ACCOUNT, 1921-19 2 2. ACCOUNT showing the Money issued from the CONSOLIDATED FUND under the provisions of the PUBLIC OFFICES SITE (DUBLIN) ACT, 1903 (3 Edw. 7, c. 16), and the Expenditure; the Money expended and borrowed, and the Securities created under the said Act, for the period ended 31 March 1922; together with the REPORT of the COMPTROLLER AND AUDITOR GENERAL thereon. (Presented pursuant to Act 3 Edw. 7. c. 16.) Ordered, by the House of Commons, to be Printed, 16 February 1923. LONDON: PUBLISHED BY HIS MAJESTY'S STATIONERY OFFICE. To be purchased through any Bookseller or directly from IMPERIAL HOUSE, KINGSWAY, LONDON, W.C. 2, and 28, ABINGDON STREET, LONDON, S.W. 1; 1923. Price 2d. Net. PUBLIC OFFICES SITE (DUBLIN) ACT, 1903 ACCOUNT for the Period ended 31 March 1922. I. STATEMENT showing the MONEY issued out of the CONSOLIDATED FUND, and the Expenditure. of 10,000l. in the year 1906. First payment 22 May 1907. Last payment 22 May 1933. Annuity of 4491. 14s. 6d. in respect of Last payment 22 May 1933. Annuity of 1,7121. 148. in respect of ad vances of 30,000l. in the year 1908. First payment 22 May 1909. Last payment 22 May 1933. Annuity of 1,7491. 68. in respect of advances of 30,000l. in the year 1909. First payment 22 May 1910. Annuity of 2,6977. 158. in respect of advance of 45,000l. in the year 1910. First payment 22 May 1911. Last payment 22 May 1933. 2/23 (Item 44.) * In addition to this sum, a contribution of 2,770l. received from the Endowment Fund of the Department of Agriculture and Technical Instruction towards the cost of a Smithy and Foundry and additional works in connexion with the Mechanical and Engineering Laboratory has been expended. For particulars of additional expenditure in connexion with the fittings and furniture for Laboratories, &c., see Statement of New Works, 1914–15, Class I., Vote 15, Subhead B. (Works of 1913–14 or prior years), Royal College of Science. P. T. Dixon, Office of Public Works, Dublin. 30 November 1922. P. Hanson, Chairman and Accounting Officer. I certify that this Account has been examined under my directions and is correct. Malcolm G. Ramsay, Comptroller and Auditor General. PUBLIC OFFICES SITE (DUBLIN) ACT, 1903. REPORT OF THE COMPTROLLER AND As no expenditure was incurred on the above service during 1920-21, an account for that year was not presented to Parliament. With the expenditure of 1107. shown on the Account for 1921-22, the funds provided in accordance with the provisions of this Act, with the exception of a sum of 2s. 7d., which has been repaid to the Exchequer, are exhausted and no further account will be rendered. Malcolm G. Ramsay, Comptroller and Auditor General. Exchequer and Audit Department, 4 January 1923. Printed under the authority of HIS MAJESTY'S STATIONERY OFFICE EXPENSES. ACCOUNTS,. 1921-1922. ACCOUNTS showing the MONEYS issued out of the CONSOLIDATED FUND, the Moneys borrowed and the Securities created in respect thereof, and the Expenditure under the PUBLIC OFFICES (ACQUISITION OF SITE) ACT, 1895, Session 2 [59 VICT. c. 5]; the PUBLIC OFFICES (WESTMINSTER) SITE ACT, 1896 [59 & 60 VICT. c. 23]; the PUBLIC OFFICES (WHITEHALL) SITE ACT, 1897 [60 & 61 VICT. c. 27]; the PUBLIC BUILDINGS EXPENSES ACT, 1898 [61 VICT. c. 5]; the PUBLIC BUILDINGS EXPENSES ACT, 1903 [3 Edw. 7. c. 41]; the FINANCE ACT, 1908 [8 EDW. 7. c. 16, s. 9]; the PUBLIC OFFICES SITES (EXTENSION) ACT, 1908 [8 Edw. 7. c. 112], and the PUBLIC BUILDINGS EXPENSES ACT, 1913 [3 & 4 GEO. 5. c. 14], to 31 March 1922, together with the REPORT of the COMPTROLLER AND AUDITOR GENERAL thereon. (Presented pursuant to Acts 59 Vict. c. 5, s. 2 (2); 60 & 61 Vict. c. 27, s. 4 (4); 61 Vict. c. 5, s. 2 (3); 3 Edw. 7. c. 41, s. 1 (4); and 3 & 4 Geo. 5. c. 14, s. 1 (2).) Ordered, by The House of Commons, to be Printed, 20 February 1923. LONDON: PUBLISHED BY HIS MAJESTY'S STATIONERY OFFICE To be purchased through any Bookseller or directly from H.M. STATIONERY OFFICE at the following addresses: IMPERIAL HOUSE, KINGSWAY, LONDON, W.C. 2, and 28, ABINGDON STREET, LONDON, S.W. 1; |