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Annual Report of the Comptroller, 1962
Volume 326, Page 46   View pdf image (33K)
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46 REPORT OF THE COMPTROLLER OY THE TREASURY

SCHEDULE A—9-4
Public Assistance Appropriations

 

   

Aid to

Public

Aid to

   

Old Age

Dependent

Assistance to

Permanently

 

Total

Assistance

Children

Needy Blind

and Totally
Disiabled

Balance, July 1, 1961— General Fund

$47,030 18

       

Appropriation— General Fund
Appropriation — Federal Fund

19,596,264.00
22,217,415 00

$1,642,263 00
4,765,722 00

$5,728,062 00
12,286,584 00

$123,90600
238,434 00

$1,417,097 00
3,322,824 00

Cancellation of Federal Fund Appropriation

1,162,765 56

335,561 31

874,179 46

29,423 39

123,599 35

Budget Credits (Per Contra)

334,920 73

25,776 51

143,169 24

1,482 03

31,219 47

Total Available

$41,032,864 35

$6,098,200 20

$17,463,635 78

$334,378 64

$4,647,541 12

Disbursements— Net

         

Counties

         

Allegany

$1,205,384 26

$282,461 20

$478,780 36

$12,040 70

$157,429 04

Anne Arundel

1,087,141 95

197,492 30

467,144,40

8,205 74

125,243 36

Baltimore

1,053,475 16

258,041 39

273,686 94

2,727 66

106,901 09

Calvert

162,017 48

37,524 24

84,665 68

64022

12,266 60

Caroline

322,282 90

79,984 73

97,764 78

2,371 18

41,319 63

Carroll

328,824 73

110,18529

83,161 21

1,350 36

59,972 71

Cecil

583,209 08

76,389 71

284,766 47

2,809 64

61,527 81

Charles

309,571 21

49,900 57

157,388 74

5,399 22

29,565 29

Dorchester

360,668 00

87,986 97

115,52459

4,571 93

50,364 44

Frederick

379,113 58

94,063 53

154,775 01

1,588 54

37,331 06

Garrett

470,537 96

116,92510

210,544 39

2,371 50

53,574.86

Harford

341,91709

61,545 58

121,130 68

75078

16,285 85

Howard

123,542 07

27,370 70

45,474 54

44921

14,583 19

Kent

128,520 50

41,301 97

29,029 80

1,177 97

18,022 32

Montgomery

878,185 48

163,738 25

249,614 66

4,531 42

63,079 28

Pnnce George's
Queen Anne s

1,645,907 33
216,977 77

229,587 05
72,055 59

887,542 93
49,801 49

7,744 43
1,80000

138,652 47
41,775 62

St Mary's

599,054 49

109,096 24

317,587 65

3,191 26

52,11674

Somerset

350,251 44

76,553 93

110,505 19

4,28560

43,982 61

Talbot

164,662 18

47,760 68

34,767 54

91414

19,061 59

Washington

1,091,151 16

215,005 20

521,931 02

5,474 76

104,863 84

Wicomico

606,526 10

115,473 49

271,742 08

3,643 00

57,422 00

Worcester

258,323 08

75,871 78

60,568 63

2,803 26

32,553 54

Baltimore City

24,282,115 92

3,134,978 69

10,977,891 08

217,712 52

2,868,135 91

Baltimore City Retirement System

224,267 33

       

State Department of Public Welfare

486,580 46

       

State Retirement System — Retirement and

         

Social Security

48,629 09

       

State Office Buildings — Amortization and Mainte

         

nance

8,687 90

       

Houses of Good Shepherd

217,398 00

       

Total Disbursements— Net

$37,930,903 68

$5,760,074 16

$16,065,785 86

$298,455 04

$4,202,029 75

Budget Credits (Per Contra)

334,920 73

25,776 51

143,169 24

1,482 03

31,21947

Total Disbursements

$38,265,824 41

$5,785,850 67

$16,208,955 10

$299,917 07

$4,233,249 22

Reversions

2,722,301 19

312,349.53

1,254,680 68

34,461 57

414,291 90

Balance, June 30, 1962— General Fund

44,738 75

       

Total

$41,032,884 35

$6,098,200 20

$17,463,635 78

$334,378 84

$4,647,541 12

* Denotes Red Figures

(A) Medical care disbursements for receipients of welfare are made by the State Department of Health and are shown in
"Memo" on this statement because of Federal Funds participation in the program These General Funds are included
in the Health Department's budget and transferred to the Welfare Department by amendment, then returned to the
Health Department by disbursement transmittal for amounts earned and by amendment for unexpended balance at end
of year

The Federal Funds are credited direct to General Fund Revenue by Journal Entires to the Comptroller from the Welfare
Department

Public Medical Care $1,209,497 00
Medical Assistance to the Aged 1,825,87700

General Funds $3,035,374 00
Federal participation $1,575,675 57

 

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Annual Report of the Comptroller, 1962
Volume 326, Page 46   View pdf image (33K)
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