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65
for the twelve months ended 31st December, 1933.
REVENUE
Brought forward
Municipal Corporations for Infant Welfare
Municipal Corporations for certain roads
Sundry Officials for PoUce OrderUes
War Office towards salaries of PubUc Works Department Officials
MisceUaneous:—
Temporary* levy on salaries
Sundry Receipts ..
4 . — P O S T OFFICE : —
Money Order Commissions
Parcel Post Receipts
Poundage on Postal Orders
Rents for Private Boxes
MisceUaneous
5.—LOAN WORKS :—
Irrigation Works ..
Famagusta Harbour
6.—RAILWAY :—
RaUway Receipts
Road Service Receipts
Remuneration for Wharf Terminal Services
Receipts from Government Departments
7.—RESTS AND ROYALTIES :—
Rents
R o valties
8. INTEREST 0>* GOVERNMENT MONEYS :—
Ottoman Bank
Note Security Fund
Advances to Co-operative Credit Societies
Reserve Fund
Surplus Silver Fund
MisceUaneous
9.—MISCELLANEOUS RECEIPTS :—
Sale of Mahlul
Sale of Stores
Sale of Wreckage and Salvage
Sale of Government Properties
Shipping Rebates..
Recoveries:—
Costs of Prosecutions
Overpayments in previous years
Repatriation Expenses
L'nclaimed Deposits
Appreciation in Reserve Fund Investments
Share of Profit on PubUc Loans Fund ..
Sundry Receipts
10.—FOREST R E V E N U E *.—
Sale of Timber, Fuel, Charcoal, etc.
Timber, Fuel, Grazing and other Permite
Other Revenue
11.—LA>*D SALES
12.—COLONLVL DEVELOPMENT FUND
Total Revenue
£ s. cp,
24,331 19 2
222 14 0
619 10 0
44 2
591 17
577 16
93 16
302 11
143 5
1,943 0
575 18
o
4
0
6
4
37 9 6
14,186 0 0
i *. cp.
626,878 0 5
0
5
14,362 8 7 i
438 15 6
245
1,773
135
570
297
423
865
15,559
3,5.55
450
1,548
1,834
5,585
817
1S.378
2,504
4,045
6
9
12
5
12
3
o
9
0
0
1
7
0
10
6
6
6
2,995 14
1,615
35
697
80
500
208
4
9
6
m
1
0
4
1
5 ;
0 i
°!
3
•i
-1
!
s
8
0
0
1
6
1
5
2
1 i
S
7 1
3 '
5
6
4
o
3 ;
5S6 1 6
:
10,402 12 4
104 6 6 i
5S1 16 1 |
40,611 7 2
3,022 5 0
1,288 6 4
21,112 11 7
7,419 7 7
30,356 8 8
5,743 17
11,088 15 2
37 9 6
14.186 0 0
761,744 10 3
10