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PART I.

SUMMARY OF RECEIPTS AND EXPENDITURES for the fiscal year ending June 30, 1879.

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The following are the disbursements on account of the various funds:

To general revenue warrants redeemed

Permanent school fund warrants redeemed..

5,560 15

4,155 80

88,818 76

144,287 85

3,093 00
30 95

9,608 87
266 90

2,869 88

399 33

20,800 00
692 33

$537,626 09
34,727 40

174,896 25

Sinking fund warrants redeemed.......

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332,142 89

81,831 50

6,510 00

500 00

997 80

800 00

223 42

8,800 00

1,954 57

549 300 53

$1,593,104 73

165 00

885 26

670 00

830 89

2,152 83

$1,185,713 90

$407,390 83

Balance in treasury, July 1, 1879.....

The balance in the treasury above mentioned belongs to the several funds, as follows:

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The following summary statements show the receipts and expenditures of each fund separately, for the fiscal year ending June 30, 1879:

GENERAL REVENUE FUND.

Dr .

Cr.

By balance, July 1, 1878..

Amount from Insane Asylum fund.

Amount from Penitentiary fund, earnings...

Amount from Blind Asylum fund..
Amount from Insurance fund..
Amount from Library fund..

Secretary of State, sale of furniture.
Secretary of State, sale of Laws.

John P. St. John, sale of furniture..
Miss Drake, money refunded...
Amount from taxes, 1862-1878

To amount warrants redeemed.

Counterfeit money destroyed, (Laws 1879, p. 188,)..
Deficiency of Samuel Lappin, (Laws 1879, p. 188,).....
Balance in treasury, July 1, 1879....

Total.......

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