76 REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT "Z"
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Year Ended December 31,1942.
|
Receipts
|
Refunds
|
Net Receipts
|
January, 1942................................................
|
$1,239,664.31
|
$ 67,264.69
|
$1,172.389.62
|
February.............................................................
|
1,061,285.61
|
61,820.81
|
1,009,464.80
|
March....................... ........................................
|
976,657.52
|
53,936.44
|
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
|
910,883.17
|
July........................................................
|
927,691.51
|
109,358.60
|
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
|
October...............................................................
|
914.099.75
|
109,143.55
|
80",956.20
|
November.........................................................
|
1,018,682.12
|
82,049.44
|
936,632.68
|
December........................................................
|
906,292.04
|
84,583.24
|
821,708.80
|
Total...........................
|
$12,330,54.64
|
$1,017,768.80
|
$11,312,775.8"
|
DISTRIBUTION
|
|
Baltimore City...........................................................................................................
|
$1,869,714.36
|
State Roads Commission..........................................................................................
|
4,810,470.54
|
State Roads Commission for Counties...................... . . . . ........
|
2,933,460.58
|
State Roads Commission for Baltimore City........................................................
|
1,257,197.88
|
State Roads Commission for Incorporated Cities and Towns.......................................
State Roads Commission Debt Service Fund . ..............................................
|
13,191.73
896,870.59
|
Administration Account Fiscal Year 1942-1943..............................................................
|
31,870.66
|
Tolchester Lines, Inc.............................................................................................................
|
10,000.00
|
Total................................................................................................
|
$11,812,775.84
|
Statement of Receipts and Distribution of Receipts from Gasoline
Taxes for the Fiscal Year Ended June 30, 1943
|
Receipts
|
Refunds
|
Net Receipts
|
October, 1942...................................................
|
$914,099.75
|
$109,143.55
|
$804,956.20
|
November............................................................
|
1,018,682.12
|
82,049.44
|
936,632.68
|
December............................................................
|
906,292.04
|
8",583.24
|
821,708.80
|
January, 1943...................................................
|
852,509.09
|
76,346.27
|
776,162.82
|
February............................................................
|
731,940.01
|
62,343.86
|
669,596.15
|
March..............................................................
|
730,906.63
|
82,656.78
|
648,250.85
|
April....................................................................
|
880,877.36
|
70,349.97
|
810,527.39
|
May............................................................... .
|
846,536.17
|
81,297.17
|
765,239.00
|
June......................................................................
|
821,161.38
|
124,793.22
|
696,368.16
|
Total............................
|
$7,703,004.55
|
$773,562.50
|
$6,929,442.05
|
DISTRIBUTION
|
|
Baltimore City..................................................................................................................
|
$1.098,897.75
|
State Roads Commission......................................................
|
2,841,162.53
|
State Roads Commission for Counties......................................................
|
1,734,284.64
|
State Roads Commission for Baltimore City...........................................................
|
748,264.85
|
State Roads Commission for Incorporated Cities and Towns ......................
|
8,907.77
|
State Roads Commission Debt Service Fund....................................
|
248.104.63
|
Administration Account Fiscal Year, 1943 .........
|
21,931.33
|
Maryland State Guard........................................
|
236,232.00
|
Tolchester Lines, Inc..................................... . ........... ..........................
|
2.166.55
|
Total........................ .
|
$6,929,442.06
|
|
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