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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1921-1922 PURSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly 1921

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Full Text

 EEPOBT
OF  THE
Comptroller-General
OF   THE   PROVINCE   OF
BRITISH COLUMBIA
1921-1922
pursuant to the provisionsof the "audit act,'
Chapter 7, 7 & 8 geo. y.
PRINTED BY
AUTHORITY   OF  THE   LEGISLATIVE   ASSEMBLY.
VICTORIA, B.C.: •
Printed by William H. Cullin, Printer to the King's Most Excellent Majesty.
1921.  } His Honour Walter Cameron Nichol,
Lieutenant-Governor of the Province of British Columbia.
ay it please Your Honour :
The undersigned has the honour to present to Your Honour statements of the
3mptroller-General pursuant to the provisions of the " Audit Act," chapter 7,
& 8 George V.
Respectfully submitted.
-easury Department,
Victoria, Octoher 18th, 1921.
JOHN HART,
Minister of Finance. ■
Victoria, October 18th, 1921.
Hon. John Hart,
Minister of Finance.
Sir,—I have the honour to submit for the information of the Legislate
Assembly, pursuant to the provisions of the " Audit Act," chapter 7, 7 & 8 George \
as follows:—•
(A.)  Statement of Treasury Board Overrulings (pursuant to section 31).
(B.)   Statement of Expenditures on Services which have exceeded their Appr
priations (pursuant to subsection (o) of section 32).
(C.) Statement of Payments charged against the 1921-22 Appropriations whk
did not occur within the Period of the Account (pursuant to subsection (e) <
section 32).
(D.)   Statement of Special Warrants issued   (pursuant to subsection  (6)
section 24).
(E.) (1.) Statement showing the Revenue for the First Six Months of tl
Present Fiscal Year, viz,, from 1st April to 30th September, 1921.
(2.) Statement showing the Expenditure for the First Six Months of tl
Present Fiscal Year, viz., from 1st April to 30th September, 1921.
(3.) Statement showing Expenditures and Advances out of Moneys raised t
Loan under Authority of the Legislature for Specific Purposes, 1st April to 30t
September, 1921 (pursuant to subsection (a) of section 42).
I have the honour to be,
Sir,
Your obedient servant,
A. N. MOUAT, C.A.,
Comptroller-General COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVERRULINGS.
Nil. D 6
Comptroller-General's Report.
192
(B;)
UNPROVIDED ITEMS IN EXPENDITURE FOR THE FISCAL YEAR ENDE
31st MARCH, 1921.
STATEMENT of Expenditures on Services which have exceeded their Appropriatior
from 1st April, 1920, to 31st March, 1921, and for which Overexpenditure
the Sanction of Parliament is required.
Vote
No-
Service.
Total
Appropriation.
Total
Expenditure.
Overexpende
15
18
35
38
53
54
58
60
62
64
70
74
101
103
111
117
120
134
136
140
143
144
146
148
154
175
198
200
210
211
215
217
221
222
224
246
247
261
267
271
Department of Agriculture.
Tubercular Cattle—Compensation, etc	
Farmers'  Institutes, etc	
Department of the Attorney-General.
Attorney-General's Office	
Municipal Branch   	
Supreme and County Court, Ladysmith	
Supreme and County Court, Nelson	
Supreme and County Court, Victoria	
Provincial Police  	
Oakalla Prison Farm  	
Girls' Industrial School   	
Expenses of Inquests	
Game Protection   	
Department of Finance.
General   Office   	
Controlling and Audit Branch , . .
Barkerville Sub-agency  	
Fernie  Agency   	
New Westminster Agency	
Prince Rupert Agency   	
Quesnel Agency  	
Smithers Agency ".	
Vancouver Agency	
Vernon Agency	
Wilmer 'Sub-agency	
Sundry Sub-agencies   	
Premium on Fire Insurance, Fairview Works	
Department of 'Lands.
Photo-topographical Surveys	
Department of Mines.
General Office 	
Department of the Provincial Secretary.
Provincial Board of Health  	
Provincial Library and Archives   	
" Public Libraries Act "	
Colony Farm and Nursery. Essondale  	
Provincial Home, Kamloops	
In Aid of Destitute Poor and Sick	
In Aid of Resident Physicians	
King's Printer	
Department of Public Works.
Maintenance of Government House and Grounds..
District Engineers ....	
Capital Account.
Industrial School and Boys' Subnormal School
Building  	
Mental Hospitals, New Westminster, Essondale,
and Colony Farm  	
Technical School   	
37,500  OO
11,000  00
12,310  00
7,040 00
470 00
2.535
29,807
411,900
74,835
29,975
6,000
40.000
32,156 00
52,650 00
4,348 00
8,922
25,915
29.676
26,525
16,836
105,482
17.922
2,248
2,640 00
840 00
29,000  00
19,702  00
67.030 00
20,520 00
i,10O 00
91,15:
42,945
25,000
10,000
247,247
19.400 00
5S.680 00
250,000 00
81,000 00
175,000 00
37,598 51
11,017 22
12,414 95
7,085 35
476 70
2,544 29
30,365 25
434,971 06
74,963 53
31,503 95
6,101 87
44,776 85
34,435 28
52,899 63
4,545 40
9.060 36
26.176 38
29,760 92
26,544 90
17.883 33
105,912 42
18,204 83
2,420 99
2,698 97
917 43
29,762 85
20,049 30
77
73,223
20.726
8,156 06
97,881 55
44,'474 66
26,681 68
11,794 31
253,662 73
20,790 11
61,402 43
265,888 20
85,226 81
181,052 33
98
17
104
45
6
9
49S
23,071
128
1,528
101
4,776
2,279 S
249 f
197 4
138 3
261 3
84 9
19 9
1,047 3
430 4
282 8
172 9
58 9
77 4
762 8
347 3
6,193 7
206 6
56 0
6.729 5
1,529 6
1.6S1 6
1,794 3
6.415 2
1,390 1
2,722 4
15,888 2
4,226 8
6,052 3
,134,368 48
$2,226,053 84
$  91,685 3 12 Geo. 5
Comptroller-General's Report.
D 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST THE 1921-22
APPROPRIATIONS WHICH DID NOT OCCUR WITHIN
THE PERIOD OF THE ACCOUNT.
Vote
No.
Date   of
Service.
Name.
Particulars.
Amount.
$  19
35
28
75
2
00
1'5'3
25
8
50
1
OO
25
00
19
55
270
(10
1,450
OO
362
no
48
00
9
15
35
242
05
SO
00
3
(Ml
02
8
90
50
00
57
00
48
00
38
75'
131
7fi
36
00
63
00
38
50
5
OO
24
71
75
00
15
00
32
00
3
On
8
OO
0
00
55
25
9
(IO
12
OS
100
(II)
33
fin
2
oo
0
oo
30
00
o
00
69
25
8
00
3
50
120
35
14
00
61
OO
30
25
50
(Ml
o
35'
133
00
82
95
24
50
7
05
12
00
138
00
31
32
42
HO
0
37
16
40
9
00
23
50
17,943
37
84
o'.:)
8
18
'22
48
49
49
49
49
49
49
50
67
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
69
GO
69
71
72
72
78
78
78
80
SO
81
SI
SI
92
92
92
92
92
92
92
92
92
92
100
104
104
Feb.-Mar., 1921
Jan.-Mar., 1921
March, 1920 .
March, 1921 .
March, 1921 .
Feb.. 1921 . .
Jan., 1921 . .
July,  1920   . .
Dec. 1920 .
Sept., 1920 .
August. 1920
Oct.. 1920 .
Sept., 1920 .
Oct., 1920 .
Aug.-Oct, 1920
Nov.-Dec, 1920
Oct.,   1920   	
Dec,   1920   	
March, 1921 . . .
Nov., 1920	
Sept.-Oct.. 1920
April,     1920    to
March, 1921 .
Dec,     1920,    to
March, 1921 .
Jan.,   1921   	
Sept.-Oct., 1920
Jan.-Mar., 1921
Feb.-Mar.. 1921
Dec.  1920   	
Nov., 1920 ....
Aug.-Dec, 1920
March. 1020 . . .
August,  1920,  to
March, 1921 .
March. ,1921 . .
March. 1921 ..
Oct.. 1920
Nov.. I020i
Feb., 1921
Feb., 1921
Jan.. 1921
Feb.-Mar., 1921
March. 1921 . .
Tune.   1920   ....
July.   1920	
March, 1920 . .
Dec, 19120 ....
Oct.-Nov.. 1919
March. 192,1 . .
Oct.-Nov.. 1920
Jan..   1921   ....
Nov., 19'20   	
Feb..     1919,     to
August. 1920.
June-Nov., 1920
March. 1921 . .
Feb.-Mar.. 1921
Nov., 1919 .
Jan., 1921 .
March. 1921
March, 1921
March, 1921
March, 1921
March, 1921
Feb.. 1921 .
March, 1921
March, 1921
March, 1921
March, 1921
Feb.-Mar., 1921
Feb.-Mar.. 1921
Curror, J. A	
Okanagan Telephone Co	
Little & Taylor  	
Wilkerson, G. E	
Grigor,   R.   W	
Nicol, A	
Lee. R. H	
Jeune, F.  & Bro.,  Ltd.   ......
Fourth     Avenue     Heating     &
Plumbing Works   	
Stroup,  A.  B	
Morrison.  W.  H	
Crawford  Battery  Co	
Junction Auto Filling Station
P.O. Gasoline Station	
Agent No. 9   	
Potter, A. H. (Miss)   	
Little & Taylor  	
Government Telegraph Service.
Smith, C. J	
Haddock. A. W	
Darlington, A.  D	
Eburne Saw Mills	
Western Canadian Ranching Co.
Hasler.  F. C	
Gunderson,   Hans   	
Young,  R.  D	
Spencer. OB. A	
Hoy.  C. D ,	
Dawson. C. H	
Taylor Engineering Co	
City of Prince Rupert  	
I!        i1
Arbuckle & Baldwin, Drs	
Tisdall's.  'Ltd	
McGee. R. H	
Jackson. C. II	
Eggleshaw, J. P	
United Tvpewriter Co	
Pacific Mills, Ltd	
Mcintosh.  J.  W	
Christensen. A. C	
Masset Timber Co., Ltd	
Crosby, R., Dr	
McKay, J. G., Dr	
Wilson, B. II., Dr	
Hex v. Haller  	
Rex v. Copal  Singh et al  ....
Blackwood. H	
London Grill. Ltd	
Henderson, G. B	
Nash, A. C, Dr	
King.   Chas	
Tiffin & Alexander   	
Heckmiller,  F	
Dafoe,  V. M	
Jeune, F. & Bro.. Ltd	
Ogden Bros.  Wood Yard   	
Vancouver Lumber Co	
Hollingsworth,  H.  J.   	
Johnston Storage Co., Ltd.  ...
B.C. Electric Railway Co., Ltd.
Ireland & Allan	
World Book Company	
Gunn. J. G	
Burns Drug Co	
City Chimney Sweeping Co. ...
Municipality of Penticton   ....
City of Grand Forks   	
Trustees,  Naramata  School
Board    	
Rent of office, Salmon Arm  	
Rental and tolls  	
Repairs to clock	
Marine  information and inspection
expenses 	
Inspection fees  	
Hauling	
Rent of office, Kamloops   	
Repairs to tent	
Reel cabinets, etc	
McLaughlin  car   	
Indian   motor-cycle   	
Battery   	
5 gallons gas   	
1 quart oil  	
Expenses, secret service work  ....
Salary 	
Repairs   to   clock   	
Messages    	
Repairs and supplies for launch  ..
Auto-hire   	
Launch-hire   	
Wharfage, launch " Watla "  	
Wintering horses   	
Oats and hay	
Travelling expenses  	
Food allowance .	
Services as Special Constable   ....
Fee as interpreter   	
Freight and cartage on piano   ....
Rent of lock-up	
Meals for prisoners	
Professional services   	
Handcuff-keys   	
Auto-hire   	
Preparing lease	
Travelling expenses   	
Repairs	
Messages	
Salary    	
Sewer-pipe, etc	
Coal	
Professional services   	
Professional services  	
Professional services   	
Witness fees	
Witness  fees   	
Witness  fees   	
Meals  for  .jurors	
Re J. M. Frame   	
Re Louie George	
Re Estate of T. A. McDonald	
Re Rex v. Nelson  	
Travelling expenses   	
Hauling and lay days, launch " Rip-
Rap "   	
2 Indian tepees and express   	
Manure 	
Lumber	
Team-hire   	
Coal   	
Light and power	
Subscriptions to periodicals	
Books   	
Wheelbarrow, etc	
Supplies   	
Cleaning Chimneys, etc	
Grant re school building	
Grant re conveying children  	
47 50 D 8
Comptroller-General's Report.
1921
Statement of Payments charged against 1921-22 Appropriations—Continued.
Vote
No.
Date   of
Service.
Name.
Particulars.
Amount.
104
104
104
104
104
104
104
104
104
104
104
112
112
112
112
112
114
115
122
123
132
140
142
151
156
162
175
175
175
175
175
175
175
176
175
175
175
175
188
189
198
2'0O
204
2'04
204
204
204
204
209
209
209
209
.209
209
209
209
209
209
• 200
209
209
209
'200
210
213
221
221
223
2,26
227
Stat.
240
Nov., 1920 to
March. 1921 .
Feb.-Mar., 1921
March, 1921 . ..
March, 1921 . . .
Feb.-Mar., 1921
March. 1921 . ..
Feb.-Mar.. 1921
Jan.-Feb„ 1921
March, 1921 ...
Feb.-Mar.. 1921
March, 1921 . ..
March. 1921 . . •
March. 1921 . . .
Nov.,     19'20     to
March. 1921 .
March, 19,20 ...
Sept., 1920	
Feb., 1921	
March, 1921 ...
Dec,  1920   	
July, 1920 .. .
Oct..     1920,     to
March, 1921
March, 1921 . .
March. 1921 ..
April-Sept.. 1919
Oct.,     1920,     to
March. 1921 . .
Feb.-Mar.. 1921 .
Oct.,   1920   	
Feb.,  1921   	
Aug., 1920   	
Oct., 1919	
June. 1920	
June, 1920  	
Sept., 1920	
Oct., T9'20	
Nov..  1920	
March. 1921 ....
Dec,     1920.     to
March,  1921   . .
August, 1920  . . .
Nov..  1920   	
Dec,      1920     to
March.  1921   . .
Jan.. 1921  	
March. 1921	
Oct..   1920   	
April, 1919	
May-June, 1920 .
June-July, 1920 .
June-Julv. 1920 .
Oct..   1920   	
Feb., 1921 . .
Dec, 1920 . .
Nov., 1920 . .
Nov., 1920 . .
Feb.. 1921 . .
March. 1921
June. 1920 . .
March,   1921
Dec,  1020   	
Aug.-Sept.. 1920.
Nov.,     1920^     to
March.  1921   . .
March. 1921	
Nov.,     1920     to
March. 1921 ..
Oct.,     1920,     to
March. 1921 . .
Jan.-Feb.. 1921 .
1912 to 1914 . . .
Mar-May. 1920 .
March. 1921 ....
Jan.-Mar.. 1921 .
March.   1921   ...
July.  1020	
Jan.,  1920  	
Dec.  1020  	
March,   1921   . . .
Municipality  of Surrey   	
Municipality of Kent  	
City  of Armstrong   	
City of Duncan   	
Municipality  of  Saanich   	
Trustees,  Merville  School Dist.
Municipality of Langley   	
Municipality   of Mission   	
Municipality of Summerland ..
Municipality of Maple Ridge..
Trustees.   Beaver  Creek  School
District   	
Stege, Henry	
Steele. W. B	
Greenwood. G. H	
Hill,  D.  J	
Archibald,  R.  F	
Heaton's Agency  	
Durham. Mabel	
Higgins. Grace	
Cooke.  J.  W	
Collins,   J.  V	
Postmaster,   Smithers   	
Norris. W. H. L	
Menendez, M. E	
Postmaster. Stewart  	
Spencer, C	
Macey-Abell Co., Ltd	
Hughes-Owens Co., Ltd., The..
McKerns.   R.   E	
Powell  River Co., Ltd.,   	
Dent, of Militia and Defence..
Pacific Mills. Ltd	
Powell River Co.. Ltd	
National Drug & Chemical Co.
Akerberg. Thomson & Co	
Central  Garage   	
Anderson,  A.   R	
Kemp,   G	
" Farm and Home "	
Sundrv  persons   	
B.C. Telephone Co	
Compressed Gas Co.. Ltd	
Cowie.  A	
Heyland,  A.  R	
Dempster,  Wm	
Poyntz, J. A	
MdLellan, D. S	
Sundry persons   	
Manning, F. W., Dr	
Wrinch. H. C, Dr	
Henderson. A.,  Dr	
MacNaughton, G. K., Dr	
McCallum. J. S., Dr	
McPhee, T.  J.,  Dr	
Green and MacKinnon, Drs. . . .
Irving,  Murphy,  &  Willoughby,
Drs	
Gray, A. A„ Dr	
Maclean, C. G. G.. Dr	
Morgan, A. D., Dr	
Sutherland, E. M., Dr	
Inglis,   F.,  Dr	
Walls, J. H.  (Mrs.)   	
Covert. Fred  (Mrs.)   	
Hiersemann, K. W	
Taylor,   Harry   	
Goodeve.   J.   H	
McGettigan   Bros	
Center & Hanna,  Ltd	
Atkinson. II. G	
Vancouver Daily Province ...
Mortimer. E. H	
T'nited Typewriter Co., Ltd.  ..
Grant re conveying children  	
Commission on collections     	
Book ..'! '.' ..'.'.'.'.
Lectures   	
Increase in salary    :,....
Stamps   	
Increase in salary   	
Stamps	
Travelling expenses  	
Increase in salary	
P.O. Box-rent   	
Keep of horses   	
2 elm filing-cases  	
Blue-print papers	
Travelling expenses   	
Distillate	
Blankets  	
Window-shades, etc	
Cups, etc	
Supplies   	
Supplies, launch " Geraldine R " . .
Repairs & supplies, car No. 02'2'S265
Supplies,  car No.  23S5'96   	
Repairs,   launch   " Ethel "   	
Advertising synopsis of ". Land
Act "   	
Furnishing information re  settlers
Moving telephone   	
Filling oxygen  supply tanks   	
Clearing trail. Mount Buttle   	
Survey of Idaho Landing—Porcupine Flats Road   	
Labour, Toby Creek Trail   	
Labour, L'tica Road  	
Labour, Utica Road	
Labour. North Fork of Carpenter
Creek  Road   	
Professional services   	
Nursing Ca,rl Schultz  	
Books   	
Transportation of insane patient. .
Supplies furnished S. Castano ....
Supplies furnished D. McDonald . .
Funeral expenses, P. J. Murphy ...
Salary and expenses	
Papers   	
Additional expenses. Prince Rupert
Electoral District	
Overhauling machine No. 3688S9-5.
$ 847 75
218 40
101 25
311 40
295 00
28 00
27,2 00
401 OO
315 00
225 00
45 00
34 75
2 20
30 00
6 25
2 45
5 08
48 50,
7 50
2(5 OO
60 00
10 00
36 15
26 50
10 OO
226 75
66 70
115 00
35 OO
47 60
120 OO
16 25
4 15
30 T5-
9 20
210 30
11 40
5 00
62 35
73 00
1 50
21 19
201 50
50 OO
78 00
00 T5
69 50
567 00
94 00
24 00
15 00
13 50
10 00
38 00
167 00
61 50
76 50
S 00
29 00
17 50
83 OO
75 00
75 00
385 27
448 90
2 15
20 O'O
50 00
254 45
3 45
15 13
10 35 12 Geo. 5
Comptroller-General's Report.
D 9
Statement of Payments charged against 1921-22 Appropriations—Continued,
Vote
No.
Date   of
Service.
Name.
Particulars.
Amount.
3
60
14
(10
2
03
30
05
450
00
1,235
55
$ 17
00
20
00
21
Oil'
11
4.5
27
<;:>
10
37
10
0,2
6
00
60
18
50
8
69
92
■7 7
7
DO
2
50
140
15
78
63
30
71
0
00
9
44
15
55
00
00
68
81
12
60
50
OO
48
40
5
00
15
(II)
44
99
169
97
151
27
15
40
7
20
7
00
116
85
500
00
11
44
107
39
2
12
6
9li
■a
34
4,440
70
2.5
40
12
5,0
318
60
64
85
302
2'0
62
25
241
242
242
2,42
242
243
243
243
248
24'8
248
248
24,8
248
248
248
248
248
248
24S
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
248
249
249
249
249
251
251
251
251
251
251
Stat.
Stat.
Stat.
Stat.
March. 1921
March, 1921
March, 1921
Feb.. 1921 .
Aug., 1,920 .
Sept.,    1920,    to
Feb.. 1921 .
March, 1921 .
March,   1921
Sept.,     1920     to
March. 1921 .
March, 1021 ..
March. 1921 . .
March.   1021   ..
Jan..   1921   	
Oct..   1020   	
Nov., 19:10	
Sept.-Nov., 1010
Sept., 1010	
Feb..  1921   	
Feb.-Mar.. 1921
Nov., 1,920 ....
Dec,     1919,     to
Feb., 1920
Dec,     1920,
Jan., ,1021
March, 1921
Nov.. 1920 .
March, 1921
Feb., 19)21 .
Oct.. 1920 .
June.     1020,
Jan.. 1921
March. 1921
March. 1921
Jan.. 1019 .
Nov., 1920 .
May, 1910 .
Aug., 1019 .
May, 1010 .
May, 1910 .
March, 1921
March, 1021
to
to
Feb.-Mar..   1921
March, 1921 . . .
Nov.. 1020   	
August, 1910  . . .
Tune.     1920.    to
March. 1921   .
June. 1920  .
June,   1918
March.   1921
Sept.,   1920
Feb..   1921   .
March. 1021
Feb.,  1020   .
April, 1010 .
Nov., 192'0  .
Aug.,  1920   .
Dec,     1920.
Jan.. 1021
to
Dominion Express Co	
The   Colonist   	
Prior, E. G.. & Co., Ltd	
Morrison,  Jas	
B.C.  Telephone  Co.   ._	
Coulson, Wm., & Sons  	
Evans. Colmean & Evans, Ltd.
Morrison,  Jas	
Boswell. W. J	
The Daily News, Nelson   	
Wheldon. T. J	
Smith, Cecil   	
Sundry persons   	
Harwood,   V	
Fraser  &   Home   	
Sacht.   H.   Otto   	
Canadian Explosives, Ltd	
MeLoughlin Bros	
McKenzie.  J. W., & Son   	
Sointula Co-op. Stores, Ltd....
Ollinger,   P	
Trodden,   R	
Maple Ridge Lumber Co., Ltd..
Alanson,   H	
Wood. Vallance & Leggat	
Bain,   P	
Green Bros., Burden & Co.  ...
Goard Motors, A. S„ Ltd	
McKenzie,   J.   B	
Teta, Elia  	
Fernie Garage   	
Giant Powder Co., Ltd	
Imperial Oil. Ltd	
McGeachy,  E.  C	
Canadian Explosives, Ltd	
Hudson's Bay Co	
Daily News, Nelson	
Revelstoke    Review    Publishing
Co	
Hunter, James   	
Jeune & Bro.. F., Ltd	
Yarrows.   Ltd	
Northern Hardware Co	
Canadian   Oil   Companies,   Ltd.
Witt.  A.  II	
Great  Northern   Railroad   ....
Anderson   &   Lusby   	
Canadian National Railways ..
Grant.   J.   R	
Imperial Oil, Ltd	
U.S.  Railway Administration..
Canadian Explosives, Ltd	
Kootenay  Garage   	
Nelson   Iron   Works,   Ltd	
Clarke & Stuart Co., OLtd., The
Express charges  	
Advertising tenders for coal	
Glue  and casters   	
Sharpening picks, etc	
Arrears,  long-distance tolls   	
Linen  	
2  tons lime   	
Shutters   and   fittings   for   picture-
booth 	
Rent of warehouse  	
Publishing notices	
Labour, Comox District	
Nails, Comox District  	
Hardware, Comox District  	
Freight charges, etc., Comox Dist..
Goodyear tire	
Blacksmithing,   Comox District   . . .
Hardware, Comox District  	
Lumber, Cutbank Bridge  .	
Board account, Yale District  	
Lumber, McKenny Creek Bridge  . .
Sash and building-paper  	
Cable	
Lumber, Dewdney Bridge	
Bridge-site survey, Fire Valley  ...
Supplies and repairs to Ford truck
1'ravelling expenses	
Expropriation of land for right-of-
way  	
Repairs  	
Freight  	
1 steel barrel. No. S311	
Provisions, Hulatt North Road . . .
Freight  	
Hardware, etc	
Advertising   	
Advertising   	
Repairs	
Tents 	
Re Agassiz—Rosedale Ferry	
Rope	
Gasolene	
Labour   	
Work-train  service,  etc	
Solder,    etc	
Gravelling   	
Travelling expenses   	
Coal-oil   	
Renewing ties, etc	
Freight   	
Repairs to car	
Repairs  to  governor   	
Tracing-cloth,  etc	
238  20 D 10
Comptroller-Generai/s Report.
1921
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS
OF FEBRUARY, 1921, AND OCTOBER, 1921.
Date of
Approval.
No. of
Warrant.
'Service.
Amount of
Warrant.
Expenditure.
TO   MEET   EXPENDITURE   FOR   THE   FISCAL
YEAR ENDING 31st MARCH, 1922.
CURRENT ACCOUNT.
Department of Agriculture.
May
23, 1921
2
Grant to British Columbia Berry-growers' Association
Department of the Attorney-General.
$     1,000
00
$        608 96
June
June
1, 1921
8, 1921
30, 1921
4
6
8
Payment of value of effects taken in charge by late
Sheriff Tuck and never accounted for by him	
Administration  of  " Infants  Act"   and   " Mothers'
1S6
1,000
150
45
00
00
186 45
Tune
Department of Education.
Aug.
Aug.
24, 1921
24, 1921
12
12
1,500
2,500
oo
Of)
Examination of teachers and High School Entrance
2.336 08
Department op Labour.
May
July
20, 1921
1
Relief of destitution in Provincial municipalities. . .
25,000
2,500
00
00
23,717 23
Department of Lands.
July
20, 1921
10
Repurchase of  Lot  164,   Sayward  District,  Crown-
granted in error, October 20th, 1910	
Department of the Provincial Secretary.
8,S81
40
8.881  40
May
July
Sept.
31, 1921
22, 1921
29, 1921
3
11
13
10,000
3,000
60,000
00
00
oo
5,110 30
Expenditures in connection with the change in the
Rule of the Road   	
Grant towards cost of Matsqui drainage-works  ...
2.714  65
60,000 00
CAPITAL  ACCOUNT.
June
1, 1921
14, 1921
5
9
Supplementing amount available for loans under the
6,950
4,115
00
50
6,950 00
July
4.275  50
$126,783
35
$114,7S0 66 12 Geo. 5
Comptroller-General's Report.
D 11
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOE THE FIRST SIX MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL TO
30th SEPTEMBER, 1921.
Estimated   for
12  Months
ending  31st
March,   1022.
Service.
Revenue for 6 Months ended
30th September, 1921.
28,000 00
10,500 00
2,500 00
41.000 -00
$        50.000 00
1,500 00
200,000 OO
85,000 00
75,000 00
20,000 00
375,000 00
90,000 00
750,000 00
17,500 00
2,5oo',666'oo
20,000 00
25,000 00
30,000 00
$  4.239,000 00
4,000 00
2,500 00
66,000' OO
1,500 00
74,000 00
$ 29,151   06
180.000 00
313,9,84 00
100,000 00
$      623.135 06
350,000 00
220,000  00
2,000,000 00
19.080 07
305,000 OO
300,000 00
1,050.000 00
975,000 00
135,000 00
860,000 00
235,000 00
75,000 00
51,200 00
200 00
6,000 00
220.O0O 00
700,000 00
50.000 00
200,000 00
$  8,374,615 13
Current Account.
Department of Agriculture :
Horticultural inspection fees and licences
'Seed-grain advances refunds	
Miscellaneous   	
Department of the Attorney-General:
Court fees and fines  	
Dog licences   	
" Game Act "—Fees and licences  	
" Insurance Act "—Licences, taxes, and fees  	
Joint-stock Companies, etc.—'Registration fees	
Keep of prisoners—Reimbursement   	
Land Registry fees  	
Law  stamps   	
" Motor-vehicle  Act "—Fees   	
" Moving Pictures Act "—Fees  	
" Prohibition Act "—Profit on liquor sold, etc	
" Government Liquor Act "—Profit on liquor sold, etc.
Sheriffs' fees	
Trade  licences   	
Miscellaneous receipts	
Department of Education :
'   Examinations fees  	
Teachers'  examinations and certificates   	
Technical  school   	
Text-books  sold   	
Miscellaneous  receipts   	
Department of Finance :
Dominion of Canada :
Annual  interest   	
Annual  subsidy	
Annual grant per capita	
Annual grant for lands conveyed	
Amusements tickets tax  	
Coal and coke tax  	
Income tax   	
Interest:
" Dyking Assessments Adjustment Act "
Sinking fund investments   	
Miscellaneous   	
Land taxes :
Real property	
Wild land, coal and timber lands	
Mineral-tax 	
Personal-property tax   	
Poll-tax  	
Probate fees   	
Rents:
B.C. House, London, England  	
Miscellaneous rents  	
Revenue service refunds 	
Rural district school-taxes 	
Succession duties  	
Unworked Crown-granted mineral claims—Taxes
Miscellaneous receipts	
Carried forward .
$    9,255  76
450 50
3,588 96
$ 29,067 82
1,824 90
78,480 63
74,098 96
43.800 95
11,415 00
177.881 13
36.342 07
151.133 52
3,595 73
264.481 03
121,034 00
10,063' 10
13,437 50
13,037 06
6.528 15
2.115 50
12,000 00
443 32
206 35
$ 14,575 53
90,000 OO
156,902 00
50,000 00
$311,567 53
166,340 62
82,969 98
2,551,443 17
89,850 37
211,245 52
774,758 84
505,281 45
50,060 99
550,004 35
10S.080 00
37,972 85
7,728 00
85 00
769 25
231,S59 66
153,912 46
30,169 95
26'8,8S5 67
13,295 22
1,030,293 40
21,383 32
6.232.885 66
$ 7,297,857 60 D 12
Comptroller-General's Report.
1921
Statement of Revenue for the first Six Months of the present Fiscal Year—Continued.
Estimated   for
12  Months
ending  31st
March,  1922.
Service.
Revenue for 6 Months ended
30th September, 1921.
30,000  00
35,000 00
$        20,000 00
100,000 00
550.000 OO
11,000 00
65,000 00
1,350,000 00
300,000 00
950,000 00
60,000 00
10,000 00
$  3,416,000 00
2,000 00
1,000 00
61,000 00
1,000 00
100,000 oo
163,000 00
15,000 00
14,480 00
225.000  00
14,000 00
90,000 00
3,000 00
2,000 00
155.000 00
3,000   00
1.000 oo
522,480 00
32,000 00
. 4,500 00
18.000 00
7,500 00
4,000 00
500 00
66,500 00
4,000 00
40,000 00
3,000 00
47,000 00
$17,010,595  13
$17,010,595  13
Current Account—Continued.
Brought forward
Department of Fisheries :
Fishing and cannery licences, etc	
Department of 'Labour :
Dominion of Canada, subvention  	
Department of Lands :
'Grazing rentals, leases, and fees	
Land revenues—Sundry   	
Land sales	
Survey fees and sale of maps	
Timber leases	
Timber licences	
Timber sales •. ,	
Timber royalties	
Water rentals and recording fees	
Miscellaneous receipts	
Legislation :
Private Bills fees  	
Department of Mines :
Bureau of Mines  	
Free miners' certificates  	
Miners' examinations and certificates
Mining receipts, general  	
Department of the Provincial Secretary :
Colony Farm	
Dominion grant, venereal disease	
King's Printer	
Marriage licences	
Mental Hospitals 	
Notaries Public and Commissioners' fees
Provincial Home, Kamloops	
Tranquille Sanatorium  	
Vital   statistics,  etc	
Miscellaneous receipts	
Department of Public Works :
Boiler inspections and examinations fees_
Electrical  energy  inspection    *
Ferry tolls   	
Government property sold  	
Wharfage and dock dues  .	
Miscellaneous receipts	
Department of Railways:
Inspection fees	
New Westminster Bridge—Tolls
Miscellaneous receipts	
Total, Current Account	
Capital Account.
(Refund of Capital Expenditures out of Income.)
Pacific   Great   Eastern   Railway   Co.—'Refund   of   moneys
advanced under Special Warrant No. 36, 1920^21  	
Total Revenue   	
$
7,297,857
60
26,961
11 182
50
°5
$ 7,479 77
82,405 44
253,172 31
6,444 80
41,078 67
565,667 70
192.720 08
405,473 66
37,-881 54
8,630 43
1,690,954
40
$   421 50
50,082 25
501 50
50,289 56
101.294
81
$ 1,187 3-8
136.131 02
10,175 00
39,038 54
1,740 15
10,556 70
127,734. 61
2.076 09-
6,584 91
335,224
40
$ 16,554 32
1,108 30
11,107 50
2,176 86
2,535 89
2,633 59
36.116
46
$  1,478 90
21,013 50
44 36
22,536
76
  $
9,522,128
IS
750,000 00
$10,272,128 18 12 Geo. 5
Comptroller-General's Report.
D 13
(E.)
(2.)
STATEMENT SHOWING THE EXPENDITURE FOR THE FIRST SIX
MONTHS OF THE PRESENT FISCAL YEAR, VIZ., FROM
1st APRIL TO 30th SEPTEMBER, 1921.
Estimated   for
12 Months
ending 31st
March, 1922.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1921.
$  2,829,633   08
1
2
3
4
5
6-11
12-16
17
18
10
20-43
44
45
46
47
48
49
50^52
53
54
55-60
61-68
69
70-71
72
73
74
75-86
86a
87
88
89
90
91
92-93
94
95-97
98-99
100
101-106
107
107a
10S
109
110
111
112
113
Current Account.
Public  Debt   	
$  1 933,987 18
$      109,870  00
187 80
-
$        13,680   00
6,849 36
Department of Agriculture:
$     6,416 85
18,250 66
45,496 94
33,45S 52
1,327 08
4,565 26
1,440 00
81,741 68
732 91
$        11.440  00
34.996 00
93,540  00
73,482   00
4,720 00
Statistics   	
16,270 00
3,200 00
149,150  00
Workshop and  Shipping Office   	
Department of the Attorney-General:
$      386,77S  00
$     7,019 07
11,000 74
11,819 53
3,480 41
6,474  44
7,664 08
11,470 51
1,133 25
3,320  55
88,998 77
35.723 20
132,316 25
30,958 44
11,658 09
22,773 05
8,261  84
86,874  74
242,731  50
5 00
193,430 80
$        11,810 00
26,940 00
26,010   00
Joint-stock  Companies  and  Insurance
7,140  00
15,522   00
6.580  00
29,806   00
" Prohibition Act "—Administration   	
2,740  00
7,290  00
210,304   00
83.3 49  00
400,601   00
119.3S5  00
30,050 00
43,680 00
48.000   00
190,000   00
400,000, 00
" Infants   Act "   and   " Mothers'   Pensions
Act "—Administration	
" Motor-vehicle   Act "—Administration   . . .
Department  of  Education :
$  1,659,207   00
$  15,875 83
59,209  77
14,527  36
27,747 58
31,231   77
32,589  32
13.171 78
326,541  23
160,881  25
157,717 44
38,776 37
222,499 98
130,510 42
723.774  36
$        29,152   00
04,880   00
29,280   00
96,970   00
75 880  00
82,315  00
47,600 00
1,207.500   00
560,000  00'
400,000  00
50,350   00
445,000   00
300,000   00
Department of Finance :
$  3,418,227  00
$     5,878 75
19.5S8 08
4.164  12
26,892 73
43.039  32
1,441 43
1,231,280 10
$        12,820   OO
14,830   00
Inspector of Trust Companies, Probate and
53,720 00
121,512   00
6,320  00
" Amusements Tax  Act "—Operation   ....
$     246,098   00
$101,004 43
$ 4,089,509  60 D 14
Comptroller-General's Report.
1921
Statement of Expenditure for the First Six Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1022.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1921.
$      246,098   00
34.872   00
79,30,0  00
538,363   90
60,017  00
114
115
116-157
158-162
163
164
165
166
167
168
169
170
171
172
173
174
175
176-195
196
107
19 S
199
200
201-206
206a-206b
207
208
209
210
211
212
213-216
217
218-223
224
225
226-239
240
241
242
243
244
245
246
247
248
249
Current Account—Continued.
Department of Financi^Continued.
$101,004 4,3 $
3,270 03
14,391  78
160,734 06
20,052  36
61,204 39
4,089,509 60
Government Agents and Assessors, etc.   . .
$     060,450  09
370,557 05
$        18,090   00
7,501  68
$        28.300   00
5,511 SO
Department of Labour :
$    4,567 83
2,112 05
20,843 21
23,717 23
$        14,940  00
8,930   00
72,870   00
Department of Lands :
$        96,740   00
$    6,506 62
17,049 96
21,302 84
33,662 78
42,121  17
126,325  32
1.831  30
8,7.809 58
228.185  15
13,618 43
51.240 32
$        12,442   00
34 220   00
43 316  00
70744  ,oo
88,002   00
220,686 00
25,000  00
212,200  00
1,065,700 00
Expenses, General Office and Branches   ..
Department of Mines :
$  1,774,400 00
$     5,452  13
6,739 77
17.942   22
6,885  61
7,479 35
35,050 45
28,654 57
578,413 15
$        10,565   00
20,090  00
40,300 00
16,530   00
13,645  00
115,500  00
89.374   38
Department of the Provincial Secretary:
$      306,004   38
$    5,346 27
7,333 76
47,099 04
11,945  19
5,039 45
5,761  66
231,448 12
14,437 71
168,482 10
109,790 23
4,967 74
266,027 08
679 55
108,213 10
$          9,560  00
15.550  00
00,610   00
10,570  00
13,020  00
10,668   00
730,546 00
47,145  00
478,250  OO
217,411   48
15,340  00
748,500   00
Department of Public Works :
$ 2,396,170 48
$     5,551 97
31,912  25
59,413 12
11,569 73
21.33S 02
20,281  65
2,480 10
2,717 60
916,742 15
65,441  20
2,714 65
879,258 89
$        11,040   00
64,924 00
143,200  00
22,820  00
66,040   00
75.610   00
8.590 00
8,928  00
" Electrical Energy  Inspection Act "   ....
2,241,100 00
261,556  00
Roads.  Streets,  Bridges,  and Wharves   . .
Steamboats, Ferries,  and Bridge-tenders..
I  2,903,808  00
1,140,159  53
$
7,230,365' 12 12 Geo. 5
Comptroller-General's Report.
D 15
Statement of Expenditure for the First Six Months of the Present Fiscal Year—Continued.
Estimated   for
12 Months
ending 31st
March, 1922.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1921.
$        24,600  00
250
251
252
253
254
255
256
257
258
259
260
261
262
263
264-265
Current Account—Continued.
Department of Railways :
$  7,230,365  12
$ 10,646 18
50,000   00
New   Westminster  Bridge   	
Current expenditures  (charged to
Capital Account.
(Expenditures out of Income.)
25,672 87
$       74,600  00
36.319 05
$16,975,958  93
  .   $  7,266,684 17
$  1,247,081   36
$696,796  72
773,884   O0
9,700  00
50,000   00
P.G.E. Rly. Co.  (interest on Guaranteed Bonds)
288,347 85
221 87
200,000   00
38,165 61
99.000 00
237.100   00
Industrial School and Boys'  Subnormal School
45,728 10
10,554 64
50,000   00
135 00
25,000  00
200,000   00
25,000  00
23,000  00
19,000  00
Deaf.  Dumb,  and Blind 'School, Point Grey   . .
Government  Buildings,   Pouce  Coupe   	
77,176 25
■ 447 78
Capital expenditures  (charged to
312,430 39
$  2,958,765   36
        1,479,004 21
Total   expenditures    (charged   to
$10,934,724   29
   $ 8,745,688  38
(E.)
(3.)
STATEMENT SHOWING EXPENDITURES AND ADVANCES OUT OF
MONEYS RAISED BY LOAN UNDER AUTHORITY OF THE
LEGISLATURE FOR SPECIFIC PURPOSES, 1st APRIL
TO 30th SEPTEMBER, 1921.
Authority for Expenditure.
Service.
Expended for 6 Months
ended 30th September, 1921.
"B.C. Loan Act, 1916"	
" B.C   Loan Act, 1917"..   .
Capital Account.
             50,000  00
" B.C.  Loan Act 1919 " :
$  58,285 80
Section 7 (6). . ..
100,000 00
2 22
" Better Housing Act, 1919 "
" Department  of  Industries
Act " 1919 "
158.288 02
           318 550 00
             60,000 00
" B.C. Loan Act, 1920 " :
$340,000 00
Section 7 (6)
621  14
230,000 00
" B.C.   Highway   Loan  Act,
19,90'"
570,621  14
" P.G.E.  Construction Loan
Act   1021 "
        2,936,100 00
"B.C. Loan Act. 1921 " :
" Soldiers' Land Act   1918 "   	
$100,000 00
Section  6 (d) . .
211.548 97
Total. Capital expenditures
(Statutory)     	
150,000 00
    $ 5,283,571 87

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