Parliamentary Papers, Volume 52H.M. Stationery Office, 1907 - Bills, Legislative |
From inside the book
Results 6-10 of 100
Page 190
... FUND ( 61 and 62 Vict . c . 44 , ss . 1 and 4 ) and other Services connected with the MERCANTILE MARINE in the Year ended 31 March 1906 , showing the Surplus or Deficit upon each Sub - Head of the Vote . Expenditure , compared with ...
... FUND ( 61 and 62 Vict . c . 44 , ss . 1 and 4 ) and other Services connected with the MERCANTILE MARINE in the Year ended 31 March 1906 , showing the Surplus or Deficit upon each Sub - Head of the Vote . Expenditure , compared with ...
Page 198
... Funds transferred under the Courts of Justice ( Salaries and Funds ) Act , 1869 , less Income Tax . 33,760 12 9 Rent of 34 , Lincoln's Inn Fields ( erected from Bank- ruptcy Funds ) , now used by another Department 400 34,160 12 9 ...
... Funds transferred under the Courts of Justice ( Salaries and Funds ) Act , 1869 , less Income Tax . 33,760 12 9 Rent of 34 , Lincoln's Inn Fields ( erected from Bank- ruptcy Funds ) , now used by another Department 400 34,160 12 9 ...
Page 199
... Fund ) on 31st March 1906 243,454 14 6 £ . 379,563 16 10 £ . 379,563 16 10 ( C. 1. ) STATEMENT showing the RECEIPTS into and PAYMENTS out of the COMPANIES ( WINDING - UP ) ACT FEES ACCOUNT from 1st April 1905 to 31st March 1906 ...
... Fund ) on 31st March 1906 243,454 14 6 £ . 379,563 16 10 £ . 379,563 16 10 ( C. 1. ) STATEMENT showing the RECEIPTS into and PAYMENTS out of the COMPANIES ( WINDING - UP ) ACT FEES ACCOUNT from 1st April 1905 to 31st March 1906 ...
Page 202
... Fund for Great Britain . as audited in my Department , is appended as in previous years . It was estimated that 14,1717 . 18. 11d . had been expended during the year out of Sub - Head A. in respect of the salaries of the Staff employed ...
... Fund for Great Britain . as audited in my Department , is appended as in previous years . It was estimated that 14,1717 . 18. 11d . had been expended during the year out of Sub - Head A. in respect of the salaries of the Staff employed ...
Page 210
... Fund . EXTRA RECEIPTS payable to EXCHEQUER . 2 A sum of 1.0411 . has been paid to the Exchequer , in repayment of the Expenses of this Department in connection with the administration of the Local Loans Fund , partly Local Loans out of ...
... Fund . EXTRA RECEIPTS payable to EXCHEQUER . 2 A sum of 1.0411 . has been paid to the Exchequer , in repayment of the Expenses of this Department in connection with the administration of the Local Loans Fund , partly Local Loans out of ...
Other editions - View all
Common terms and phrases
31 March Accounting Officer Aid Realised anticipated Appropriations in Aid Buildings Casual variation Causes of Variation certify charged CLASS I.-continued Commission Commissioners compared with Grant Comptroller and Auditor Court Deduct Dublin ended 31st March Estimate has taken Estimate over Expenditure Estimated cost examined Expenditure and Grant Expenditure Gross EXPENDITURE in excess Expenditure to 31st Extra Receipts EXTRA REMUNERATION Fees Fund Grant Gross Grant in Aid Gross Estimate GROSS TOTAL Incidental Expenses Inland Revenue Ireland IRELAND-continued John Kempe Loans March 1906 Balance Miscellaneous PACKET AND TELEGRAPH paid payment place under Sub-Heads POST OFFICE PACKET Prisons provision Queen's College realised in excess received Remanet Repayment REPORT REVENUE DEPARTMENTS Royal Royal Irish Constabulary saving Scotland showing the Surplus shown STATEMENT OF EXPENDITURE Sum Expended Sum Granted Surplus of Appropriations Surplus of Gross Surplus or Deficit Surrendered Total Estimate Expenditure Total Surplus Treasury Letter Variation between Expenditure Vict W. M. Martin Wei-Hai-Wei