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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1927-1928 PURSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly [1928]

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 EEPOET
OF  THE
Oompteollee-Gekeeal
OF  THE   PROVINCE   OF
BRITISH COLUMBIA
192*7-1928
PURSUANT TO THE PROVISIONS OF THE "AUDIT ACT,"
CHAPTER 19, R.S.B.C. 1924
PRINTED BY
AUTHORITY OF THE LEGISLATIVE ASSEMBLY.
VICTORIA,   B.C. :
Printed by Charles F. Banfield, Printer to the King's Most Excellent Majesty.
192S. To His Honour Robert Randolph Bruce,
Lieutenant-Governor of the Province of British Columbia.
May it please Your Honour :
The undersigned has the honour to present to Your Honour statements of the
Comptroller-General, pursuant to the provisions of the " Audit Act," chapter 19,
R.S.B.C. 1924.
Respectfully submitted.
j. d. Maclean,
Treasury Department,
Victoria, January 24th, 1928.
Minister of Finance. Victoria, January 24th, 1928.
Hon. J. D. MacLean,
Minister of Finance.
Sir,—I  have  the  honour  to  submit  for  the  information   of  the  Legislative
Assembly, pursuant to the provisions of the " Audit Act," chapter 19, B.S.B.C. 1921,
as follows:—
(A.)   Statement of Treasury Board Overrulings (siection 35).
(B.)  Statement   of   Expenditures   on   Services   which   have   exceeded   their
Appropriations (clause (6) of section 36).
(C.)  Statement of Payments charged against the 1927-28 Appropriations which
did not occur within the Period of the Account (clause (e) of section 36).
(D.)  Statehient of Special Warrants issued (subsection (4) of section 24).
(E.)   Statements  showing the Kevenue  and  Expenditure for the First Nine
Months of the Present Fiscal Year, viz., from 1st April to 31st December, 1927
(clause (a) of section 42) :—
(1.) Eevenue.
(2.)  Expenditure (charged to Income).
(3.) Expenditure (charged to Loans).
I have the honour to be,
Sir,
Your obedient servant,
A. N. MOUAT, C.A.,
Com p troller-General. COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVBRRULINGS.
Nil. COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 5
(B.)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED 31st MARCH, 1927.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1926, to 31st March, 1927, and for which Overexpendittire the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
I
CURRENT ACCOUNT.
Legislation.
Legislation  	
Department of Agriculture.
Minister's Office 	
Workshop and Shipping Office	
District Agriculturists	
Automobiles and Accessories 	
Farmers' Institutes, etc	
Departmental Exhibits 	
Department of the Attorney-General.
Insurance Branch 	
Land Registry Office, Nelson 	
Land Registry Office, New Westminster 	
Sundry Supreme and County Courts  1	
Administration of " Motor-vehicle Act " 	
Constitutional Litigation and General Law Costs	
Game Protection 	
Departjuent of Education.
Per Capita Grants to Rural School Districts 	
Salaries of Teachers in Assisted Schools 	
Grants to Libraries 	
Examination of Teachers and High School Entrance
Classes 	
Conveying Children to Central Schools 	
Department of Finance.
General Office 	
Controlling and Audit Branch 	
Surveyor of Taxes 	
Agent-General's Office and B.C. House, London, Eng.
Ashcroft Sub-agency 	
Cranbrook Agency	
Cumberland Agency 	
Duncan Agency	
Fort Fraser Agency 	
Greenwood Sub-agency	
Kaslo Agency 	
Lillooet Sub-agency 	
New Westminster Agency 	
Penticton Agency	
Pouce Coupe Agency 	
Prince Rupert Agency	
Princeton Sub-agency 	
Revelstoke Agency 	
Stewart Sub-agency	
Vancouver Agency 	
Vernon Agency	
Victoria Assessor	
Wilmer Sub-agency 	
Sundry Sub-agencies 	
Printing Public Accounts, etc	
Carried fortcard	
$127,500.00
13,410.00
2,880.00
22,930.00
6,000.00
10,500.00
2,500.00
11,780.00
14,670.00
28,140.00
4,500.00
62,340.00
'50,000.00
53,750.00
180,000.00
540,000.00
3,200.00
13,500.00
36,500.00
37,140.00
52,890.00
111,180.00
14,000.00
'5,690.00
16,430.00
14,900.00
7,390.00
2,800.00
3,040.00
10,240.00
6,640.00
26,150.00
16,860.00
7,020.00
26,510.00
3,300.00
14,360.00
2,800.00
92,920.00
19,300.00
20,800.00
2,350.00
-5,750.00
6,000.00
$139,385.77
13,532.00
'2,886.69
23,6'25.27
6,096.75
10,941.97
2,522.60
11,817.81
15,108.26
'28,377.74
5,'293.47
69,566.44
'57,425.76
76,414.12
181,039.50
543,398.65
3,329.89
13,668.06
38,841.40
37,449.39
-53,032.78
115,293.58
l-5,7'22.'5'5
6,673.26
17,'590.04
15,973.77
7.7S0.47
'2,811.'26
3,337.02
11,618.41
7,765.66
'26,549.36
17,922.18
7,118.40
27,377.78
3,410.82
14,512.77
2,89'7.18
93,196.76
19,604.41
22,131.25
12,531.27
'6,432.07
6,898.30
$11,S85.77
122.00
6.69
695.27
96.75
441.97
22.60
37.81
438.26
237.74
793.47
7,226.44
■7,425.76
22,664.12
1,039.50
3,398.65
129.89
168.06
2,341.40
309.39
142.78
4,113.58
1,722.55
983.26
1,160.04
1,073.77
390.47
11.26
297.02
1,378.41
1,12-5.66
399.36
1,062.18
98.40
867.78
110.82
152.77
97.18
2,276.76
304.41
1,331.25
181.27
682.07
898.30
$1,710,560.00       $1,790,902.89
$80,342.89 V 6
COMPTROLLER-GENERAL'S REPORT, 1927-28.
Unprovided Items in Expenditure for Fiscal Year—Continued.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
163
198
209
210
212
218
220
223
227
230
234
245
■247
CURRENT ACCOUNT—Continued.
Brought forward 	
Department of Labour.
General Office 	
Department of Mines.
Mine-rescue and Training Stations 	
Department of the Provincial Secretary
General Office 	
Provincial Board of Health 	
" Public Libraries Act " 	
Mental Home  (Saanich), Colquitz 	
Tranquille Sanatorium 	
Administration of " Infants Act " 	
In Aid of Destitute Poor and Sick 	
Civil Service Commission 	
Registration of Voters	
Department of Public Works.
Administration	
Maintenance of Government House and Grounds
$1,710,560.00
15,790.00
13,420.00
15,860.00
105,290.00
12,010.00
50,836.00
194,960.00
32,180.00
95,000.00
8,860.00
10,000.00
60,580.00
25,225.00
,790,902.89
15.92S.84
13,534.20
16,1*5.98
106,126.80
12,289.48
51,876.55
216,978.14
32,184,52
9S,741.10
9,169.65
10,145.43
61,099.00
32,229.16
$80,342.89
138.84
114.20
295.9S
836.80
279.48
1,040.55
22,018.14
4.52
3,741.10
309.65
145.43
519.00
7,004.16
$2,350,571.00
$2,467,361.74
$116,790.74 COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST THE 1927-28 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
Date of Service.
Particulars.
Amount.
15
19
50(a)
50(a)
50(a)
.53 (Ei)
54
54
54
54
54
58(c)
58(c)
59
59
61
71
91
04
94
94
94
94
94
96
96
123
123
123
123
128
128
141
141
141
141
141
157
162
162
162
162
162
162
162
172(c)
172(c)
172(c)
172(e)
1S8
192
192
192
192
192
192
192
1-92
192
192
■Tune, 1926	
March, 1927	
Jan., 1927	
Dec,1925	
March, 1927	
Feb., 1926	
Feb., 1927	
Jan.,1927	
July,1920	
July, 1926-March, 1927..
Dec, 1926-.Tan., 1927	
Nov., 1926	
Jan.-Feb., 1927	
March, 1927	
Nov., 1926	
Nov., 1926	
March, 1927	
March, 1927..	
March, 1927	
March, 1927	
March, 1927	
March, 1927	
March, 1927	
March, 1927	
Jan., 1927	
March, 1927	
March, 1027	
April-June, 1926	
Feb.-March, 1927	
Nov., 1925...	
Sept.-Oct., 1926	
Feb., 1927	
Aug.,1926	
Jan.-March, 1927	
March, 1927	
Feb.-March, 1927	
Jan.-March, 1927	
March, 1927	
Oct., 1926-March, 1927..
March, 1927	
Feb., 1927	
Nov., 1926	
Jan.-March, 1027	
July, 1926 ; March, 1927
July, 1926-March, 1927..
March, 1927	
March, 1027	
March, 1927	
March, 1927	
April, July, 1926....,	
March, 1927	
March, 1927	
Jan., 1927	
March, 1927	
Feb., 1927	
March, 1927	
March, 1927	
March, 1927	
Nov., 1926 ;  Jan., 1927...
March, 1927	
Feb.-Nov., 1926	
Vernon News	
Postmaster, Smithers	
National Drug and Chemical Co..
Pacific Auto-top	
Begg Motor Co., Ltd	
B.C. Auto & Truck Wreckers	
B.C.  Telephone Co	
St. Eugene Hospital	
Seebacjh and Hubble	
Hudson's Bay Company	
Barber, C. G., and party	
Hermanson,  Mrs	
Ritchie, J. A	
Patterson, W. II	
McLaughlin, Jas  	
Merritt Transfer	
CP. Express Co	
Dept. of the Provincial Secretary
Dept. of Lands..	
Dept. of Lands	
Henley, W. R	
Clark, Wm	
Gammon, E  	
Gibbs, E. C	
News Publishing Co., Ltd....	
Canadian Bank of Commerce	
The Observer	
Kamloops Sentinel, Ltd	
King's Printer	
Lemon, Gonnason Co., Ltd	
Hodgson, T. J	
Casella, C. F., and Co., Ltd	
Gregson Bros...	
Kitsilano Times	
Point Grey News	
Creston Review	
Grand Forks Sun _.
Interior News	
Langley, A. G  	
O'Rourke. R	
Corsan, Dr. D	
Sutherland, Dr. E. M	
Thorn, Dr. J. Bain	
Hilton, Dr. C. T	
Maclean, Dr. C. G. G	
Kamloops Clinic	
Scott & Peden	
Fraser. J. A., & Co	
Boothe, R	
Bowell, S., & Son	
Spencer, D.. Ltd	
Reliance Motor and Machine Wks.
Elliott, S. T	
Moore, J. D	
B.C. Equipment Co., Ltd	
National Machinery Co., Ltd	
Bodie-Weeks Co., Ltd	
Frost, T. M	
Sturdy Hardware Co	
McLennan. McFeely & Co., Ltd..
Craig, A. T	
Subscription 	
Box-rent	
Supplies 	
Repairs	
Repairs	
Battery  	
Rental 	
Ambulance and private room
Portaging canoe, etc	
Rent, supplies, etc	
Travelling expenses,  etc	
Meals	
Counsel fees 	
Counsel fees 	
Witness fee 	
Car-hire 	
Expressage	
Postage	
Stencils ,
Mimeographing, etc '..
Commission	
Commission	
Commission 	
Commission 	
Advertising	
Insurance and taxes 	
Advertising 	
Advertising 	
Advertising and supplies..
Draughting-table, etc	
Freight   	
Thermometers   	
Freight	
Advertising   	
Advertising 	
Advertising 	
Advertising 	
Advertising 	
Sundry expenses 	
Nursing 	
Professional services
Professional services .
Professional services
Professional services .
Professional services .
Telephone  calls  	
Supplies   	
Supplies    	
Supplies	
Burial expenses 	
B'urnishings   	
Machining 	
Travelling  expenses  .
Travelling  expenses   .
Parts  -	
Parts 	
Tools	
Gasolene  	
Supplies	
Steel cable	
Lumber  	
$2.50
2,50
1.30
8.00
1.90
15.00
5.00
68.00
10.00
867.70
446.35
1.00
550.00
66.00
7.00
20.00
1.55
419.61
3.75
51.60
14.50
1.00
2.50
1.00
4.00
901.05
5.00
19.84
1,S87.39
43.25
28.30
10.10
7.24
65.00
10.00
22.50
30.00
12.50
4.89
138.00
15.00
148.00
14.00
51.00
31.00
3.85
13.81
40.15
48.00
92.00
60.27
73.09
11.60
43.80
16.50
17.37
22.50
7.36
8.75
18.86
75.30 V 8
COMPTROLLER-GENERAL'S REPORT, 1927-28.
Statement of Payments charged against 1927-28 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
193
Feb., 1927	
Daily News	
Granby Cons. M.S. & P. Co.,Ltd.„.
Bucboltz, F	
$2.85
195
195
Dec, 1926	
March, 1927
Surveyor's  charges  	
Expenses removing steel cells
30.00
40.00
195
June-Sept, 1926	
Dec, 1925-Aug., 1926 ...
Sheret, Andrew, Ltd	
140.15
Stat.
1,201.83
31.42
Stat.
March, 1927	
Stat.
March, 1927	
Abbotsford L.M. & D. Co., Ltd
Chilliwack Lumber Yards, Ltd....
McAlpine, T. J	
185.38
Stat.
March, 1927	
5.34
Stat.
Feb.-March, 1927	
33.00
$8,239.00 .
COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 9
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS OF
1926-27 AND 1928.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDED 31st MARCH, 1928.
Department of Agriculture.
June 2,  1927 	
2
$5,000.00
$4,754.38
Department of the Attorney-General.
Oct. 31, 1927 	
Constitutional litigation and general law costs ,	
Department of the Provincial Secretary.
50,000.00
3,553.64
April 29, 1927 	
1
3
4,000.00
1,532.50
2,141.90
Sept. 9, 1927	
1,532.50
Department of Public Works.
Sept. 16, 1927
4
Purchase of lots in Coquitlam Dyking District ....
Department of Railways.
548.00
540.00
Dec. 15, 1927 	
6
4,000.00
2,672.86
$65,080.50
$15,195.28 V 10
COMPTROLLER-GENEKAL'S REPORT,  1927-28.
(E.)
(1.)
STATEMENT  SHOWING THE  REVENUE  FOR THE  FIRST  NINE  MONTHS   OF  THE
PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL TO 31st DECEMBER, 1927.
Estimated for
12 Months
ending 31st
March, 192S.
Service.
Revenue for 9 Months ended
31st December, 1927.
$23,000.00
500.00
9,500.00
Current Account.
Department of Agriculture:
$19,844.20
Seed-grain advances refunds	
11.60
6,444.41
Department of the Attorney-General:
Court fees and fines	
$33,000.00
$26,300.21
$95,000.00
5 000 00
$53,846.38
200,000.00
190,256.94
" Government Liquor Act:
Sec.   11—Permits   	
81,632.00
307,861.94
1,500,000.00
Sec.  118 (1) (a)—Share  of profits	
703,318.99
50,000.00
100,000.00
Sec 118 (1)  (S)—Re hospitals and institutions	
" Insurance Act "—Licences, taxes, fees, etc	
210,995.69
14,377.91
68,787.77
370,000.00
:29S,2'77.74
95,000.00
68,785.70
325,000.00
" Motor-vehicle Act " :
169,612.59
'900,000.00
21,000.00
15,000.00
Annual  licences   (except  motor-cycles)	
" Moving Pictures  Act "—Fees	
711,952.27
13,338.10
10,1619.00
30,000.00
1'6,'690.00
7,000.00
20,000.00
5,472.75
8,395.99
Department of Education :
$3,733,000.00
2,933,771.76
$2,700.00
$1,665.00
12 000 00
300.00
ISO.30
Department of Finance :
Dominion of Canada :
$15,000.00
1,845.30
$29,1-51.06
$14,575.53
190,000.00
95,000.00
419,665.60
209,832.80
100,000.00
50,000.00
$738,816.66
250,000.00
$369,408.33
145,484.59
220,000.00
147,045.40
650,000.00
629,915.40
4,250,000.00
4,22S,762.88
19,080.00
Interest:
19,083.82
750,000.00
205,118.45
Carried forward 	
$6,877,896.66
$5,744,818.87     $2,961,917.27 COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 11
Statement of Revenue for the First Nine Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1928.
$6,877,896.66
1,500,000.00
900,000.00
500,000.00
150,000.00
120,000.00
3,000.00
1,400.00
10,000.00
2-50,000.00
20,000.00
60,000.00
350,000.00
$10,74-2,296.66
$38,000.00
,000.00
$19,000.00
115,000.00
250,000.00
12.000.00
100,000.00
1,250,000.00
1,725,000.00
650,000.00
100,000.00
11,000.00
$4,232,000.00
2,000.00
$1,000.00
65,000.00
1,000.00
115,000.00
$182,000.00
$35,000.00
25,000.00
7,000.00
2,000.00
9,000.00
Service.
Current Account—Continued.
Brought forward	
Department of Finance—.Continued.
Land-taxes :
Real property	
Wild land, coal and timber lands	
Mineral-tax 	
Poll-tax	
Probate fees	
Races-tax—Administration   fees	
Rents, miscellaneous	
Revenue   Service   refunds,   etc	
Rural district school taxes 	
Succession   duties	
Trust  deposits   reverted   to   the   Crown—Intestate   and
suitors' funds	
Unworked Crown-granted mineral claims—Taxes	
Miscellaneous  receipts	
Department of Fisheries :
Fishing and cannery licences	
Department of Labour :
Elevator inspection and examination fees.
Department of Lands :
EoSrazing rentals, leases, and fees	
Land  revenue—sundry	
Land sales	
Survey fees and sale of maps	
Timber leases	
Timber   licences	
Timber   royalties	
Timber sales	
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-
King's Printer  (net profits)	
Marriage licences	
Vital statistics,  etc	
Miscellaneous receipts	
Carried forward 	
Revenue for 9 Months ended
31st December, 1927.
$5,744,81S.S7     $2,961,917.27
1,364,162.81
7S8,1C25.23
293,272.29
99,210.00
79,001.67
4,108.67
534.10
6,455.59
494,888.091
570,109.59
39,705.00
7,062.09
9,451,354.00
47,698.09
533.50
$17,520.45
90,828.22
210,246.06
0,034.48
46,940.17
791,428.67
1,'465,396.61
507,578.41
136,719.82
5,304.38
3,280,997.27
$524.90
57,215.00
557.00
97,051.51
$17,940.00
5,816.27
724.40
155,348.41
24.4S0.67
$15,922,329.21
t To be transferred at the close of the fiscal year to credit of Vote 86. V 12
COMPTROLLER-GENERAL'S REPORT, 1927-28.
Statement of Revenue for the First Nine Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1928.
Service.
Revenue for 9 Months ended
31st December, 1927.
Current Account—Continued.
$28,865.93
749.42
5,'559.90
1,544.75
$15,922,329.21
Department of Public Works :
$3,000.00
10,000.00
Wharfage and dock dues	
3,000.00
Department of Railways :
$16,000.00
$3,185.S0
46,477.17
36,720.00
$4,000.00
70,000.00
$74,000.00
?'2,626.92
50,859.91
49,662.97
$19,137,296.66
$16,008,712.18
Capital Account.
Refunds of Capital Expenditures :
$450,000.00
170,000.00
Charged to Loans	
$620,000.00
53,486.83
$19,757,296.66
$16,062,199.01 COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 13
(E.)
(2.)
STATEMENT SHOWING THE EXPENDITURE FOR THE FIRST NINE MONTHS OF THE
PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 31st DECEMBER, 1927.
Estimated for
12 Months
endin'g 31st
March, 1928.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1927.
$3,644,815.88
1
2
3
4
5
6
7
8-13
14-19
20
21-41
Current Account.
Public Debt 	
$2,811,384.78
$127,500.00
2,412.00
$14,672.00
10,893.95
Department of Agriculture:
$10,170.64
27,338.49
2,215.29
1,719.20
73,968.03
'73,941.99
0,120.12
150,063.70
4,754.38
$12,070.00
38,120.00
3,060.00
3,870.00
100,940.00
111,810.00
13,920.00
198,500.00
Miscellaneous  Votes	
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58-64
Department of the Attorney-General:
$483,100.00
$0,971.60
16,076.35
0,427.15
8,156.26
363,200.84
$13,300.00
25,540.00
General Office 	
13,900.00
12,460.00
10 00
6,940.00
5,752.36
7,334.26
17,436.12
1,900.50
104,980.13
50,890.31
304,066,96
47,693.77
56,843.80
17,970.74
605,750.04
126,000.00
13,365.00
25,946.00
2,800.00
Official Guardian 	
161,040.00
70,500.00
587,607.00
Supreme and County Courts 	
61,823.00
89,569.00
County Gaols 	
26,930.00
Girls' Industrial School 	
193,876.00
70
71
72
73
74
75
76
77
78
79
80-84
85
86
Department of Education :
$1,314,786.00
$18,644.52
53,142.54
6,766.80
28,613.99
60,651.94
54,188.62
18,885.64
1,092,569.00
337,274.40
155,920.92
63,064.18
403,125.02
386,186.76f
1,480,250.35
$31,8S2.00
81,200.00
13,980.00
103,510.00
90,460.00
73,085.00
33,750.00
School for the Deaf and the Blind 	
1,549,000.00
672,000.00
175,000.00
School Buildings 	
85,600.00
537,500.00
10.00
Rural District School Taxes	
$3,446,977.00
2,679,043.33
$7,347,185.25
f To be credited with collections of Rural District School Taxes at close of fiscal year. V 14
COMPTROLLER-GENERAL'S REPORT, 1927-28.
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March. 1928.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1927.
90
91
92
93
94
95
96
97-105
Current Account—Continued.
$7,347,185.25
$12,000.00
33,852.00
10,910.00
55,112.00
119,844.00
8 250 00
Department of Finance :
$5,706.51
25,638.32
10,210.72
42,651.61
94,253.49
11,071.72
355,256.50
43,438.91
109,845.91
Inspector   of   Trust   Companies,   Probate   and
Agent-General's Office and B.C. House, London,
500,871.83
79,795.00
110
111
112
113
114
115
120
121
122
123
124-144
$820,634.83
698,163.69
$18,030.00
13,844.17
Department of Labour :
$645.00
11,712.32
4,524.45
29,568.71
5,446.93
$480.00
39,211.00
8 948 00
Department of Lands :
$73,189.00
$9,650.54
344,203.52
5,845.15
135,037.63
405,3-98.18
1,437.50
51,897.41
$13,870.00
456,261.00
15,000.00
200,000.00
■653,000.00
150
151
152
153
154
155
156-159
Department of Mines :
$1,3^8,131.00
$7,872.24
16,091.58
27,081.84
12,611.72
'9,290.65
11,500.00
122,324.81
2,201.05
901,581.52
$12,065.00
19,380.00
41 770 00
16,552.00
13,7S0 00
12,500.00
174,000.00
160
161
162
163
164
165
166
167
Department of the Provincial Secretary:
Minister's Office 	
$290,047.00
$942.19
15,352.58
78,337.90
18,0-67.57
10,712.01
7,641.76
443,323.72
17,879.03
208,974.79
$12,620.00
18,364.00
107,002.00
Provincial Board of Health 	
26,880.00
Provincial Library and Archives 	
12,980.00
11,050.00
Provincial Museum 	
659,575.00
Mental Hospitals	
32.025.00
Carried forward 	
$880,496.00
$502,256.76
$9,221,646.83 COMPTROLLER-GENERAL'S REPORT, 1927-28.
V 15
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1928.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1927.
$880,496.00
239,020.00
85,140.00
168
169
170
171
172
173
174
175
176-184
Current Account—Continued.
Brought forward	
$592,256.76
149,641.21
51,398.97
26,270.91
6,680.33
325,S13.95
7,670.34
34,295.97
$9,221,646.83
Department of the Provincial Secretary—Continued.
Boys' Industrial School 	
32,480.00
16,076.00
Provincial Home for Incurables ...
360,450.00
10,100.00
50,740.00
10.00
127,750.00
119,526.34
358,631.84
185
186
187
188
1S9
190
191
192
193
194
195
Department of Public Works :
$1,802,262.00
$8,427.44
53,541.63
89,429.28
29,238.72
34,067.26
33,969.08
7,200.00
1,094,634.45
110,692.41
30,760.33
04,964.75
540.00
1,672,195.62
$12,050.00
60,400.00
107.OSO.00
30,270.00
58,770.00
7,770.00
6,300.00
Steam-boiler  Inspection  	
2,341.718.00
154,258.00
700.00
Steamboats, Ferries, and Bridge-tenders 	
144,448.00
Repairs,   etc.,   Government  Buildings  through-
196
197
200
201
202-203
204-213
Department of Railways :
$2,923,764.00
$16,737.84
38,605.25
2,157,465.35
$23,620.00
38,140.00
Capital Account.
(Expenditures out of Income.)
$61,760.00
$1,268,882.11
210,000.00
853,765.03
41,050.48
35,642.70
55,343.09
$16,359,758.71
$1,525,648.11
210,000.00
1,307,200.00
1-00,200.00
Redemption  of Debentures	
Capital Expenditures  (charged to Income)
Total Expenditures   (charged to  Income)
$3,143,048.11
2,409,340.32
$19,502,806. S2
$15,515,091.21 V 16
COMPTROLLER-GENERAL'S REPORT, 1927-28.
(E.)
(3.)
STATEMENT SHOWING EXPENDITURES AND ADVANCES OUT OF MONEYS RAISED
BY LOAN UNDER AUTHORITY OF THE LEGISLATURE FOR SPECIFIC
PURPOSES, 1st APRIL TO 31st DECEMBER, 1927.
Authority for Expenditure.
' B.C. Loan Act, 1921 " :
Sec. 6 (d)	
' B.C. Loan Act, 1022 " :
Sec. 6 (a)	
' B.C. Loan Act, 1923 " :
Sec. 6  (c)	
Sec. 6  (d)	
' B.C. Loan Act, 1924 " :
Sec. 6  (6)	
' B.C. Loan Act, 1925 " :
Sec. 6  (a)	
Sec. 6  (6)	
Sec. 6  (c)	
' B.C. Loan Act, 1927 " :
Sec 6  (a)	
Sec. 6  (6)	
Sec. 6  (c)	
Sec. 6  (d)	
Sec. 6  (e)	
' B.C. University Loan Act, 1920 " :
Sec. 7  (1)   (a)	
Sec. 7  (1)   (B)	
' Pacific Great Eastern Construction
'Loan Act, 1921 "	
Service.
" Soldiers' Land Act, 1918 "	
Public Buildings	
Public Buildings	
" Soldiers' Land Act, 1918 "	
Highways and Bridges	
Highways and Bridges	
Land Settlement Board	
" Soldiers' Land Act, 1918 "	
Highways and Bridges	
Public Buildings	
Pacific Great Eastern Railway	
" Soldiers' Land Act, 1018 "	
University Endowment Lands Adminis
tration Account	
University Endowment Lands Adminis
tration Account	
University  Buildings	
Pacific Great Eastern Railway	
Expended for 9 Months
ended 31st December, 1927.
$750.00
36,741.41
$39,960.85
250.00
40,210.S5
2.06
$23,140.85
36,786.50
50,051.40
109,978.75
$2,531,815.79
162,907.78
45,000.00
12,625.03
50,000.00
2,802,348.60
$199,575.00
33,333.00
232,908.00
1,688.00
$3,224,627.67
VICTOPJA,   B.C. :
Printed by Charles F. Banfield, Printer to the King's Most Excellent Majesty.
192S.
450-128-652

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