Parliamentary Papers, Volume 52H.M. Stationery Office, 1907 - Bills, Legislative |
From inside the book
Results 6-10 of 100
Page 175
... Receipts- 450 - 400 667 7 6 2,773 10 1 - 1,714 12 6 665 364 13 6 £ . S. d . 82 12 6 226 10 - 114 12 6 - 215 35 66 2,700 100 3,429 - 2 729 - 2 73 18 10 26 1 2 £ . 9,000 9,688 2 6 1,058 12 8 370 10 2 1,2,3 . Casual variations . 4. The ...
... Receipts- 450 - 400 667 7 6 2,773 10 1 - 1,714 12 6 665 364 13 6 £ . S. d . 82 12 6 226 10 - 114 12 6 - 215 35 66 2,700 100 3,429 - 2 729 - 2 73 18 10 26 1 2 £ . 9,000 9,688 2 6 1,058 12 8 370 10 2 1,2,3 . Casual variations . 4. The ...
Page 179
... Receipts payable to Exchequer Amount of Extra Receipts realised during the year 1905-6 , and paid over to the Exchequer Nil . £ 1 12 8 EXPLANATION of Causes of Variation between Expenditure and Grant . A .-- The saving was mainly due to ...
... Receipts payable to Exchequer Amount of Extra Receipts realised during the year 1905-6 , and paid over to the Exchequer Nil . £ 1 12 8 EXPLANATION of Causes of Variation between Expenditure and Grant . A .-- The saving was mainly due to ...
Page 196
... Receipts and Payments . ( C. ) ( C. 1 ) . In respect of the first of these amounts a net sum of 26,8591 . 28. 4d . is shown in the Statement as payable to the Exchequer , and this , together with the above - mentioned sum of 8,2231 ...
... Receipts and Payments . ( C. ) ( C. 1 ) . In respect of the first of these amounts a net sum of 26,8591 . 28. 4d . is shown in the Statement as payable to the Exchequer , and this , together with the above - mentioned sum of 8,2231 ...
Page 197
... Receipts in the Year ended 31st March 1906 . I. Under Bankruptcy Acts- Receipts shown in the Accounts of the Board of Trade , viz . : ( a ) -Fees certified by the Inspector - General in Bankruptcy ( b ) Other Receipts by the Board of ...
... Receipts in the Year ended 31st March 1906 . I. Under Bankruptcy Acts- Receipts shown in the Accounts of the Board of Trade , viz . : ( a ) -Fees certified by the Inspector - General in Bankruptcy ( b ) Other Receipts by the Board of ...
Page 199
... RECEIPTS into and PAYMENTS out of the BANKRUPTCY FEES ACCOUNT from 1st April 1905 to 31st March 1906 . £ . S. d . £ . s . d . Balance in hands of Paymaster General on 1st April 1905 211,935 6 - Transfer to Board of Trade · 109,250 ...
... RECEIPTS into and PAYMENTS out of the BANKRUPTCY FEES ACCOUNT from 1st April 1905 to 31st March 1906 . £ . S. d . £ . s . d . Balance in hands of Paymaster General on 1st April 1905 211,935 6 - Transfer to Board of Trade · 109,250 ...
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