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THE CYPRUS GAZETTE, 4TH AUGUST, i960.
291
0.799.
Cyprus Government Social Security Scheme.
FUND ACCOUNT FOR THE YEAR ENDED 3 1ST DECEMBER, 1959.
1958
£
t 23,974
l 7,088
i
393
1,079
364
19
9
1
£32,926
P A Y M E N T S .
Sickness Benefits :—
Sick Leave
Medical Treatment
Maternity Grants
Management Expenses :—
Salaries and Office Expense
Miscellaneous :—
Special Appliances
Private Practitioners Fees
Travelling Expenses
Surplus for the year
£ mils
13,472.490
7,336.893
• •
s
• •
.. ..
..
£ mils
20,809.383
490.500
1,499.725
493.600
0.750
7.050
4,497.176
£27,798.184
1958
£
26,439
635
5,852
£32,926
RECEIPTS.
£ mils
Employers' and Employees' Contributions 27,003.772
Interest Received
Deficit for the year
794.412
£27,798.184
£
224
269
£493
CHARITABLE GRANTS ACCOUNT FOR THE YEAR ENDED 31ST DECEMBER, 1959.
PAYMENTS. RECEIPTS.
Grants Paid
Closing Balance
£ mils
170.000
369.460
£539.460
£
493
£493
Opening Balance
Transfer from Accumulated Fund
£ mils
269.423
270.037
£539.460
BALANCE SHEET AT 31ST DECEMBER, 1959.
10,851
5,852
270
10,711
£15,972
LIABILITIES.
Accumulated Fund :—
Balance at 1.1.59
Surplus for the year
Less: Depreciation
for the vear on
Office Furniture . .8.000
Transfer to
Charitable
Grants A/c 270.037
Charitable Grants A c
Amount due to Treasury
£ mils
4,991.594
4,497.176
9,488.770
278.037
£ mils
9,210.733
369.460
£9,580.193
ASSETS.
Office Furniture (at cost) . .
Less : Depreciation to date
£ mils
76.750
54.750
Investments on Fixed Deposits .
Cash with Treasury
£ mils
22.000
2,809.457
6,748.736
£9,580.193
Nicosia, 22nd June, 1960.
Z. G. PANOS,
Acting Chief Medical Officer.
A U D I T O R ' S R E P O R T .
The above Accounts have been examined under m y direction in accordance with paragraph 5 of the Rules relating to the management of the
:ial Security Scheme, and I certify, as a result of this audit, that in m y opinion the Accounts are correct.
Examined,
R. Z. TATAR,
Actina Chief Auditor.
15th July, 1960.
No. 800.
Municipal Corporation of Lefkoniko.
ANNUAL ACCOUNTS OF RECEIPTS AND PAYMENTS FOB THE YEAR 1959.
I.—SUMMARY.
(M.I. 1986/59.)
Add Receipts
Total
Deduct Payments
Balance on 31st December, 1959
Town Fund
General A/C. Advance A/C.
£ mils
788 363
2,432 503
3,220 866
2,870 692
350 174
1
Loans A/C.
£ mils |
103 517
1,500 —
1,603 517
1,164 860
438 657
Deposit A/C.
£ mils
94 299
680 —
774 299
187 079
587 220
(a) Loans.
I I . — L O A N S A N D LIABILITIES.
Gazette Notice.
Amount of
original Loan.
Rate of
interest.
Amount outstanding
on 31st December, 1959
Remarks.
No. 397 of 20. 8.53 |
Xo. 542 of 26.11.59 |
£
1,000
1,500
4%
£ mils
280 140
1,500 —
£1,780 140
I
| Asphalting of streets.
| Erection of Slaughter-house.
I