✓ [Cmd. 1924.] Return showing the aggregate Gross Liabilities of the State as represented by the Nominal Funded Debt, Estimated Capital Liability in respect of Terminable Annuities, Unfunded Debt and other Liabilities in respect of Debt, the Estimated Assets, and the Ex- chequer Balances at the close of each Financial Year, from 1913-14 to 1922-23; and the Gross and Net Expen- diture charged annually during that period against the Public Revenue on Account of the National Debt, and other Payments connected with Capital Liabilities (in continuation of [Cmd. 1781], of 1922-Sess. 2). p. 241 26. Account of the Gross Amount of all Bank Annuities and any Annuities for Terms of Years and other Securities transferred, and of all Sums of Money paid, to the National Debt Commissioners; and the Gross Amount of Annuities for Lives and for Terms of Years which have been granted for the same, and Contracts for Pay- ments on Death which have been made, within the year 277 [Cmd. 1955.] Final Statement of the Accounts of the National 14. Commercial Accounts and certain Returns relating to Capital Borrowings for Telegraph and Telephone pur- poses for the year ended 31st March, 1922; with the 287 1. Account showing the Money Issued out of the Consolidated Fund; the Money borrowed and the Securities created in respect thereof; and the Expenditure under the Post Office (London) Railway Act, 1913, for the period ended 325 62. Account of the Public Income and Expenditure of the United Kingdom in the year ended 31st March, 1923: with the Balances in the Exchequer on the 1st April, 1922; the Receipts and Payments in the year ended 31st March, 1923; and the Balances in the Exchequer on that day. p. 339 12. Account showing the Money issued from the Consolidated Fund under the provisions of the Public Offices Site (Dublin) Act, 1903, and the Expenditure; the Money expended and borrowed, and the Securities created under the said Act, for the period ended 31st March, 1922; Public Offices Sites, and Public Buildings Expenses : 17. Accounts showing .the Moneys issued out of the Consoli- dated Fund, the Moneys borrowed and the Securities created in respect thereof, and the Expenditure under the Public Offices (Acquisition of Site) Act, 1895; the Public Offices (Westminster) Site Act, 1896; the Public Offices (Whitehall) Site Act, 1897; the Public Buildings Expenses Act, 1898; the Public Buildings Expenses Act, 1903; the Finance Act, 1908; the Public Offices Sites (Extension) Act, 1908; and the Public Buildings Expenses Act, 1913; to 31st March, 1922; with the Statement of Particulars of Loans of which the Balances Outstanding are Proposed to be Remitted or Written Off (in Whole or in Part) from the Assets of the Local Loans Fund (in continuation of No. 113 of 1922). 355 Abstract Account of the Receipts into, and Payments out of, the Road Fund in the year ended 31st March, 1922, Trading Accounts and Balance Sheets : Accounts and Balance Sheets of Trading or Commercial Services conducted by Government Departments during the period ended 31st March, 1922, including Accounts. from the Commencement of Operations for certain Services undertaken during the War; with the Report of the Comptroller and Auditor General thereon. p. 369 Trade Facilities Act: 4. Statement of Guarantees which the Treasury have stated their willingness to give up to 31st December, 1922 621 49. Similar Statement up to 31st March, 1923. 623 95. Similar Statement up to the 30th June, 1923. 625 132. Similar Statement up to 30th September, 1923. 627 Treasury Chest Fund: 11. Account showing all the Sums which have been Received into the Treasury Chest, and which have been paid out of the same, between 1st April, 1921, and 31st March, 1922, and of the Liabilities and Assets on the latter day; with the Report of the Comptroller and Auditor General thereon. 629 Vote of Credit (Cash Transactions): [Cind. 1895.] Statement showing the Cash Transactions in the year ended 31st March, 1922, in respect of Vote of Credit Excess Receipts from Trading Services to 31st March, 1919, and of Trading and other Operations financed from these Receipts, and from the Proceeds of Sale of Stocks, &c., purchased out of the Vote of Credit; with the Report of the Comptroller and Auditor General thereon (in continuation of [Cmd. 1714], of 1922). 635 Woods, Forests, Land Revenues: 13. Abstract Accounts of the Commissioners of His Majesty's Woods, Forests, and Land Revenues, for the year ended 31st March, 1922; with the Report of the Comptroller and Auditor General thereon. 645 Air Estimates: AIR. 27. Air Estimates for the year 1923-24. p. 661 [Cmd. 1826.] Memorandum by the Secretary of State for Air relating to the Air Estimates for the year 1923-24. 757 Appropriation Account : 31. Appropriation Account of the Sums granted by Parliament for Air Services for the year ended 21st March, 1922; with the Report of the Comptroller and Auditor General thereon and upon the Store Accounts of the Air Services. Public Accounts (Air Votes): 763 46. Treasury Minute, dated 21st March, 1923, authorising the temporary application of surpluses on certain Air Votes for the year 1922-23 to meet excesses on other Votes for the same year. 877 |