REPORT OF THE COMPTROLLER OF THE TREASURY 91
for the Fiscal Year Ended June 30, 1963
RESERVE
|
INCREASES
|
|
EXPENDITURES
|
AND
DECREASES
|
RESERVE
|
|
|
Cancellation
|
Transfer
|
TOTA.L
|
|
Transfers to
|
|
TOTAL
|
BALANCE
|
Prior Year
|
From Other
|
AVAILABLE
|
Net
|
|
|
DEDUCTIONS
|
June 30, 1963
|
Appropriations
|
Funds
|
|
Appropriations
|
General Fund
|
|
|
|
|
|
|
|
Surplus
|
Other Funds
|
|
|
|
|
$ 344 747 50
|
$ 344,747 50
|
|
|
$344 747 50
|
|
|
|
940 646 29
|
940 646 29
|
|
|
940,646 29
|
|
|
|
18.423 478 59
|
18,423 478 59
|
|
|
18,423,478 59
|
|
|
$ 11,819 63
|
3,598 530 63
|
3,598,530 63
|
|
|
3 598 530 63
|
|
$854,96638
|
|
28,819,101 70
|
25,964,105 32
|
$85499638
|
|
2681910170
|
|
|
|
2,663,342 29
|
2,663,342 29
|
|
|
2.663 342 29
|
|
|
|
8,339 910 00
|
8,33991000
|
|
|
8,339,91000
|
|
|
|
642 384 00
|
642 384 00
|
|
|
642,384 00
|
|
|
|
2.333,000 00
|
2.333,000 00
|
|
|
2.333,000 00
|
|
|
|
11,022,044 11
|
11,022,044 11
|
|
|
11,022,04411
|
|
|
|
55,988 40
|
|
55,988 40
|
|
55 988 40
|
|
|
|
492,676 86
|
492,676 86
|
|
|
492 878 88
|
|
|
|
597,929 18
|
589,720 68
|
|
|
589 720 68
|
S 8,208 50
|
|
|
4 149 77
|
|
4,149 77
|
|
4 149 77
|
|
|
|
64,539 16
|
46 826 01
|
|
|
46,826 01
|
17,713 15
|
|
|
105,783 06
|
105,783 06
|
|
|
105,783 06
|
|
|
|
456,381 68
|
456 381 68
|
|
|
456,381 68
|
|
|
1,250 00
|
71,344 24
|
61,607 87
|
|
|
61,607 87
|
9,736 37
|
|
|
7,782 43
|
5,00000
|
2,782 43
|
|
7,782 43
|
|
11.81963
|
|
4,999,884 82
|
4,988 065 19
|
|
1181963
|
4,999 884 82
|
|
|
|
81,613 95
|
69,552 43
|
|
|
69,552 43
|
12,061 52
|
|
|
6,663,094 63
|
6,663,094 63
|
|
|
6,663 094 63
|
|
|
|
182,398 68
|
182 398 68
|
|
|
182,398 68
|
|
|
|
26,438 15
|
26,368 76
|
6939
|
|
26 438 15
|
|
|
|
20,323 90
|
17,223 62
|
|
|
17,223 62
|
3,100 28
|
|
|
208,581 15
|
208,581 15
|
|
|
208,581 15
|
|
|
|
21.670 19
|
10,784 16
|
|
|
10.784 16
|
10,886 03
|
|
|
30,848 28
|
18,577 18
|
|
|
18,577 18
|
12,271 10
|
|
|
1,225 00
|
82512
|
|
|
82512
|
39988
|
|
|
4,99! 23
|
4,932 94
|
|
|
4 932 94
|
5829
|
|
|
16,633 81
|
8,440 43
|
|
|
8,440 43
|
8,193 38
|
|
|
25,584 00
|
11,41307
|
2,57093
|
|
13,984,00
|
11,600.00
|
|
|
9.696 16
|
9,274 98
|
|
|
9,274 98
|
42118
|
|
|
62,190 64
|
22,971 85
|
|
|
22,971 85
|
39,218 79
|
|
|
72,709 02
|
23,19508
|
|
|
23,195 08
|
49,513 94
|
|
|
147,696 65
|
62,940 45
|
29,344 20
|
|
82,28465
|
65,412 00
|
|
|
42,499 78
|
35,06580
|
|
|
35,065 SO
|
7,433 98
|
|
|
90,253 18
|
42,796 82
|
17636
|
|
42 973 18
|
47,28000
|
|
|
2,094 49
|
1,132 54
|
|
|
1 132 54
|
96195
|
|
|
131166
|
97977
|
|
|
97977
|
33189
|
5550
|
|
82,480 50
|
37,76009
|
5550
|
|
37,815 59
|
44,69491
|
|
|
9,084 10
|
1,645 71
|
|
|
1,645 71
|
7,438 39
|
|
|
68.13
|
1630
|
|
|
1630
|
5183
|
|
|
28,268 00
|
7 893 72
|
11,39428
|
|
19,288 00
|
8,980 00
|
|
|
3,537 48
|
1,28631
|
34417
|
|
1 630 48
|
1.90700
|
|
|
49,985 50
|
24,563 95
|
|
|
24,563 95
|
25,421 55
|
|
|
56,315 00
|
32 054 38
|
|
|
32,054 38
|
24,260 62
|
|
|
11,29738
|
5,961 06
|
|
|
5 961 06
|
5,336 32
|
|
|
11,28255
|
1 1,282 55
|
|
|
11,28255
|
|
|
|
111,50820
|
111,50820
|
|
|
111,50820
|
|
|
|
144,035 72
|
144,035 72
|
|
|
144,035 72
|
|
|
19,925,896 11
|
145,130,235 47
|
103,668,424 68
|
|
19,925,89611
|
123,594,320 79
|
21,536,914 68
|
|
|
7.124 15
|
7,124 15
|
|
|
7,124 15
|
|
|
|
455,410 10
|
154,949 18
|
|
|
154,949 18
|
300,460 92
|
2,40835
|
|
1,597,690 54
|
1,093,843 49
|
|
|
1,093 843 49
|
503,847 05
|
1.83107
|
2272
|
627,701 20
|
487,134 96
|
700
|
|
487,141 96
|
140,559 24
|
|
|
14,270 00
|
14,270 00
|
|
|
14,27000
|
|
|
|
57,00000
|
57.00000
|
|
|
57,00000
|
|
|
![clear space](../../../images/clear.gif) |