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CONTENTS
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Page
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Letter of Transmittal..........................................................
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9
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Tax Dollar Chart................................................................ Bet.
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10-11
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EXHIBIT A
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Combined Balance Sheet as of June 30, 1954 ................ Bet.
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12-13
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Statement A-1
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Cash Summary.................................................................... Bet.
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12-13
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A-2
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Advances to Departments from General Funds ............
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13
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A-3
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Collectors Tax Accounts, Exclusive of Interest..............
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16
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A-4
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Corporation Tax Accounts, Exclusive of Interest..........
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28
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A-5
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Summary of Accounts Receivable from Counties and
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Baltimore City for Care and Maintenance of Persons
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in State Hospitals and Training Schools...................... Bet.
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30-31
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A-6
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Summary of Notes Receivable..........................................
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31
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A-7
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Investments..........................................................................
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32
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A-8
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Property................................................................................
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34
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A-9
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General Fund, Special Fund and Federal Fund Appro-
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priation Accounts............................................................ Bet.
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38-39
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Schedule A-9-1
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Legislative Appropriation Accounts ................................
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39
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A-9-2
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State Aided Institutions Appropriation Accounts..........
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46
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A-9-3
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State Department of Education Appropriation Ac-
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counts................................................................................ Bet.
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48-49
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A-9-4
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Distribution of State and Federal Funds to Political
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Subdivisions...................................................................... Bet.
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48-49
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A-9-5
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Public Assistance Appropriation Accounts ...................... Bet.
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48-49
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A-9-6
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Miscellaneous Appropriations No. 2..............................
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49
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A-9-7
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Board of Public Works Construction Fund of 1949 ......
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50
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Statement A-10
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Loan Fund Accounts........................................................
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52
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A-11
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Annuity Bond Fund Account............................................ Bet.
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60-61
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A-12
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Federal and Miscellaneous Funds ....................................
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62
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A-13
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Board of Public Works — General Emergency Fund. ...
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64
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A-14
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Bonded Indebtedness. . .....................................................
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65
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A-15
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General Fund, Special Fund, and Federal Fund Surplus
Accounts, for the Fiscal Year Ended June 30, 1954....
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74
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A-16
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Analysis of Reserve to Supplement 1955 General Fund
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Revenues...................................................................
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75
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EXHIBIT B
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Cash Receipts into the State Treasury............................ Bet.
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76-77
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Statement B-l
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Corporation Franchise Tax Receipts................................
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77
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B-2
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Receipts from Tax on Admissions...................................
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78
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B-3
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Receipts and Distribution of Motor Vehicle Fuel Taxes
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79
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B-4
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Receipts and Distribution of Motor Vehicle Fees and
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Fines.................................................................................
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80
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