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(a) Loans.
Gazette Notice.
No. 3511 of 3. 8.50
No. 2561 of 18. 9..">2
No. 2606 of 19. 3.53
No. 1027 of 1.11.56
THE CYPRUS GAZETTE, 14m JANUARY, i960.
II.—LOANS AND LIABILITIES.
Amount of
original Loan.
£
8,000
5,000
5,000
7,000
Rate of
interest,
4 %
4 %
5 %
Amount outstanding
on 31st December.1958
£
1,893
2,237
3,197
5.859
mils
983
661
655
065
£13,188 364
Remarks.
21
III.—REVENUE OUTSTANDING O N 31ST DECEMBER, 1958.
J
£ mils
1—(a) Professional Tax
243 100
IV.—OTHER MUNICIPAL FUNDS BALANCES AS AT 31ST DECEMBER, 1958.
£ mils
(a) Pension Fund
144 310
Total Receipts on Loans and Deposit
Accounts
Opening Balance on 1st January, 1958,
Loans and Deposit Accounts :—
£ mils
Bank .. ..1,759 645
19 600
1,759 645
£1,779 245
1.
2.
3.
•1
4.
6.
7.
8.
RECEIPTS.
Head and Sub-head.
Licences and permits :—•
(a) Profession, trade and
business licences
(b) Dog licences
(c) Theatrical, cinemato-
graphical, etc. licences
(d) Building, etc., permits
(e) Hotels..
(/) Bicycles
(g) Other licences
Conservancy and other
rates :—
(a) Town rates . .
(6) Water rates
Fees and tolls :—
(a) Slaughter-house fees
(6) Weighing fees
(c) Hawking fees
(e) Fees for sealing of
weights and measures
(g) Tolls
Rent:—
(0) Municipal Markets'
rents
Miscellaneous receipts :—
(a) Fines
(e) Other sales
(j) Interest on Municipal
moneys
(k) Distribution Centre
(Profits)
Total Receipts on General
Account
Advances
Original
Estimate.
£
1,500
80
350
300
15
30
60
1,250
1,225
350
500
30
1
135
86
30
100
20
100
6,162
. ,
Opening Balance on 1st January,
1958, General Account
Bank
Cash
• £
993
175
,.
mils
760
930
Actual
Receipts.
£
1,222
18
158
342
3
12
21
1,116
1,342
338
193
3 +
1
162
95
3
112
4
80
5,265
160
1,169
£6,595
LOANS A N D DEPOSIT ACCOUNTS.
Loans:—
(a) Construction of streets
£
.. 19
mils
100
550
485
600
370
500
880
500
375
550
115
735
220
655
250
986
930
768
569
196
690
455
mils
600
PAYMENTS.
Original
Estimate.
£
912
852
45
30
30
mils
Head and Sub-head.
1. Salaries and wages :—
(a) Permanent employees
(b) Temporary employees
for general purposes
3. Conservancy and fire
protection
4. Parks and public gardens
5. Maintenance and impro–
vement of water supply ..
6. Public Works—annually
recurrent :—
(b) Maintenance and up–
keep of existing Muni–
cipal buildings, etc.
(c) Town lighting
8. Rents
10. Charity :—
(a) Contribution to public
hospitals
11. Furniture and Fittings . .
12. Government Audit
13. Miscellaneous payments :
(a) Stationery, postage
and printing
(b) Uniforms of Municipal
employees . .
('•) Pensions and gratuities
(g) Fines, fees of Court
and legal expenses ..
(j) Telephone rentals,
trunk calls, etc.
(o) Insurance of Municipal
Property
14. Loans, repayment of
Total Payments on General
Account
15. Advances
Closing Balance on 31st December,
1958, General Account: £ mils
Bank .. .. 1,093 435
Cash .. .. 146 411
Actual
Payments
£
696
589
38
26
mils
525
165
48 970
250
500
61
180
40
5
20
25
72
29
20
10
3,069
6,150
100
100
235
235
59
32
24
10
72
29
23
9
3,064
5,193
161
045
368
580
700
955
360
275
943
666
1,239 846
£6,595 455
Si "' 'msssasgi8is=s
LOANS A N D DEPOSIT ACCOUNTS.
16. Loans:—
£ mils
(a) Construction of streets . . .. 308 005
Total Payments on Loans and Deposit
Accounts
Closing Balance o n 31st December, 1958,
Loans and Deposit A c c o u n t s : —
£ mils
Bank .. 1,471 240
308 005
1,471 240
£1,779 245
Lapithos,
14th October, 1959.
F. KAIMAKAMIS,
Treasurer.
PH. PARASKEVAIDES,
Mayor.
I hereby certify that the accounts of the Municipal Corporation of Lapithos for the year 1958 have been
examined and agree with the above statement.
14th November, 1959.
R. Z. TATAR,
Acting Chief Auditor.