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WM. PRESTON LANE, JR., GOVERNOR.
1207
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Acct.
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No.
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#
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1948
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#
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1949
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603A Reconstruction Fund — Current ................
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775,457.97
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1,263,989.55
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603-1 Special Project, Ocean City Beach Protection.......
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30,000.00
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30,000.00
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603-2 Prison Labor Projects..........................
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200,000.00
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200,000.00
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603-3 Contingent Fund (Snow Removal and Correction
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.
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of Flood Damage) ...........................
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100,000.00
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100,000.00
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603-5 Payments to Incorporated Towns ...............
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40,000.00
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40,000.00
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Fixed Charges:
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701-1 Rent, Offices and Garages ......................
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15,000.00
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15,000.00
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701-2 Equipment Rent ...............................
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60,000.00
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50,000.00
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702-1 Insurance .....................................
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10,000.00
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10,000.00
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702-2 Insurance, to be paid direct by State Treasurer's
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Office .......................................
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32,945.75
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4,345.00
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703 Pensions ......................................
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280,000.00
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300,000.00
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704 All Other .....................................
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10,000.00
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10,000.00
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704-1 Debt Service, State Roads Comm. Debentures.......
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826,451.38
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832,024.71
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704-2 Debt Service, County Obligations ...............
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3,000.00
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3,000.00
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704-3 Debt Service, Baltimore City...................
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1,558,747.50
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1,601,632.65
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704-4 Payments, direct to County Authorities, for
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Maintenance of Road Systems ...............
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2,018,941.68
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2,074,487.59
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704-5 State Funds required to Operate and Maintain
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Toll Bridges, exclusive of Salaries............
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135,715.00
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135,715.00
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704-8 Current Debt Service, Ferry Improvement Bonds
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117,750.00
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117,750.00
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Totals .....................................
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9,940,880.95
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10,178,069.96
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SUMMARY.
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1 Salaries, Wages and Special Payments..........
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5,737,242.00
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5,872,179.00
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2 Operating Expenses .............................
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9,940,880.95
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10,178,069.96
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Total Appropriations from Special Funds ....
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15,678,122.95
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6,050,248.96
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