96 REPORT OF THE COMPTROLLER OF THE TREASURY
EXHIBIT B—Continued
|
|
GENERAL
|
|
TOTAL
|
|
|
|
Revenue
|
Coppm State Teachers College
|
29 696 11
|
66138
|
Maryland Teacher's Retirement System
State Aided Educational Institutions
|
189 187 11
6 560 00
|
4,560 00
|
University of Maryland and State Board of Agriculture
Department of Employment Security
|
3,112 228 53
6,556 841 22
|
254 681 44
|
Maryland Port Authority
|
18,057 69
|
|
Total Cash Receipts Applicable to Fiscal Year 1962
|
$840,807,746 21
|
$251 112,194 12
|
ADVANCE COLLECTIONS
|
|
|
Morgan State College.
|
$ 75,124 89
|
|
St Mary's Seminary Junior College
State Teachers College — Frostburg
State Teachers College — Salisbury
|
11,92029
5° ,940 00
1?,450 00
|
|
State Teachers College — Towson
|
101,322 50
|
|
Total Advance Collections Applicable to Fiscal Year 1963
|
$253,757 68
|
|
TOTAL ALL CASH RECEIPTS INTO THE STATE
|
|
|
TREASURY DURING THE FISCAL YEAR 1962
|
$841,061,503 89
|
$251 112 194 12
|
SUMMARY
|
|
|
GENERAL
|
|
%
|
TOTAL
|
|
|
|
|
Revenue
|
Real and Personal Property Taxes
Franchise Taxes
|
292
143
|
$24,587,355 98
12,017,847 33
|
$ 3,118 39
11,690,759 83
|
Tax on Insurance Companies
|
118
|
9,917,981 43
|
9,916,011 93
|
Motor Vehicle Fuel Tax
|
724
|
60,922,873 28
|
|
Motor Vehicle Revenue
|
382
|
32,167,156 24
|
.
|
Motor Vehicle Titling Tax
|
146
|
12,248,138 93
|
|
Alcoholic Beverages Excise Taxes
Income Taxes
|
120
1611
|
10,059,934 16
135,521,244 20
|
7,602,446 04
93,883,857 89
|
Retail Sales and Use Taxes
|
1085
|
91,213,221 68
|
90,965,265 83
|
State Tobacco Tax
|
263
|
22,111,194 45
|
11,175,220 53
|
Tax on Horse Racing
|
106
|
8,908,341 69
|
5,897,539 60
|
Tax on Admissions
|
11
|
916,129 10
|
|
Death Taxes
|
84
|
7,085,330 34
|
7,085,330 34
|
Miscellaneous Fees, Fines and Forfeitures
Miscellaneous Revenue
|
21
76
|
1,753,372 47
6,413,228 91
|
1,690,184 73
6,405,472 86
|
Miscellaneous Working Funds
|
1352
|
113,678,677 86
|
.
|
Miscellaneous Funds
|
996
|
83,740,498 65
|
|
Loan Funds
|
582
|
48,943,647 25
|
|
State Departments
|
1888
|
158,855 329 94
|
4,796,986 15
|
TOTAL
|
100 00
|
$841,061,503 89
|
$251,112,194 12
|
Reconciliation to Cash Summary by Funds — Statement A — 1
General Fund Revenue
|
$251,112,194 12
|
General Fund Budget Credits
|
7,700,337 13
|
Advances to Departments from the General Fund
|
128 555 00
|
Investments — General Fund
|
113,164,822 86
|
Investments — Certificates of Deposit
|
385,300 00
|
Total Per Statement A — 1
|
$372,491,209 11
|
* Denotes Red Figures
|
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