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THE CYPRUS GAZETTE,
26TH
MAY, i960.
RECEIPTS.
Head and Sub-head.
Brought forward.
Original
Estimate.
£
. 54,701
4. Rents:—
(a) Other Premises
(6) Workers' Houses
(c) Advertisements
5. Miscellaneous Receipts :—
(a) Fines ..
(b) Costs and compensa
tion . .
(c) Other sales
(d) Sea-baths
(e) Donations
(/) Bank Dividends
(g) Medical fees ..
(h) Sales of Electric
Equipment
(*) Refund of Income Tax
0 ) Bank Interest
(k) Hot Baths ..
(m) Recovery of Revenue
(n) Interest on Loans .. —
(0) Parks and Zoo .. —
(s) Surplus in Cash .. —
(t) Overpayments Recovered —
(u) Donations . . .. —
2,600
680
200
100
100
100
250
54
30
400
30
30
1,700
Total Receipts on General
Account
60,975
6. Advances
Opening Balance on 1st January,
1957, General Account:
Cash in hand
Cash at Bankers
Overdraft at 31st December
Actual
Receipts.
£ mils
51,909 155
3,258 581
655 500
180 —
326 300
239 925
1,308 155
290 870
36 850
54 717
40 —
98 930
40 445
— 492
1,787 895
— 100
123 143
18 450
1 670
911 950
920 —
62,203 128
571 117
698 634
22 867
5.108 666
£68,604 412
L O A N S A N D DEPOSIT ACCOUNTS.
Loans:—
(a) Extension of Market II
(b) Poorhouse
Deposits :—
(a) P.A.Y.E
(b) Bank of Cyprus
Opening Balances :—
(a) Loans:—
Drains and bridges
Extension of Market I
Road repairs
Parks/Peripteron
(b) Deposits :—
Bank of Cyprus
£
27,000
4,000
200
1,084
665
6,791
286
1,699
575
mils
630
476
779
550
147
200
600
P A Y M E N T S .
Head and Sub-head.
Original
Estimate.
£
25,980
Brought forward ..
3. Parks, gardens and Zoo :—
(i) Emoluments of Permanent 328
(ii) Wages of Labourers .. 622
(iii) Maintenance Expenses . . 300
4. Public Works—recurrent:—
(i) Maintenance of roads 2,000
(ii) Maintenance of buildings 600
(iii) Town Lighting
.. 1,800
5. Public Works—Recurrent:—
(a) Enlargement of Streets 800
(b) New buildings:—
(ii) Kiosks (Taxis) . . —
6. Rents ..
.. 40
7. Subscriptions and pay–
ments approved :-
(a) Hospitality to guests ..
(b) Kataclysmos Fair
(c) Larnaca Youth Hostel
(d) Mayor's Repres. Alice.
8. Charity :—
(a) Welfare purposes
(b) Municipal Charity Fund
(c) Upkeep of Poorhouse
(d) Upkeep to soupkitchen
(e) Contribution to Anti–
tuberculosis Fund. .
9. Furniture and fittings
10. Government Audit Fees..
11. Miscellaneous payments :-
(a) Stationery, Postage etc.
(b) Pensions and gratuities
(c) Taxes on properties
(d) Purchases of Weights
(e) Travelling expenses ..
(/) Adviser's and legal . .
(g) Purchases and Services
(h) Telephone & Telegrams
(*) Film Censor ..
(j) Sea-baths
(k) Municipal library
(/) Property Insurance ..
(m) Overtime Allowances
(n) Interest payable
(o) Municipal Clinic
(p) Interest on Loans ..
(q) Hot Baths
(r) Subsidy for carts
(s) Maintenance of donors
(u) Contrib. Social Insce.
(*) Acquisition of land ..
12. Repayment of Loans
Total Payments on General
Account
13. Advances
Closing Balance on 31st Dec,
1957, General Account :
Cash in hand
Cash in Transit
Actual
Payments.
£ mils
29,019 162
365 832
830 845
1,398 611
3,064 177
1,014 592
1,321 461
885 —
682 435
30 —
20
150
200
2,500
1,200
1,800
500
100
50
57
400
1,800
300
50
10
300
500
s 150
7
150
100
700
450
100
250
1,500
200
250
12,265
58,529
7
200
60
1,507
1,258
2,253
100
104
57
408
2,300
326
30
5
273
626
138
7
180
55
211
418
185
311
2
2,216
15
144
230
520
12,429
65,200
571
1,397
1,434
785
800
739
.^^
950
500
750
300
900
778
291
619
276
823
500
492
850
965
756
942
500
300
931
117
771
593
£68,604 412
L O A N S A N D DEPOSIT A C C O U N T S .
14
15.
Loans:—
(a) Drains and Bridges
(b) Extension of Market .
(c) Extension of Market.
(d) Road repairs . .
(e) Parks Peripteron
Deposits :—
(a) P.A.Y.E.
(b) Bank of Cyprus
16. Closing Balances :—
(a) Loans:—
Drains and Bridges
Market I
Market II
Parks/Peripteron
Poorhouse
(b) Deposits:—
P.A.Y.E.
£42,303 382
£ mils
228 767
6,706 710
5,675 153
286 147
1,694 321
162 490
1,660 076
437 012
84 840
21,324 847
4 879
4,000 —
38 140
£42,303 382
Larnaca,
1st July, 1958.
A. CHRISTOFOROU,
Treasurer.
G. CHRISTODOULIDES,
Mayor.
I hereby certify that the accounts of the Municipal Corporation of Larnaca for the year 1957 have been
examined and agree with the above statement.
25th April, 1960.
R. Z. TATAR,
Acting Chief Auditor.