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130 EEPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT B—7
Receipts from Retail Sales and Use Taxes for Fiscal Year
Ended June 30, 1964
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Total
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License
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Retail Sales
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Fees
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and Use Taxes
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Gross Receipts ...........
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$104,688,481.29
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$7,613.00
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$104,680,868.29
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Less: Refunds.......................
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185,284.16
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185,284.16
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Provision for Contingent Refunds. .
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1,600,000.00
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1,600,000.00
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Net Receipts..........
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$103,008,197.18
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$7,618.00
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$102,995,684.13
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Source of Net Receipts —
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Counties:
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Allegany ......................
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$2,485,596.03
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$195.00
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$2,435,400.03
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Anne Arundel.................
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6,674,202.22
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486.00
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6,678,716.22
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Baltimore....................
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15,263,089.45
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970.00
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16,262,069.46
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Calvert...... ..
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276,421.36
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39.00
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275,882.36
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Caroline....
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824,789.76
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64.00
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324,736.76
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Carroll........ ............
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1,033,542.35
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144.00
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1,033,398.86
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Cecil.........................
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796,126.65
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108.00
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795,018.66
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Charles.........
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828,109.68
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88.00
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828,026.58
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Dorchester. ...................
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667,043.84
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86.00
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556,967.84
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Frederick..
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1,898,348.45
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162.00
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1,893,186.45
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Garrett.......................
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304,936.83
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69.00
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304,867.83
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Harf ord....
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1,434,998.42
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186.00
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1,434,812.42
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Howard.. ...
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782,654.16
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98.00
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782,566.16
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Kent......................
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398,200.93
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61.00
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898,149.93
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Montgomery..................
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11,187,449.22
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608.00
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11,186,846.22
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Prince George's......
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11,146,196.65
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760.00
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11,145,445.65
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Queen Anne's................
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281,403.78
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37.00
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281,368.78
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St. Mary's....................
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570,269.38
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98.00
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670,176.88
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Somerset ......................
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280,900.95
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40.00
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230,860.95
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Talbot............
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761,416.82
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62.00
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761,864.82
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Washington.........
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2,678,797.08
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235.00
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2,678,562.08
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Wicomico..
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1,828,247.38
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173.00
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1,828,074.33
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Worcester- ....
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967,647.27
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205.00
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967,442.27
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Baltimore City. .
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83,285,561.86
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2,070.00
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33,288,491.86
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District of Columbia...........
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8,807,982.02
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188.00
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3,807,794.02
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Other Out-of-State. . ...........
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4,989,171.11
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486.00
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4,988,685.11
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Miscellaneous Use Tax........
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972,196.68
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972,195.68
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Provision for Contingent Refunds
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1,600,000.00 *(A)
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1,500,000.00 *(A)
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TOTAL.....
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$103,008,197.13
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$7,613.00
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$102,995,584.13
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Distribution of Gross Receipts —
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General Fund......
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$108,003,197.13
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$7,613.00
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$102,996,584.13
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Refunds................
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185,284.16
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186,284.16
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Provision for Contingent Refunds....
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1.600.000.00 (A)
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1,600,000.00 (A)
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TOTAL ...............
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$104,688,481.29
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$7,613.00
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$104,680,868.29
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(A) $1,600,000.00 IB being held as a reserve for contingent payments of refunds to Federal
Contractors as a result of a decision of the State Court of Appeals.
* Denotes Red Figures.
Summary of
Reserve for Contingent Refunds
Brought Forward June 30, 1963 $286,000.00
Provided During 1964...................... 1,600,000.00
Total to June 30, 1964..................... $1,785,00.00
Refunded During 1964..................... 451,177.68
Carried Forward June 30, 1964
(Statement A-12)............ $1,333,822.32
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