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for the twelve months ended 31st December, 1931.
REVENUE
Brought forward
Reimbursement from Evcaf for Legal and Audit Services
Reimbursement for Orderlies to Police officers
Sundry Receipts
Municipal Corporation Audit Fees
Fees for private work
Municipal contributions to Hospitals
Temporary levy on salaries of Government Employees
Official Receiver's fees
Reimbursements, Public Work3 Department
4.—POST OFFICE : —
Money Order Commissions
Parcel Post Receipts
Poundage on Postal Orders
Rents for Private Boxes
Miscellaneous
5.—LOAN WORKS :—
Irrigation Works ..
Famasrusta Harbour
6.—RAILWAY :—
Railway Receipts
Road Service Receipts
7.—RENTS AND ROYALTIES :—
Rents ..
•.
..
Royalties
8.—INTEREST OS GOVERNMENT MONEYS
Ottoman Bank
Note Security Fund
Investments :—
Reserve Fund
Surplus Silver Fund
Miscellaneous
9.—MISCELLANEOUS RECEIPTS : —
Sale of Mahlul ..
..
.:
Sale of Wreckage and Salvage
Sale of Sponges
Sale of Confiscated, Old and Unclaimed Articlea
Expenses of Witnesses and Other Cost3 in Criminal Proceedings
recovered
Rebate on account of Freight Charges
Percentage on Stores
Profit on Unallocated Stores, Public W o r k s
Unclaimed Deposits
.. •
Sundry Receipts
Clothing Store: Central Prison
Sale of Government properties
Crown Agents' Surplus Revenue
10.—FOREST REVENUE :—
• Sale of Timber, Fuel, Charcoal, etc.
Timber, Fuel, Grazing and other Permits
Other Revenue ..
..
..
..'
11.—LAND SALES
£ s. cp.
26,6oS 6 7
175 0 0
39 6 1
155 11 8
289 10 0 !
39 16 1
834 12
2,729 3
100 3
1 7
8
1
4
8
348 17 1
2,027 1 0
149 7 8
595 15 0
303 12 4
877 14
959 6
24,618 5
1,802 3
1,903 14
8,575 1
1
0
5
3
2
0
109 11 2
17,950 8 7
i S.
cp.
606.SS3 14 6
31,022 18 2
3.424 13 4
LS37 0 1
26,420 8 8
10.47S 15 2
Total Revenue
1
: 3,708 8
3,024 1
2,063 10
153 2
36 12
44' 4
352 1
925 4
258 11
15 9
3 2
92 3
3,297 8
3,797 0
652 0
186 13
10,420 5
158 8
537 19
3
6
3
3
2
0
7
5
1
6
7
2
6
6
0
3 i
i
i
i
o * 6 <
3
"
26,856 0 3
9.S13 14 3
11,116 13 5
541 IS 4
728,395 17 2