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Annual Report of the Comptroller, 1977
Volume 341, Page 314   View pdf image (33K)
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STATE OF MARYLAND

Receipts From Various Franchise Taxes and Fees
For the Fiscal Year Ended June 30, 1977

COLLECTED BY STATE DEPARTMENT OF ASSESSMENTS AND TAXATION

GROSS RECEIPTS ........................................... $33,753,767.04

LESS REFUNDS ........................................... 199,561.44

NET RECEIPTS ............................................. $33,554,205.60

SOURCE OF NET RECEIPTS:

 

   

Ordinary

             
     

Business

             
     

Corporations

             
     

and Domestic

Net Earnings

Interest

Foreign

     

Gross Receipts

     

Corporation

Financial

and

Corporation

Recording

Recerda-

Transfer

Public

 

Total

Bonus Tax

Filing Fees

Institutions

Penalty

Filing Fees

Fees

tion Tax

Tax

Utilities

COUNTIES:

                   

Allegany .......................................
Anne Arundel .................................

$ 21,170.00
120,820.00

 

$ 21,170.00
120,820.00

             

Baltimore .....................................

247,885.00

 

247,885.00

             

Calvert ...............

6,740.00

 

6,740.00

             

Caroline .......................................

6,810.00

 

6,810.00

             

Carroll ........................................

32,660.00

 

32,660.00

             

Cecil ...........................................

16,370.00

 

16,370.00

             

Charles

22,225.00

 

22,225.00

             

Dorchester .................

11,100.00

 

11,100.00

             

Frederick

33,480.00

 

33,480.00

             

Garett ..............

8,540.00

 

8,540.00

             

Harford ........................................

35,700.00

 

35,700.00

             

Howard ........................................

48,675.00

 

48,675.00

             

Kent ...........................................

7,240.00

 

7,240.00

             

Montgomery ....................................

278,275.00

 

278,275.00

             

Pnnce George's .................................

190,940.00

 

190,940.00

             

Queen Anne's ...................................

7,670.00

 

7,670.00

             

St. Mary's .....................

11,020.00

 

11,020.00

             

Somerset .......................................

3,480.00

 

3,480.00

             

Talbot ...........

16,220.00

 

16,220.00

             

Washington ....................................

40,990.00

 

40,990.00

             

Wicomico .......................................

28,930.00

 

28,930.00

             

Worcester ......................................

24,165.00

 

24,165.00

             

Baltimore City ....................................

413,665.00

 

413,665.00

             

Unallocated Funds ? Maryland .....................

30,409,176.81

$227,369.00

 

$9,678,777.93

$36,310.57

 

$393,240.60

$95,144.74

$314,176.57

$19,664,157.40

Unallocated Funds? Out-of-State ..................

1,510,258.79

   

1,099,405.20

9,536.59

$401,317.00

       

Total Net Receipts ............................

$33,554,205.60

$227,369.00

$1,634,770.00

$10,778,183.13

$45,847.16

$401,317.00

$393,240.60

$95,144.74

$314,176.57

$19,664,157.40

ALLOCATION OF NET RECEIPTS:

                   

General Fund Revenue ............................

$32,281,026.47

$227,369.00

$817,385.00

$10,778,183.13

$45,847.16

$401,317. 00.

$346,767.78

   

$19,664,157.40

SPECIAL FUND ATTAINMENT:

                   

To Subdivisions .................................

817,385.00

 

817,385.00

             

NON-BUDGETED FUND CASH:

                   

Reserve ........................................

409,321.31

           

$95,144.74(A)

$314,176.57(B)

 

To Clerk of Court ...............................

40,480.00

         

40,480.00

     

To Local Newspapers ............................

5,992.82

         

5,992.82

     
 

455,794.13

         

46,472.82

95,144.74

314,176.57

 

TOTAL ALLOCATION OF NBT RECEIPTS ............

$33,554,205.60

$227,369.00

$1,634,770.00

$10,778,183.13

$45,847.16

$401,317.00

$393,240.60

$95,144.74

$314,176.57

$19,664,157.40

(A) Recordation tax in the amount of $95,144.74 will be distributed to subdivisions in the 1978 fiscal year.

(B) Transfer tax in the amount of $314,176.57 will be distribu-ed to subdivisions in the 1978 fiscal year.

SCHEDULE B?1

 

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Annual Report of the Comptroller, 1977
Volume 341, Page 314   View pdf image (33K)
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