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Annual Report of the Comptroller, 1942
Volume 306, Page 68   View pdf image (33K)
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68 REPORT OF THE COMPTROLLER OP THE TREASURY

STATEMENT "Z"

Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Year Ended December 31, 1941

 

Receipts

Refunds

Net Receipts

January, 1941

$ 1,031,09648

$ 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

October

1,239,441 19

89,617 50

1,149,823 69

November

1,252,97831

79,753 54

1,173,224 77

December

1,135,683 91

78,393 23

1,057,290 68

Total

$14,000,433 37

$929,981 23

$13,070,452 14

DISTRIBUTION

Baltimore City

$ 2,149,320 47

State Roads Commission

5,559,575 46

State Roads Commission for Counties

3,395,803 08

State Roads Commission for Baltimore City

1,455,344 17

State Roads Commission for Incorporated Cities and Towns
State Roads Commission Debt Service Fund

15,048 22
458 518 87

Administration Account Fiscal Year 1941 1942

32,675 22

Tolchester Lines, Inc

4,166 65

Total

$13 070 452 14

Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Fiscal Year Ended September 30, 1942

 

Receipts

Refunds

Net Receipts

October, 1941

$ 1,239 441 19

$ 89,617 50

$ 1,149,82369

November

1,252,978 31

79,753 54

1,173,224 77

December

1,135,683 91

78,393 23

1 057 290 68

January 1942

1,239,654 3t

67 264 69

1,172,389 62

February

1,061,285 61

51,820 81

1,009,464 80

March

976,557 52

5%936 44

922,621 08

April

1,064,556 93

66 463 01

998,093 92

May

1,037,778 95

88,789 08

948,989 87

June

1,011,303 06

100,919 89

910,383 17

July

927,691 51

109,353 60

818,337 91

August

1,215,523 90

90,623 74

1,124,900 16

September

957,118 94

112,821 31

844,297 63

Total

$13,119,574 14

$ 989,756 84

$12,129,817 30

DISTRIBUTION

Baltimore City

$ 1,994,436 55

State Roads Commission

5,158,945 17

State Roads Commission for Counties

3,153,954 06

State Roads Commission for Baltimore City

1,351,694 60

State Roads Commission for Incorporated Cities and Towns

13,899 99

State Roads Commission Debt Service Fund

425,516 27

Administration Account Fiscal Year 1942

31,370 66

Total

$12,129,817 30

 

 

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Annual Report of the Comptroller, 1942
Volume 306, Page 68   View pdf image (33K)
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