties................................
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1,930,466.89
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State Roads Commission for Baltimore City ..........................
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827,342.95
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State Roads Commission for Incorporated Cities and Towns ............
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12,174.89
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Annuity Bond Fund ...........................
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1,454,862.59
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General Fund ...................................................
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1,344,883.00
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State Roads Commission $3,000,000.00 Debt Service Fund..............
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363,892.11
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Administration Account, Fiscal Year 1939 ...........................
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34,031.00
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Tolchester Lines, Incorporated .....................................
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11,977.64
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Total............................................
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$10,372,568.20
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