|
286
STATE OF MARYLAND
Receipts Paid into the State Treasury by Clerks of Court
For the Fiscal Year Ended June 30, 1971
|
Source of NPt Receipts by County
|
Total
|
Transfer Tax
|
Recordation
|
|
3 % Commission
|
|
|
|
|
Tax
|
Notary
|
on Locally
|
|
|
|
|
|
Commissions
|
Shared Licenses
|
|
County
|
|
|
|
|
|
|
Allegany
|
$ 87,605 50
|
$ 75,830 43
|
|
$ 1,909 50
|
$ 2,754 57
|
|
Allegany
|
(18 02)(A)
|
|
|
|
|
|
Anne Arundel
|
803,693 83
|
729,071 57
|
|
10,640 00
|
6,760 41
|
|
Baltimore
|
1,183,994 60
|
1,024,202 71
|
|
28,623 50
|
13,343 95
|
|
Baltimore
|
(21.658 00)(A)
|
|
|
|
|
|
Calvert
|
73 885 83
|
71,065 23
|
|
63650
|
50673
|
|
Caroline
|
25,869 49
|
28,192 89
|
|
57960
|
62437
|
|
Carroll
|
192,144 80
|
138,068 68
|
|
1,82400
|
1,966 43
|
|
Cecil
|
101,358 21
|
82,137 31
|
|
1,849 00
|
1,413 31
|
|
Charles
|
206,239 86
|
169,829 76
|
$ 3,486 12
|
86450
|
1,357 16
|
|
Dorchester
|
69,535 21
|
65,728 64
|
|
70300
|
99406
|
|
Dorchester
|
(50 00)(B)
|
|
|
|
|
|
Frederick
|
244,617 09
|
222,653 28
|
|
2,289 50
|
2,750 06
|
|
Garrett
|
47,694 53
|
88,676 24
|
|
41800
|
66955
|
|
Harford
|
279,310 66
|
262,885 78
|
|
3,211 00
|
2,624 84
|
|
Howard
|
587,244 79
|
474,521 08
|
|
2,451 00
|
1,881 28
|
|
Howard
|
(100 00) (A)
|
|
|
|
|
|
Howard
|
(11 00)(B)
|
|
|
|
|
|
Kent
|
49,435 68
|
47,428 95
|
|
64600
|
61378
|
|
Montgomery
|
2,445,423 95
|
2,281,617 92
|
42,326 82
|
15,617 00
|
11,620 35
|
|
Prince George's
Queen Anne's
|
1,849,408 40
69,307 60
|
1,698,366 33
66,637 75
|
|
12,530 50
49400
|
12,860 66
59319
|
|
St Mary's
|
99,835 20
|
83,671 81
|
|
83600
|
1,079 84
|
|
Somerset
|
21,592 55
|
19,293 11
|
|
70300
|
49203
|
|
Talbot
|
125,559 32
|
111,969 48
|
|
80760
|
1,113 43
|
|
Washington
|
203,405 26
|
159,138 24
|
20,900 00
|
2,308 50
|
3,415 05
|
|
Wicomico
|
110,934 77
|
92,382 48
|
|
2,29900
|
2,588 67
|
|
Worcester
|
306,426 29
|
260,928 75
|
|
1,236 00
|
1,665 57
|
|
Baltimore City
|
791,583 48
|
574,834 14
|
88,764 39
|
30,865 50
|
25,911 39
|
|
Baltimore City
|
(25 00)(B)
|
|
|
|
|
|
Total Net Receipts
|
$9,953,749 88
|
$8,774,022 51
|
$ 155,477 33
|
$ 123,841 00
|
$ 98,995 68
|
|
Allocation of Net Receipts
|
|
|
|
|
|
|
General Fund Revenue
|
$1,151,425 97
|
|
$ 155,477 33
|
$ 123,841 00
|
$ 98,995 68
|
|
Special Fund Attainment
|
|
|
|
|
|
|
To License Bureau
|
28,301 40
|
|
|
|
|
|
Non-Budgeted Fund Receipts:
|
|
|
|
|
|
|
Suspense Account
|
8,774,022 51
|
$8,774.022 51
|
|
|
|
|
Total
|
$9,903,749 88
|
$8,774,022 51
|
$ 15o,477 33
|
$ 123,841 00
|
$ 98,995 68
|
( ) Denotes Red Figures
(1) Includes Amusement, Crab Dealer, Palm Reader, Storage Warehouse, Trading Stamp Companies and Junk Dealers Licenses
(2) Reconciliation Exhibit D Exhibit B
Excess Fees $ 617,986 13
(A) Plus Adjustment of Pnor Years Excess Fees 21,671 02 $ 21,671 02
(B) Plus Net Legislative Auditor Adjustments 86 00 86 00
Total Excess Fees Remitted per Exhibit D $ 639,743 15
Total as above $9,953,749 88 ?????????? $9.953,749 88
Total per Exhibit B $9,975,506 90
|
 |