Parliamentary Papers, Volume 13H.M. Stationery Office, 1923 - Bills, Legislative |
From inside the book
Results 1-5 of 95
Page 5
... staff temporarily lent to other Departments . made to members of the Development Commission Staff from Public Funds other Fisheries , to the late Fisheries Adviser to the Commission who acted as Technical Commission conjointly . the ...
... staff temporarily lent to other Departments . made to members of the Development Commission Staff from Public Funds other Fisheries , to the late Fisheries Adviser to the Commission who acted as Technical Commission conjointly . the ...
Page 7
... Staff ... ... ... ... ... Deficiency ( charged against Interest Account ) ... 1,000 0 0 140 0 0 3,647 14 8 PAYMENTS . By Salaries and Wages " " " Boy Scouts ... ... Printing , Stationery and Advertising Miscellaneous ... 8,809 6 8 ...
... Staff ... ... ... ... ... Deficiency ( charged against Interest Account ) ... 1,000 0 0 140 0 0 3,647 14 8 PAYMENTS . By Salaries and Wages " " " Boy Scouts ... ... Printing , Stationery and Advertising Miscellaneous ... 8,809 6 8 ...
Page 14
... Staff ) Travelling , Law Charges , and Miscellane- 3,848,387 3,789,438 For transmission of Tele- grams , & c . , collected in Stamps · Do. do . in Cash , including receipts from Cable Companies , 3,993,234 Foreign Post Offices , & c ...
... Staff ) Travelling , Law Charges , and Miscellane- 3,848,387 3,789,438 For transmission of Tele- grams , & c . , collected in Stamps · Do. do . in Cash , including receipts from Cable Companies , 3,993,234 Foreign Post Offices , & c ...
Page 17
... Staff Accrued Revenue for the year 1,912,389 Wages 1,752,130 302,000 Materials 289,586 248,716 Rates on Wires 265,565 63,947 Wayleaves 57,428 5,142 245,066 Maintenance of Wires by Railway Companies Travelling and Miscellaneous expenses ...
... Staff Accrued Revenue for the year 1,912,389 Wages 1,752,130 302,000 Materials 289,586 248,716 Rates on Wires 265,565 63,947 Wayleaves 57,428 5,142 245,066 Maintenance of Wires by Railway Companies Travelling and Miscellaneous expenses ...
Page 18
... Staff 60,323 767,228 789,235 VI . - Telephones — continued . B. - NET REVENUE ACCOUNT for the Year ended 31st March 1922 . EXPENDITURE . - 1920-21 . £ INCOME . Balance from Revenue Account ( see page 17 ) 15,104 Advertisements and ...
... Staff 60,323 767,228 789,235 VI . - Telephones — continued . B. - NET REVENUE ACCOUNT for the Year ended 31st March 1922 . EXPENDITURE . - 1920-21 . £ INCOME . Balance from Revenue Account ( see page 17 ) 15,104 Advertisements and ...
Other editions - View all
Common terms and phrases
31st March Account and Balance Accounting Officer AGRICULTURE AND FISHERIES Air Ministry Annuities Audit Departments Act Balance Sheet Bank of England Bank of Ireland Bank Rate Buildings Capital Liabilities Cash cent Comptroller and Auditor Consolidated Fund correct view cost Depreciation ditto Duty ended 31 March ended 31st Estate estimated Exchequer and Audit Exchequer Bonds exhibit a true Farm Finance Act Government Grant H.M. STATIONERY OFFICE H.M. Treasury Headquarters Administrative Expenses Income information and explanations Inscribed Stock Insurance Land Settlement Facilities Loan Acts Loss Account Loss transferred Malcolm G MINISTRY OF AGRICULTURE Miscellaneous National Debt Commissioners National War Bonds Northern Ireland outstanding paid payment Pensions Profit and Loss properly drawn provisions Purchase Ramsay Receipts Rent Repairs Repayments respect Revenue Salaries Sales Services Sheet are properly Sheet in accordance Sinking Fund Stores Subhead Sundry Creditors Sundry Debtors Surplus T. L. Heath Total Trading Accounts true and correct Valuation Vict