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THE CYPRUS GAZETTE,
26TH
MAY, i960.
19;
Municipal Corporation of Larnaca.
A N N U A L ACCOUNTS OF RECEIPTS
AND PAYMENTS FOR THE YEAR
1957.
(M.I. 1975/59.
I.—SUMMARY.
Loans A/C.
Deposit A/C.
Balance on 1st January, 1957
Add Receipts
Total
Deduct Payments
RECEIPTS.
Original
Head and Sub-head. Estimate.
1. Licences and permits :—
(a) Professional Licences
(b) D o g licences ..
(c) Theatrical, etc. Licences
(d) Building permits
(e) Hotels, Lodging Houses
(J) Offensive trade licences
2. Conservancy and other
£
6,000
100
9,000
2,500
500
500
rates :—
(a) Town rates .. . . 9,700
(b) Removal of refuse . . 1,000
3. Fees, tolls and rents of
markets:—
(a) Slaughter-house fees 6,500
(6) Weighing fees .. 11,000
(c) Hawking fees ..
100
(d) Sealing of weights, etc. 1
(e) Fees and tolls
.. 4,500
(/) Rents of shops and stalls 3,100
(g) Receipts from fairs . . 200
Town Fund
General A/C.
£ mils
721 501
62,203 128
62,924 629
65,200 931
| Advance A/C.
£ mils
1 ~ "
571 117
571 117
571 117
£
9,442
31,000
40,442
14,591
25,851
mils
676
676
098
578
£
575
1,285
1,860
1,822
38
mils
600
106
706
566
140
II.—LOANS A N D LIABILITIES.
of
oan
Rate of
interest
4%
4%
3i%
4J%
4°*'
~ o
40
5 1
u
40/
40'
^
,0
4°'
* io
41 O'
4!"/
^2 'o
Amount outstanding
on 31st December, 1957
£
5,968
12,578
8,240
6,657
5,144
5,395
27,199
15,556
4,068
1.H33
27,000
4,000
910
130
mils
100
539
817
600
378
561
750
204
395 1
418
-
|
f
I
£124.682 _762_ |
Remarks
Road Repairs.
Roads and Vehicles.
Workers' Housing Scheme.
Road Repairs.
Market at Old Larnaca.
Drains and Bridges.
Extension of Municipal Market.
Road Repairs.
Road Repairs.
Peripteron & Piale Pasha Parks.
Extension of Municipal Market.
Improvement of Poorhouse.
Repairs of Club Premises.
Construction of Taxi Office.
31s* Decembrr, 1957
I
Description
Head and Item
to be charged | Amount
istr. Ltd.
Slaughter-house truck spares.
Conservancy.
Parks—reflectors.
Upkeep of roads—trucks.
do.
do.
Town Lighting.
Welfare purposes contribution.
Insurance.
Hot Baths.
1.—(D) (iii)
1.—(E) (iii)
3.—(iii)
4.—(i)
4.—(i)
4.—(i)
4.-(c)
8.—(a)
11.—(1)
11.—(q)
£ mils.
2.150
20.700
13.000
16.230
331.775
1,044.150
944.479
3 000.000
278.177
115.000
£5,765,661
*s O F R E V E N U E OUTSTANDING O N 31ST
sional and Business licences
live Trade licences
val of Refuse
ling Fees (Grain Commission)
cipal Market Rents
:ipal Premises Rents
ers' Houses Rents
ical Installations
DECEMBER, 1957.
£ mils
695 500
23 750
10 500
20 068
514 220
166 —
52 250
52 800
£1,535 088
MUNICIPAL FUNDS BALANCES AS AT 31ST DECEMBER, 1957.
£ mils
41 733
452 550
793 —
125 690
40 411
£1,453 384
Fund
Fund
n Bank of Cyprus Ltd.
a Legacy
a Pieridou Legacy ..
Actual
Receipts.
£ mils
5,726 850
70 800
8,617 250
2,779 400
426 310
536 250
9,968 —
950 400
7,716
6,990
58
3
4,327
3,719
18
515
250
597
435
268
180
650
PAYMENTS.
C
Head and Sub-head. Es
1. Salaries and wages :—
(A) Administrative Depart–
ment :—
(i) Emoluments of Permanent
(ii) Wages of Labourers
(iii) Other Charges
(B) Health and Sanitary
Department:—
(i) Emoluments of Permanent
(ii) Wages of Labourers
(iii) Other Charges
(C) Municipal Engineer's
Department :—
(i) Emoluments of Permanent
(iii) Other Charges
(D) Markets and Slaughter–
house Departments:—
(i) Emoluments ofPermanent
(ii) Wages of Labourers
(iii) Other Charges
(E) Conservancy Department :-
(i) Emoluments of Permanent
(ii) Wages of Labourers
(iii) Other Charges
Original
•timate.
£
2,776
476
60
2,975
1,342
300
1,795
30
3,562
1,567
1,000
1,517
6,580
2,000
Actual
Payments.
£ mils
2,844 961
536 456
59 512
3,262 812
1,507 332
340 600-
1,709 475
38 275
3,587 695
1,670 048
1,120 345
1,617 859
7,731 685
2,992 107
Balance on 31st December, 1957
Dr. 2,276 302
(a) Loans.
Gazette Notice
No. 2193 of 24. 4.46
No. 2250 of 25. 6.47
No. 2309 of 8. 8.48
No. 2504 of 27. 8.51
No. 2608 of 27. 3.53
No. 2732 of 31.12.54
No. 2744 of 27. 7.55
No. 2782 of 10. 9.55
No. 2837 of 14. 6.56
No. 2907 of 29.12.56
No. 2970 of 19.10.57
do.
No. 3018 of 5. 6.58
No. 3017 of 5. 6.58
Amount
original L
10,000
18,000
8,800
12,000
6,000
6,500
30,000
18,000
6,000
2,000
27,000
4,000
910
130
4%
40/
40
5 1
u
40/
40'
^
,0
4°'
* io
41 O'
!"/
^2 'o
(6) Sight Liabilities outstanding on 3\st Decembrr, 1957
Creditor
(1) Lefkaritis Bros
(2) do.
(3) do.
(4) do.
(5) George Pavlides Ltd.
(6) Cyprus Asphalting and Road Constr. Ltd.
(7) Electricity Authority of Cyprus
(8) Accountant-General
(9) General Insurance Company Ltd.
(10) General Engineering Co. Ltd.
III.—ARREARS
1.—(a) Professional and Business licences
(/) Offensive Trade licences
2.—(6) Remov
3.—(b) Weighin
(/) Municip
4.—(a) Munici
(b) Work rs' Houses Rents
5.—(6) Electri Instal ations
23
10
20
514
166
52
mils
750
500
068
220
250
80
£1,535 088
IV.—OTHER MUNICIPAL FUNDS BALANCES AS AT 31ST DECEMBER, 1957.
m
(a) Pension
(b) Library
(c) Shares in Bank of Cyprus Ltd.
(d) Kaloger
. .
(e) Evanthia Pieridou Legacy .
40
411
Carried forward £54,701 £51,909 155
Carried forward .. £25,980 £29,019 162