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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