Page images
PDF
EPUB
[graphic][subsumed][ocr errors][ocr errors]

STATEMENT of Cash Receipts and Payments by the Commissioners of Public Works in Ireland, Non-Voted Services (other than (a) Railways (Ireland) Act, 1896, and Marine Works Act,

[blocks in formation]

1902; (b) the Public Offices Site (Dublin) Act, 1903, for which separate Accounts are submitted), for the Year 1905–1906—continued.

[blocks in formation]

£. s. d. £. s. d. £. s. d.
11,897 2 4 1,515,199 8 — ‘Brought forward - - 12,249 3 8
PAYMENTs in the Year 1905-1906—continued.
Miscellaneous Services—continued:
875 4 10 National Monuments - - - : - - - - 717 7 4
3,421 17 – Linen Hall -, * - - -, - - - - - - - * 3,266 14 10
5,633 6 7 Galway Harbour—Receiver's Account - - - 3,841 7 2
3,167 18 9 Southern Railway Revenue Account - - - 3,145 l 3
3, 145 – – , Ditto Baronial Guarantee Account - - - - 3,145 - -
3,078 l 8 * Letterkenny Railway - - - - - - - - - - - || 3,485 13 6
260 – – Land Commission (Church Property) Office - - - - - 452 - 4
1,186 15 8 Income Tax - - - - - - - - - - 1,315 16 6
1,692 19 4 Railways (Ireland) Act, 1896, Traffic Receipts - - - +1,692 19 4
1,371 10. 4 Light Railways—Surplus Revenue - - - - - - - : 1,294 2 ll
4,928 18 2 Development Grant–Dredger - - - - - - - - || 4,951 3 6
500 – – Seed Supply, 1905 - - - - - - - - - - || 9,500 – —
23,547 12 5 64,706 7 1 Sundry Accounts - - - - - - - - - 22,568 10 1
BALANCE - - - - - - - - - -

*Includes 3,100l. paid over to His Majesty's Exchequer as Miscellaneous Revenue.
t Includes 1,496. 12s. 4d. paid over to Account of o Act, 1896.
ft Includes 1,161. 17s. 5d. paid over to His Majesty's Exchequer in respect of
Treasury Share of Surplus Revenue (Light Railways).

E. 1,579,905 15 1. £.

D. T. Jones,
Accountant, T

[ocr errors][ocr errors][ocr errors][ocr errors][ocr errors]

[graphic]
[ocr errors]

CLASS II.-continued.

Vote 39.-REGISTRAR GENERAL's OFFICE, IRELAND–continued.

Extra"REMUNERATION, where the aggregate amount in each case exceeds 25l.

| Services for which
| given.

NAME. RANK. Total. Vote from which paid.
|

[ocr errors]
[ocr errors]

James T. Dewar - - - | Second Division Clerk- - 33 10 - || 33 10 - |Registrar General's Office.
(Higher Grade)
Edmond Geary - - - - || Minor Staff Officer - 9 9 4 || 22 15 3 || 32 4 7 - - ditto.
Michael G. Dowling - . . . Second Division Clerk - || 10 19 8 || 19 2 6 || 30 2 2 • - ditto.
James J. Comyn- - - - - - ditto - - - || 8 9 3 || 17 5 0 || 25 14 3 | . . . ditto
Benjamin Maddock - - - || Index Compiler - - || 38 19 6 - 38 19 6 - ditto.
William Kilbride - - - || - - ditto - - - || 33 15 11 - 33 15 11 - - - ditto.

The Surplus of 607l. 17s. 8d., shown on the Account of the Vote “Registrar General's Office, Ireland,” for the year ended 31st March 1905, has been surrendered.

G. A. Newnham, R. E. Matheson,
Superintendent of Accounts, Registrar General, Accounting Officer.
General Register Office, Dublin,
26th October 1906.

I certify that this Account has been examined under my directions, and is correct.

Examined, John A. Kempe,
W. M. Martin. Comptroller and Auditor General.

VOTE 3.9.
REPORT OF THE COMPTROLLER AND AUDITOR GENERAL.

Surplus. The Amount to be Surrendered is, as shown by the Account, 504l. 188. 10d.
£. 8. d.
Grant (Gross) - - - - - - - - 13,230 – —
Expenditure (Gross) - - - - - - - 12,803 6 8
Surplus - - £. 426 13 4

Add, .

Appropriations in Aid realised in excess of the Estimate 78 5 6

Total Amount to be Surrendered - - £. 504 18 10

John A. Kempe, Comptroller and Auditor General.

[ocr errors][merged small][merged small]

ACCOUNT of the Sum Expended, compared with the Sum Granted, to pay the Salaries and Expenses of the GENERAL VALUATION and Bound ARY SURVEY of IRELAND, in the Year ended 31 March 1906, showing the Surplus or Deficit upon each Sub-Head of the Vote.

Expenditure, compared with Grant. SERVICE. GRANT. EXPENDITURE. – Less More than Granted than Granted. £. s. d. £. s. d. £. s. d. £. s. d A.—Salaries - - * - - 21,249 – – 21,062 17 2 | 186 2 10 B.—Travelling and Subsistence Allowances - 7,000 – – 7,241 17 10 - 241 17 10 C.—Labour - - - - - - 150 – — 116 4 6 33 15 6 D.—Legal Expenses - - - - - 350 — – 119 16 – || 230 4 — E.—Incidental Expenses - - - - 170 — — 169 9 5 – 10 7 F.—Valuation Lists - - - - - 550 – – 427 12 10 || 122 7 2 -. G.—Belfast Re-valuation - - - - 250 — — 232 6 2 17 13 10 H.—Dublin Re-valuation - - - - - -- Gross TotAL - £. 29,719 – – 29,370 3 11 590 13 11 241 17 10 Y-N,-Net Surplus of Gross Estimate over Expenditure. 3. 348 16 1 Deduct, Estimated. Realized. Surplus * otion. in I.—Appropriations in Aid - 10,000 — — 10,398 2 9 39. 398 2 9 Total Surplus to be Surrendered. NET TOTAL - - £. 19,719 – – | 18,972 l 2 42. 746 18 10 I. —APPROPRIATIONS IN AID : - -- | Estimated. Realised. --- - – Proportion of Cost payable by the several County Councils in Ireland, £. s. d # d under Act 37 & 38 Wict., c. 70, as amended by the Local Government - - ... $. (Adaptation of Irish Enactments) Ireland Order, 1899 - - - - 8,000 – – 7,912 10 – Fees under Act 23 Vict, c. 4, sec. 9 - - - - - - | 2,000 – – 2,365 10 – Repayment by the Corporation of Belfast on account of the County Borough contribution to the cost of Re-valuation - - - - - - Repayment by the Corporation of Dublin on account of the County Borough contribution to the cost of Re-valuation - - - - Received from Belfast Water Commissioners- - - - - - 120 2 9 TOTAL - - - £. 10,000 – 10,398 2 9

« PreviousContinue »