94
STATE OF MARYLAND
Social Services Administration—Appropriation Accounts
For the Fiscal Year Ended June 30, 1976
|
|
Aid to
|
Public
|
|
|
|
Families With
|
Assistance
|
General
|
|
Total
|
Dependent
|
to
|
Public
|
|
|
Children
|
Adults
|
Assistance
|
1976 Balance Forwarded — General Fund
|
$ 200,000
|
|
$ 200,000
|
|
Appropriation— General Fund
Appropriation — Federal Fund
Budget Credits (Per Contra)
|
121,647,167
141,172,963
18,986,887
|
$69,010,500
71,670,600
82,417
|
1,244,000
|
$ 19,432,000
100,000
|
Total Available
|
$ 281,966,957
|
$140,618,417
|
$ 1,444,000
|
$ 19.632,000
|
Disbursements — Net
|
|
|
|
|
Counties
|
|
|
|
|
Allegany
|
$2,494,268
|
$ 1,370,916
|
$ 2.845
|
$ 28,619
|
Anne Arundel
|
11,668.278
|
7,129,064
|
10.868
|
689,177
|
Baltimore
|
10,134,616
|
5.827,660
|
18,728
|
281.208
|
Calvert
|
1,669,620
|
1,086,397
|
290
|
8,994
|
Caroline
|
1,490.910
|
742,204
|
6,419
|
89.930
|
Carroll
|
2,242,067
|
926,257
|
9.986
|
14,686
|
Cecil
|
2,640,180
|
1,345,227
|
2,238
|
100,858
|
Charles
|
2,981,532
|
1,891,036
|
8,824
|
62.629
|
Dorchester
|
1,768,882
|
868,284
|
9,109
|
86,733
|
Frederick
|
2,287,636
|
870,206
|
2,866
|
(936)
|
Garrett
|
1,026,617
|
586,108
|
1,200
|
19.897
|
Harford
|
4,427,660
|
2366,466
|
3,280
|
174,066
|
Howard
|
800,122
|
881,396
|
9,378
|
12.221
|
Kent
|
685.748
|
268,818
|
1.108
|
14,748
|
Montgomery
|
11,682.489
|
6,454,007
|
17,405
|
761,004
|
Prince George's
Queen Anne's
|
22,003,645
789,794
|
14,776340
422,299
|
19,908
4.576
|
563.886
34.363
|
St Mary's
|
2386,547
|
1355.915
|
2.615
|
22,128
|
Somerset
|
931.782
|
400,899
|
697
|
11,443
|
Talbot
|
569,218
|
248.099
|
6,412
|
(6,175)
|
Washington
|
2,684,899
|
1,428,126
|
2.044
|
5,996
|
Wlcomico
|
3,029,188
|
1,654,090
|
1,618
|
182,913
|
Worcester
|
500.680
|
228,261
|
1.146
|
(17.826)
|
Baltimore City
|
Ii6.402.911
|
88,418 931
|
279,938
|
14,665,582
|
Baltimore City Employee^' Benefits
State Department of Human Resources
|
564,767
21,122,080
|
|
1.068,868
|
|
State Agencies Employees' Benefits
|
2,399,038
|
|
|
|
Year End Adjustment
|
6,660
|
|
|
|
Total Disbursements — Net
|
260,608.804
|
141,428,982
|
1,481.657
|
17,579,434
|
Budget Credits (Per Contra)
|
18,936,887
|
82,417
|
|
|
Total Disbursements
|
279,645,141
|
141,461,399
|
1.481,667
|
17,579,484
|
Reversions
|
9,176
|
|
|
|
Balance — June 30, 1976 — General Fund
|
3,288
|
|
|
|
Cancellation of Federal Fund Appropriation
|
2,399,408
|
(847,982)
|
(87.667)
|
1,952.666
|
TOTAL
|
$ 281,956,957
|
$140.618,417
|
$ 1.444,000
|
$ 19,682,000
|
( ) Denotes Red Figured
|
|