|
REPORT OF THE COMPTROLLER OF THE TREASURY 149
|
TRANSFERS
|
IN
|
TRANSFERS
|
OUT
|
|
|
Cancellation
|
|
|
|
BALANCE
|
|
Prior Year
|
Excess
|
Supplemental
|
General Fund
|
June 30, 1967
|
|
Appropriations
|
Attainment
|
Attainment
|
Surplus
|
|
|
|
289,158.06
|
193,024.61
|
|
289,158.06
|
|
|
61,336.25
|
73,006.55
|
|
61.336.25
|
|
|
28,606.46
|
20,116.00
|
|
28,606.68
|
|
|
5,997.82
|
|
|
5,997.82
|
|
|
|
|
|
|
|
|
1,488.05
|
|
|
1,488.05
|
|
|
6,350.04
|
|
|
6,416.84
|
|
31,838.00
|
|
29,434.66
|
|
2,404.00
|
|
653.45
|
29,877.18
|
187,073.80
|
|
37,776.88
|
|
|
16,098.51
|
186,808.51
|
|
707,841.25
|
|
|
60.00
|
25,657.87
|
|
121.45
|
|
|
248,510.69
|
246,581.07
|
|
248,510.69
|
|
|
26.09
|
|
|
26.09
|
|
|
2,831.55
|
3,421.00
|
|
8,071.32
|
|
|
15,295.84
|
5,050.00
|
|
15,295.84
|
|
|
22,799.34
|
21,605.00
|
|
34,625.61
|
|
|
14,511.05
|
|
|
14,511.05
|
|
|
1,559.21
|
1,324.28
|
|
1,559.21
|
|
|
37,580.04
|
|
|
37,588.49
|
|
|
55,964.94
|
43,419.24
|
|
63,910.13
|
|
|
|
7,260.94
|
|
44,302.71
|
|
895.07
|
659,426.16
|
|
|
727,969.84
|
|
$ 62,645.41
|
$74,981,204.44
|
$66,576,131.03
|
$139,086.80
|
$28,704,766.64
|
|
6,332.12
|
921,470.21
|
2,726,312.60
|
9,696.07
|
(A)l,168,174.08
|
|
$ 68,977.53
|
$75,902,674.65
|
$69,302,443.63
|
$148,782.87
|
$29,872,940.72
|
|
 |