74 REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT "Z"
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Year Ended December 31, 1940
|
Receipts
|
Refunds
|
Net Receipts
|
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
|
3, 050, 025 31
|
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
|
October
|
1, 055, 933 59
|
76, 601 70
|
979, 331 89
|
November
|
1, 173, 092 83
|
75, 276 43
|
1, 097, 816 40
|
December
|
1, 052, 354 20
|
73, 582 63
|
978, 771 57
|
|
$12, 282, 310 06
|
$834, 371 44
|
$11, 447, 938 62
|
DISTRIBUTION
|
|
Baltimore City
|
$1, 883, 174 16
|
State Roads Commission
|
4, 871, 142 87
|
State Roads Commission for Counties
|
2, 966, 944 98
|
State Roads Commission for Baltimore City
|
1, 271, 547 87
|
State Roads Commission for Incorporated Cities and Towns
|
15, 045 29
|
State Roads Commission Debt Service Fund
|
401, 731 03
|
Tolchester Lines, Inc
|
10, 000 04
|
Administration Account, Fiscal Year 1940
|
28, 352 38
|
|
$11, 447, 938 62
|
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Fiscal Year Ended September 30, 1941
|
Receipts
|
Refunds
|
Net Receipts
|
October, 1940
|
$1, 055, 933 59
|
$76, 601 70
|
$979, 331 89
|
November
|
1, 173, 092 83
|
75, 276 43
|
1, 097, 816 40
|
December
|
1, 052, 354 20
|
73, 582 63
|
978, 771 57
|
January, 1941
|
1, 031, 096 48
|
62, 241 54
|
968, 854 94
|
February
|
921, 179 50
|
47, 196 52
|
873, 982 98
|
March
|
999, 326 95
|
43, 786 55
|
955, 540 40
|
April
|
1, 016, 502 08
|
54, 559 56
|
961, 942 52
|
May
|
1, 211, 906 46
|
82, 815 17
|
1, 129, 091 29
|
June
|
1, 250, 791 08
|
93, 820 15
|
1, 156, 970 93
|
July
|
1, 216, 682 54
|
99, 343 35
|
1, 117, 339 19
|
August
|
1, 324, 266 82
|
89, 024 20
|
1, 235, 242 62
|
September
|
1, 400, 578 05
|
109, 429 92
|
1, 291, 148 13
|
|
$13, 653, 710. 58
|
$907, 677 72
|
$12, 746, 032 86
|
DISTRIBUTION
|
|
Baltimore City
|
$2, 096, 329 51
|
State Roads Commission
|
5, 422, 504 98
|
State Roads Commission for Counties
|
3, 308, 197 19
|
State Roads Commission for Baltimore City
|
1, 417, 798 79
|
State Roads Commission for Incorporated Cities and Towns
|
15, 653 54
|
State Roads Commission Debt Service Fund
|
447, 206 95
|
Tolchester Lines, Inc
|
6, 666 68
|
Administration Account, Fiscal Year 1941
|
31, 675 22
|
|
$12, 746, 032 86
|
|
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