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146 REPORT OF THE COMPTROLLER OF THE TREASURY
EXHIBIT "S"
Estimated General Fund Surplus as of June 30, 1952
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General Fund Surplus, July 1, 1951 (Exhibit "A")
Encumbered................................................................
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$8,345,763.50
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Unappropriated........ ..........................
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4,386,202.71
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Total.....................................................................
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$12,731,966.21
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Add: Transfer from Board of Public Works Construction Fund of
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1949 .............. ......... .......
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$ 1,500,000.00
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Estimated Revenues (Exhibit "Q") ..................................
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78,565,526.50
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Total Estimated Additions.........
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80,065,526.50
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Total Available...................................................
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..................
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$92,797,492.71
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Deduct: Appropriations (Exhibit "R")......................
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$88,911,290.00
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Less Estimated Reversions......................
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500,000.00
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Net Appropriations.............................................
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88,411,290.00
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Total Estimated General Fund Surplus as of June 30, 1952........
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..............
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$ 4,386,202.71
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