Parliamentary Papers, Volume 26

Front Cover

What people are saying - Write a review

We haven't found any reviews in the usual places.

Contents

FOREWORD 2
2
Account of the sums issued out of and received from the Consolidated
10
Exchequer cash transactions 196263
12
FOREWORD BY THE ACCOUNTING OFFICER 4
4
and repayment of advances and of the disposal of those sums respec
7
31st March 1962 with the Report of the Comptroller and Auditor
1
Statement of Guarantee given by the Treasury on 31st August 1963 on
3
153
23
Report of the Comptroller and Auditor General
Summarised Account of Executive Councils including
8
Account of the Scottish Dental Estimates Board
14
Inland Revenue
4
ACCOUNTS
3
APPENDIX ASTATEMENT OF ASSETS CONSTITUTING THE NET FUND
8
Appendices
2
APPENDIX BSTATEMENT OF ASSETS REALISED DURING THE YEAR ENDED
10

Similar Account for the year ended 31st March 1963
Customs and Excise Revenue
NOTES 14
14
NOTES 21
21
Statement of Guarantee given by the Treasury on 11th February 1963
Statement of Debt Created and Debt Redeemed
14
Foreword by the Accounting Officer
22
Index
ii
Details of Debt Created or Redeemed other than for Cash or by Conversion
vii
Statutory provisions affecting the Debt during the years 193839 and 194950
50
on loans proposed to be raised by the London Transport Board 861
Statement of Guarantee given by the Treasury on 28th March 1963
on loans proposed to be raised by the Transport Holding Company 873
Account of the United States M D A P Equipment Disposal
1

Other editions - View all

Bibliographic information