REPORT OF THE COMPTROLLER OF THE TREASURY 65
STATEMENT "Z"
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Year Ended December 31, 1939
|
Receipts
|
Refunds
|
Net Receipts
|
January, 1939.. . . .....
|
$864,878.22
|
$51,951.05
|
$812,927.17
|
February............. ..... ........
|
778,893.66
|
34,509.95
|
744,383.71
|
March...................................................
|
741,397.91
|
43,412.22
|
697,985.69
|
April................................................................
|
883,965.78
|
49,298.25
|
834,667.53
|
May......................................................................
|
901,046.09
|
76,433.92
|
824,612.17
|
June..................................... ........
|
1,020,018.80
|
80,922.77
|
939,096.03
|
July...........................................................
|
1,032,598.62
|
82,801.29
|
949,797.33
|
August..................................................................
|
1,005,717.92
|
87,136.59
|
918,581.33
|
September..........................................................
|
1,171,695.36
|
95,131.88
|
1,076,563.48
|
October...........................................................
|
1,036,524.42
|
70,930.67
|
965,593.75
|
November...........................................................
|
1,020,337.77
|
70,334.02
|
950,003.75
|
December............................................................
|
990,397.24
|
66,242.34
|
924,154.90
|
|
$11,447,471.79
|
$809,104.95
|
$10,638,366.84
|
DISTRIBUTION
Baltimore City........................................................................................................................
|
$1,393,587.05
|
State Roads Commission................................................................................................
|
3,604,786.15
|
State Roads Commission for Counties.............................................................................
|
2,197,141.61
|
State Roads Commission for Baltimore City.......................................
|
941,632.10
|
State Roads Commission of or Incorporated Cities and Towns................................................
|
11,895.88
|
Annuity Bond Fund...........................................................................................
|
1,087,825.25
|
General Fund.............................................................................................
|
977,845.66
|
State Roads Commission $3,000,000.00 Debt Service Fund ................................
|
373,175.51
|
Tolchester Lines, Inc............................................................
|
14,477.63
|
Administration Account, Fiscal Year 1940....................................................................
|
36,000.00
|
|
$10,638,366.84
|
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Fiscal Year Ended September 30, 1940
|
Receipts
|
Refunds
|
Net Receipts
|
•October, 1939......................................................
|
$1,036,524.42
|
$70,930.67
|
$965,593.75
|
November............................................................
|
1,020,337.77
|
70,334.02
|
950,003.75
|
December............................................................
|
990,397.24
|
66,242.34
|
924,154.90
|
January, 1940......................................
|
945,690.43
|
54,459.91
|
891,230.52
|
February......................................................
|
813,439.31
|
39,710.72
|
773,728.59
|
March...........................................................
|
794,545.42
|
34,495.39
|
760,050.03
|
April..................................................................
|
895,624.72
|
52,389.70
|
843,235.02
|
May....................................
|
1,009,560.73
|
66,919.97
|
942,640.76
|
June...........................................................................
|
1,050,025.34
|
82,745.13
|
967,280.21
|
July..........................................................
|
1,172,046.28
|
88,570.58
|
1,083,475.70
|
August.........................................................
|
1,149,339.76
|
93,191.08
|
1,056,148.68
|
September...................................................
|
1,170,657.45
|
96,428.20
|
1,074,229.25
|
|
$12,048,188.87
|
$816,417.71
|
$11,231,771.16
|
DISTRIBUTION
Baltimore City............................................................................................
|
$1,847,136.21
|
State Roads Commission..................................................................
|
4,777,926.21
|
State Roads Commission for Counties..........................................................
|
2,912,490.81
|
State Roads Commission for Baltimore City.....................................................
|
1,248,210.35
|
State Roads Commission for Incorporated Cities and Towns....................................
State Roads Commission $3,000,000.00 Debt Service Fund..............................
|
13,591.84
394,063.36
|
Tolchester Lines, Inc...........................................................................................
|
10,000.00
|
Administration Account, Fiscal Year 1940 .................................................................
|
28,352.38
|
|
$11,231,771.16
|
|
|