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Annual Report of the Comptroller, 1970
Volume 334, Page 196   View pdf image (33K)
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STATE OF MARYLAND

Cash Receipts in Detail by Agency, Source and Fund
For the Fiscal Year Ended June 30, 1970

 

GENERAL

FUND

SPECIAL

FUNDS

FEDERAI

FUNDS

     
             

LOAN

NON-

 

Agency and Source

             

BUDGETED

TOTAL

 

Revenue

Budget Credits

Attainment

Budget Credits

Attainment

Budget Credits

FUNDS

FUNDS

 

Public Debt

                 

Property Taxes .......................

   

$ 1,021.66

         

$ 1.021.66

Sales to the Public....................

   

68,725.50

         

68,725.50

Commissions and Royalties.............

   

171.02

         

171.02

Interest on Loan Repayments...........

   

8,189,152.43

         

8,189,152.43

Miscellaneous.........................

   

3.00

         

3.00

Federal Reimbursements...............

   

1,977.00

         

1,977.00

Bond Issues ..........................

   

6,519.06

         

6,519.06

State Bond Loan Repayments..........

   

16,135,427.92

         

16,135,427.92

State Reimbursements.................

   

8,547,238.48

         

8,547,238.48

Reduction of Expenditures.............

   

11.03

         

11.03

Totals.....................

.00

.00

$27,940,247.10

.00

.00

.00

.00

.00

$27,940,247.10

State Aid for Police Protection Fund:

                 

Reduction of Expenditures .............

 

$ 146.00

           

$146.00

Totals.....................

.00

$ 146.00

.00

.00

.00

.00

.00

.00

$146.00

Employees' Retirement System of the

                 

Bute of Maryland:

                 

Sales to the Public....................

 

$ 140.99

$11,227.00

$ 1,003.20

       

$12,371.19

Interest on Investments................

   

789,064.65

         

789,064.65

Other Reimbursements.................

 

6.76

38,049.00

         

38,054.76

State Reimbursements .................

 

8,953,932.62

           

8,953,932.62

Reduction of Expenditures.............

 

39,601.61

           

39,601.61

Totals.....................

.00

$ 8,993,680.98

$ 838,340.65

$ 1,003.20

.00

.00

.00

.00

( 9,833,024.83

State Police Retirement System:

                 

State Reimbursements .................

     

$ 186,431.06

       

$ 186,431.06

Reduction of Expenditures.............

     

2,293.63

       

2,293.63

Totals.....................

.00

.00

.00

188,724.69

.00

.00

.00

.00

$ 188,724.69

General Assembly of Maryland:

                 

Reduction of Expenditures.............

$ 350.00

$ 3,071.46

           

$ 3,421.46

Totals.....................

$ 850.00

$ 3,071.46

.00

.00

.00

.00

.00

.00

$ 8,421.46

General Assembly of Maryland ?

                 

Legislative Council:

                 

Sales to the Public.....................

 

$ 20.00

           

$ 20.00

Reduction of Expenditures

 

1,584.92

           

1,584.92

Totals.....................

.00

$ 1,604.92

.00

.00

.00

.00

.00

.00

$ 1,604.92

State Department of Legislative Reference:

                 

Reduction of Expenditures.............

 

$ 63.00

           

$ 53.00

Totals.....................

.00

$ 63.00

.00

.00

.00

.00

.00

.00

$ 63.00

Department of Fiscal Services ?

                 

General Administration and Control:

                 

Reduction of Expenditures.............

 

$ 53.62

           

$ 53.62

Totals.....................

.00

$ 53.62

.00

.00

.00

.00

.00

.00

$ 53.62

Department of Fiscal Services ? Division

                 

of Fiscal and Special Research:

                 

Reduction of Expenditures .............

 

$ 153.81

           

$ 153.81

Totals.....................

.00

$ 153.81

.00

.00

.00

.00

.00

.00

$ 153.81

Department of Fiscal Services ? Division

                 

of Audits:

                 

Sales to the Public....................

$ 16.00

             

$ 15.00

Other Reimbursements.................

 

$ 98.06

           

98.06

Reduction of Expenditures.............

9.00

823.78

           

332.73

Totals.....................

24.00

$ 421.79

.00

.00

.00

.00

.00

.00

$ 445.79

 

 

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Annual Report of the Comptroller, 1970
Volume 334, Page 196   View pdf image (33K)
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