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THE CYPRUS GAZETTE,
IZTH
MAY, i960.
183
III.—REVENUE OUTSTANDING O N 31ST DECEMBER, 1958.
£ mils
1.—(o) Professional licences .. .. 151 075
4.—(a) Municipal Markets' rents .. 4 500
£155 575
1.
3.
Head and Sub-head.
RECEIPTS.
Original
Estimate.
and
(b)
(c)
(«)
(/)
Licences and permits
(a) Profession, trade
business licences
D o g licences
Theatrical, cinemato-
graphical, etc., lioences
Building, etc., permits
Hotels
Bicycles
Conservancy and other
rates:—
(a) T o w n rates
Fees and tolls :—
(a) Slaughter-house fees
Weighing fees
Hawking fees
Fees for sealing of
weights and measures
Fees and tolls of
Municipal Markets . .
Rent :—
(a) Municipal Markets'
rents
Miscellaneous receipts :—
(a) Fines . .
(b) Costs and compensa–
tion
Sale of confiscated
goods
Other sales
Sale of electrical under–
taking
6
(c)
<<0
(/)
750
50
160
40
1
20
680
170
130
10
Actual
Receipts.
mils £ mils
— 629 —
— 51 950
— 37 690
— 23 450
— 24 500
1 —
260 —
50 —
653
154
128
20
252
52
3
500
405
415
210
055
145
600
500
id)
(e)
(/)
Total Receipts on General
Account.. .. .. 2,334 —r
'Opening Balance on 1st January, 1958,
General Account:
£ mils
Bank .. . . 625 —
Cash
98 173
LOANS A N D DEPOSIT ACCOUNTS.
1.
4.
5.
1 500
— 2,746 132
4,779 052
723 173
11
12
13
£5,502 225
•Opening Balance on 1st
January, 1958, Loans
and Deposit Accounts: £ mils
Bank.. .. 192 —
Cash .. .. 5 816
£ mils
497 816
14
£197 816
Head and Sub-head
PAYMENTS.
Original
Estimate.
£ mils
960 —
(b)
20 —
120 —
10
180
144
Salaries and wages :—
(a) Permanent employees
Conservancy andfirepro–
tection
Parks and public gardens
Maintenance and improve–
ment of water supply
6. Public Works—annually
recurrent :—
(a) Maintenance and up–
keep of existing
roads..
Maintenance and up–
keep of existing Muni–
cipal buildings, etc.
(c) Town lighting
8. Rents
9. Subscriptions and pay–
ments
especially
approved :—
(a) Educational schemes
or institutions
(c) Hospitality
to
honoured guests
(d) Other especially
approved payments
10. Charity :—
(c) Contribution to chari–
table schemes or
institutions
For social welfare
purposes
Social Insurance
Fund
Furniture and fittings ..
Government Audit
Miscellaneous payments :-
(a) Stationery, postage
and printing
(b) Uniforms of Municipal
employees
(d) Taxes on Municipal
properties
(/) Travelling expenses . .
(g) Fines, fees of Court
and legal expenses . .
(j) Telephone rentals,
trunk calls, etc.
Loans, repayment of
Total Payments on Gene–
ral Account . . .. 2,330 040
Closing Bal nc on 31st December, 1958,
General Account:
£ mils
Bank .. .. 650 —
Cash
138 363
Actual
Payments,
£ mill
960 —
290 — 310 105
2 — — —
82 955
158 295
9 665
256 642
144 —
83
5
5
75
70
15
10
5
20
10
10
10
25
260
~~~~
200
840
83
74
68
14
52
5
35
8
7
32
2,410
055
150
890
457
940
100
130
350
554
574
4,713 862
788 363
£5,502 225
LOANS A N D DEPOSIT ACCOUNTS.
Closing Balance on 31st
December, 1958, Loans
and Deposit Accounts: £ mils
Bank.. .. 192 —
Cash .. .. 5 816
£ mils
197 816
£197 816
Lefkoniko,
M.
PAPADEMETRIOU,
M.
KAMINTZIS,
29th January, 1959.
Treasurer.
Acting Mayor.
I hereby certify that the accounts of the Municipal Corporation of Lefkoniko for the year 1958 have beea
examined and agree with the above Statement.
I. STATHIS,
24th September 1959.
for Acting Chief Auditor.