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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1932-1933 PERSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly 1933

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 s=
=89
EEPOET
OF   THE
Compteollee-Geneeal
OF   THE   PROVINCE   OF
BRITISH COLUMBIA
1932-1933
PURSUANT TO THE PROVISIONS OF THE "AUDIT ACT,'
CHAPTER 19, R.S.B.C. 1924
:JSssfg2-
PRINTED  BY
AUTHORITY OF THE LEGISLATIVE ASSEMBLY.
VICTORIA,   B.C. t
Printed by Charles F. Banfield, Printer to tne King's Most Excellent Majesty.
1933.
ft
■m  To His Honour John William Fordham Johnson,
. 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. W. JONES,
Minister of Finance.
Department of Finance,
Victoria, February 23rd, 1933. Victoria, February 23rd, 1933.
Hon. J. W. Jones,
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, R.S.B.C.
1924, as follows:—
(A.)  Statement of Treasury Board Overrulings (section 35).
(B.) Statement of Expenditures on Services which have exceeded their
Appropriations (clause (b) of section 36).
(C.) Statement of Payments charged against the 1932-33 Appropriations which
did not occur within the Period of the Account (clause (e)  of section 36).
(D.)  Statement of Special Warrants issued (subsection (4)  of section 24).
(E.)  Statement showing the Revenue and Expenditure for the First Nine
Months of the Present Fiscal Year, viz., from 1st April to 31st December, 1932
(clause (a) of section 42) :—
(1.)   Revenue.
(2.)  Expenditure  (charged to Income).
(3.)  Expenditure  (charged to Loans).
I have the honour to be,
Sir,
Your obedient servant,
J. A. CRAIG, C.A.,
G'omptr oiler-General. COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVERRULLNGS.
Nil. (B.)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED 31st MARCH, 1932.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1931, to 31st March, 1932, and for which Overexpenditure the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
CURRENT ACCOUNT.
Premier's Office.
3
$17,712.00
$17,845.43
$133.43
Department of Agriculture.
28
2,500.00
2,500.00
3,489.83
2,503.97
989.83
30
Control of Noxious Weeds, etc	
3.97
Department of the  Attorney-General.
62
64
Administration of Justice	
Constitutional Litigation and General Law Costs	
Department of Education.
117,750.00
10,000.00
120,947.05
10,686.31
3,197.05
686.31
70
29,499.00
32,902.03
3,403.03
Department of Finance.
89
37,656.00
12,110.00
18,834.00
8,000.00
7,150.00
39,380.05
12,390.15
23,745.53
8,004.84
7,154.61
1,724.05
90
Inspector of Trust Companies, Probate and  Succes-
280.15
93
4,911.53
4.84
96
99
4.61
Department op Labour.
109
41,008.00
41,557.63
549.63
Department  of  the  Provincial  Secretary.
150
157
105
167
Provincial Library and Archives	
Administration of " Infants Act "	
In Aid of Destitute Poor.and Sick	
27,832.00
75,850.00
125,000.00
6,000.00
27,834.24
75,912.23
134,136.33
6,069.27
2.24
62.23
9,136.33
69.27
Department of Public Works.
185
3,070.00
6,456.09
3,386.09
$542,471.00
$571,015.59
$28,544.59 COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST 1932-33 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
Date of Service.
Name.
2
14
27
28
28
28
42 (c)
51
51
54
54
54
55
55
55
55
5S
65 (a)
65 (6)
66
88 (a)
90
96
110
110
110
113
140 (a)
140 (a)
140 (a)
140 (a)
140 (&)
146 (a)
147
148
148
148
148
148
149
149
156
168
168
168
169
169
169
169
169
171
171
171
I
Nov., 1929	
March, 1932	
Nov.,1931	
Dec, 1931 ...
Feb., 1932	
March, 1932	
Dec, 1930-July, 1931.....
Oct., 1926-Feb. 1928	
Feb., 1932	
Nov.-Dec, 1931	
Nov., 1931-March, 1932.
March, 1932	
Sept., 1931	
May, 1931	
June-Sept., 1931	
Jan., 1932	
Sept., 1931	
Jan.-March, 1931	
June, 1930-March, 1932
Jan.-March, 1931	
March, 1932	
Feb.-rMarch, 1932	
March, 1932	
Nov., 1929-Nov., 1931....
Sept., 1931-March, 1932
Dec, 1931-Jan., 1932	
May, 1931	
March, 1930	
March, 1932	
Dec, 1931-Jan., 1932	
Feb., 1932	
Sept., 1931-Feb., 1932...
March, 1932  .;
Aug., 1931-March, 1932
March, 1932	
Jan., 1932	
March, 1931-Feb., 1932.
March, 1932	
Dec, 1929-March, 1932.
Sept., 1931 	
Sept., 1931	
March, 1932	
Feb., 1932	
Feb.-March, 1932	
March, 1929	
Feb., 1932	
March, 1932	
March, 1932	
Oct., 1931	
March, 1932	
March, 1932	
Oct.,1931	
Oct.,1930	
Feb.-March, 1932	
Jan.-March, 1931	
Jan.-March, 1932	
Remington Typewriters, Ltd	
Cranbrook Courier	
Eureka Temple Society	
Huntley Manufacturing Co., Ltd.
Telkwa Seed Cleaning Plant	
University of Alberta	
Buttar and Chiene	
H. Stege	
Columbia Coast Mission, Inc	
G. L. Hilborn	
Okanagan Telephone Co	
E. Dahl	
R. R. Walker	
Sundry persons	
A. McB. Young	
M. S. Dow	
P. Burns & Co., Ltd	
Remington Typewriters, Ltd	
Text Book Branch	
Remington Typewriters, Ltd	
Trustees, Britannia Mine School
District	
Municipality of West Vancouver.
G. F. Guernsey	
Ladysmith Chronicle	
Vancouver Pacific Paper Co., Ltd.
Craig, Ladner, Carmichael,
Tysoe & Downs	
Watkins Garage, Ltd	
Remington Typewriters, Ltd	
Dill's Super Service Station	
H. Fleming	
B.C. Drugs, Ltd	
Dr. G. A. Ootmar.. 	
Dr. R. B. Brummitt	
Dr. H. H. MacKenzie 	
Amer. White Cross Laboratories.
The Burris Clinic!	
Dr. C. R. Symmes .....
W. D. Patterson 	
City of Vancouver	
Mrs. R. Abbott	
C. Moffltt 	
W. Stein	
Canadian Pacific Railway	
A. Y. Earle 	
McLennan, McFeely & Prior..	
Canadian Pacific Telegraph	
J. C. Johnstone	
Postmaster, Revelstoke	
Addressograph-Multigraph Sales
Co	
H. H. Reed 	
Kirk Coal Co., Ltd	
Victoria Wood & Coal Co., Ltd	
Remington Typewriters, Ltd	
Nicola Lake Stock Farm	
Bowes & Herron Garage	
Armstrong Bros	
Particulars.
Repairs  to  typewriter	
Advertising   	
Rent of hall 	
Separator-screens   	
Grain 	
Oats 	
Professional   services  	
Supplies, etc	
Professional service 	
Salary	
Telephone rental 	
Services as guide 	
Services as Court reporter
Services  as  Special  Constables  	
Professional  services 	
Services as Court reporter
Provisions for prisoners..
Inspection 	
Text-books, etc	
Inspection 	
Grant re Instructor	
Grant re Instructors	
Services as Judge of Court
of Revision and Appeal
Subscription 	
Supplies   	
Professional  services  	
Auto  repairs  	
Repairs 	
Supplies   	
Prints  	
Supplies	
Professional services	
Professional services 	
Professional services 	
Surgical dressings 	
Professional services 	
Professional services	
Supplies   	
Meals,  etc	
Clothing    ....' —
Transportation —	
Freight     	
Transportation ,.
Services as nurse 	
Water pipe 	
Telegrams  —	
Travelling expenses   	
Postage 	
Inspection	
Transportation  	
Coal 	
Wood 	
Inspection   	
Supplies   	
Supplies   	
Launch storage 	
Amount.
$1.50
7.00
10.00
50.40
17.55
7.49
5,000.00
64.30
10.00
116.40
8.55
13.50
15.00
105.00
65.00
21.30
20.00
3.50
68.45
1.75
16.00
182.40
212.00
4.00
66.69
400.00
151.23
21.10
4.00
2.72
5.24
500.00
12.00
200.00
35.31
270.00
575.00
19.31
747.30
25.60
8.00
13.54
18.85
15.00
284.84
2.79
238.85
20.00
6.00
1.00
32.25
8.50
3.25
26.00
44.25
15.00 w
COMPTROLLER-GENERAL'S REPORT, 1932-33.
Statement of Payments charged against the 1932-33 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
171
173
173
173
173
173
173
S.W. No. 18
S.W. No. 18
S.W. No. 18
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory   .
Statutory
Sept., 1931	
Aug., 1931	
June, 1929 	
Feb., 1932	
March, 1931	
Oct.-Nov., 1931	
March, 1932	
March, 1932	
Feb., 1932	
Nov., 1931	
Dec, 1931  	
March, 1932	
Nov., 1931	
Dec, 1931 	
March, 1932.	
March, 1932	
Sept., 1931...	
March, 1932	
March, 1932	
March, 1932	
March, 1932	
Sept., 1931 	
March, 1932...	
Feb., 1932	
May, 1931	
Sept., 1931	
Sept.-Nov., 1931	
Nov.—Dec,  1931—Jan.,
1932	
March, 1930	
March, 1932.	
Jan.-March, 1932	
March, 1932...  ...
June, 1930 ."..	
Feb., 1932	
Jan., 1932	
March, 1932	
Aug.-Sept., 1931	
Dec, 1931...	
Jan., 1929	
Jan., 1930	
Dec,1931	
Aug., 1929-Aug., 1931.
Dec,1931	
March, 1932	
Dec, 1930-April, 1931
Dec,1930	
Jan., 1932	
Feb.-March, 1932	
Sept.-Oct., 1932	
March, 1932	
July-Dec, 1930	
March, 1932	
Oct., 1931..	
March, 1932	
Oct., 1931	
Oct., 1931	
Aug., 1931	
Oct., 1931	
Nov., 1931	
Nov., 1931	
Sept., 1931	
F. Gisborne 	
False Creek Lumber Co	
McLennan, McFeely & Prior, Ltd.
Quesnel Meat Market	
W. Greenlees	
B.C. Telephone Co	
P. Doyles	
B.C. Telephone Co	
B.C. Egg & Poultry	
W. H. Malkin Co., Ltd	
Brackman-Ker Milling Co..	
J. L. English	
United Farmers. Ltd	
A. E. C. Read	
Canadian Industries, Ltd 	
Macdonalds Consolidated, Ltd...
McLennan, McFeely & Prior, Ltd.
Andersens Lumber Yard	
Burns Lake Hardware...	
Imperial Oil,  Ltd	
McLennan, McFeely & Prior, Ltd.
British American Oil Co...	
M. W. Herron :	
Canadian Pacific Railway	
McLennan, McFeely & Prior, Ltd.
E. A. Palmer & Co., Ltd	
S. Daney  	
W. F. Murphy	
B.C. Electric Railway	
Corporation District of Saanich..
Imperial Oil, Ltd	
F. P. Cook Estate	
McLennan, McFeely & Prior, Ltd.
B. T. Kenney, Ltd	
Pacific Meat Co., Ltd	
Cawley's Cash Grocery	
Harvey, Bailey, Ltd	
F. R. Stewart Co., Ltd	
McLennan, McFeely & Prior, Ltd.
McLennan, McFeely & Prior, Ltd.
W. H. Malkin Co., Ltd	
McLennan, McFeely & Prior, Ltd.
Northern Electric Co., Ltd	
Canadian Gen. Electric Co., Ltd..
Sherwin-Williams Co., Ltd	
F. Murphy	
E. A. Robinson	
Deputy Minister of Finance	
Chief Engineer, Victoria	
Greyhound Lines	
Canadian Pacific Railway Co	
Canadian National Railway	
Baynes & Horie	
Corporation of Dist. of Saanich..
McLennan, McFeely & Trior, Ltd..
F. C. Myers, Ltd	
Shell Oil Co., Ltd	
Thompson, Elliott, Ltd	
Holman Machines, Ltd	
Fletcher-Wilde Hardware	
Burr Office Supplies, Ltd	
Services 	
Lumber 	
Freight  	
Meat supplies 	
Supplies   	
Telephone rentals, etc	
Wood 	
Tolls	
Eggs	
Pro visions   	
Provisions    	
Surgical supplies ..;.	
Supplies	
Flour 	
Explosives, etc	
Adjustment   	
Freight   	
Lumber	
Hardware  	
Royalite	
Supplies   	
Supplies   	
Services 	
Freight	
Supplies   	
Meat   	
Rent of equipment	
Services   	
Work on classified highway	
Pay-list and material	
Gasoline   	
Fodder and beef 	
Machine supplies	
Hardware 	
Provisions   	
Provisions   	
Provisions 	
Eggs            	
Blow torch 	
Supplies, bridges 	
Provisions 	
Supplies   	
Radio head set cords	
Supplies   	
Paint 	
Services 	
Typewriter repairs 	
Board for men at Camp
211 	
Equipment rental   	
Freight  	
Protection of lines	
Freight on pile-driver 	
Alterations to cells 	
Pay-lists and material ....
Freight   	
Freight  	
Gas, oil, etc	
Freight 	
Freight  	
Hardware 	
Supplies   	
$27.00
344.54
.30
133.34
12.00
43.45
15.00
.40
63.60
1.08
.98
1.60
100.55
14.00
126.75
70.00
.55
11.70
29.15
12.25
52.31
92.15
72.00
12.10
75.38
75.50
75.00
50.00
12.45
195.80
54.67
356.72
19.93
3.85
188.17
56.16
175.12
78.00
5.00
130.76
52.50
19.33
12.81
50.00
10.50
21.00
70.00
483.20
39.00
8.94
395.94
49.50
70.00
388.85
7.64
.98
1,059.80
404.13
73.29
384.64
93.45 COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 9
Statement of Payments charged against the 1932-33 Appropriations—Continued.
Vote
No.
Date of Service.
Name,
Particulars.
Amount.
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory-
Statutory
Statutory
Statutory
Statutory-
Statutory
Statutory
Statutory'
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory-
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Aug., 1931	
Sept.-Oct, 1931....	
Nov., 1931-March, 1932..
Dec, 1931-March, 1932..
Jan., 1932.	
Sept.-Oct., 1931	
Dec,1931	
Nov., 1931	
Jan.-Feb., 1932	
Jan., 1932...	
March, 1932	
Sept., 1931	
March, 1932	
March, 1932	
March, 1932	
Oct., 1931-March, 1932...
Oct., 1931-Jan., 1932	
Dec, 1931-Mar., 1932.....
March, 1932...	
Dec, 1931-March, 1932..
Nov., 1931..	
Oct., 1931	
March, 1932	
Nov., 1931-March, 1932..
March, 1932	
Dec, 1932.	
Feb., 1932	
Sept., 1931	
March, 1932...	
Jan., 1932	
March, 1932	
March, 1932	
March, 1932.	
March, 1932	
Oct.,1931	
Dec,1931	
March, 1932	
Nov.,1931	
Dec, 1931.-..'.	
March, 1931	
Sept., 1931	
March, 1932	
Dec, 1931- 	
Sept.-Oct., 1931	
March, 1932	
March, 1932 	
Feb.-March, 1932	
Dec, 1931-Jan., 1932	
Nov., 1931	
Sept., 1931	
Aug., 1931	
Feb., 1932	
Aug., 1931	
Dec, 1931-March, 1932..
Oct., 1931  	
Jan.-Feb., 1932	
Sept.-Nov., 1931	
Dec, 1931-March, 1932..
March, 1932	
March, 1932	
March, 1932..	
March, 1932 .....
| Oct., 1931	
| Sept., 1931-March, 1932.
Harvey, Bailey, Ltd	
Adams River Sales Co., Ltd	
Ex-Service Men's Billets	
Rat Portage Lumber Co., Ltd	
Canadian National Telegraph	
McLennan, McFeely &Prior, Ltd..
Canadian Pacific Railway Co	
Henry Motors, Ltd	
B.C. Telephone Co	
Home Oil Distributors, Ltd	
P. B. Willits & Co., Ltd	
G. L. MacKean	
Philbert Hotel	
Bews Drug Store	
Gault Bros., Ltd	
Dr. H. H. Mackenzie..	
Dr. G. Morse	
Staples Dairy.,.	
Vancouver Isl. Coach Lines, Ltd.
A. Bedford	
H. G. Hadland	
Spear & Jackson (B.C.), Ltd	
Union Oil Co	
C. H. Sawle	
W. H. Malkin & Co., Ltd	
Chehalis Logging Co., Ltd	
Gault Bros., Ltd	
Can. Northern Express Co	
N. P. Spicher	
Vernon Drug Co	
Dr. C. Usher	
C. R. Beer	
J. Leckie Co., Ltd	
Gault Bros., Ltd	
Abernethy-Lougheed Logging Co
Clark's Grocery	
Maple Leaf Store	
King's Printer	
Malpass & Wilson	
II. W. Fortin..	
McLennan, McFeely & Prior	
J. E. Amiable	
W. Ci. McKenzie & Son	
Smith Hardware Co., Ltd	
P. Burns & Co., Ltd	
Etta & Pearson	
Scott & Peden	
LTnion Oil Co	
Davies & Logan	
Mrs. H. Gray	
McLennan, McFeely & Prior, Ltd.
Mac-Kay, Smith, Blair & Co., Ltd..
W. H. Malkin Co., Ltd	
M. L. McAbee  	
F. C. Myers, Ltd	
Imperial Oil, Ltd	
J. G. Thynne	
Drs. Beech & Beech  ...
A. E. Boyde	
A. J. Heywood	
W. P. Pritchard	
Broadway Rooms	
McLennan, McFeely &Prior, Ltd.
B.C. Mills Timber & Trdg. Co	
Supplies   	
Lumber	
Travelling  expenses 	
Rental of camp buildings
Telegrams 	
Supplies   	
Telegraph-line  repairs ....
Repairs 	
Tolls   	
Gasoline  	
Prescription	
Meat   	
Board and room 	
Drugs   	
Freight  	
Professional services 	
Professional services 	
Milk    	
Transportation   	
Drugs   	
Sacks	
Supplies   	
Gasoline, etc	
Rent of house .:	
Supplies   	
Rent   	
Refund of discount 	
Freight  	
Supplies	
Drugs   	
Dentistry   	
Clothing	
Clothing and freight  	
Clothing   	
Supplies   	
Groceries   	
Groceries   	
Stationery   	
Groceries   	
Tobacco      ._	
Supplies   	
Room-rent    	
Supplies	
Hardware —
Meat   	
Supplies	
Supplies   	
Gas, oil, etc	
Supplies   	
Subsistence   allowance	
Tools  	
Freight  	
Supplies   	
Rent   	
Supplies   	
Gasoline, etc	
Stumpage  	
Professional service 	
Groceries   	
Groceries   	
Bread   	
Room  rent  	
Supplies   	
Rental    	
$2.65
307.15
66.85
340.00
4.20
585.24
425.33
62.59
51.25
4.07
1.15
108.05
3.50
1.60
10.71
71.00
300.00
11.20
19.25
21.20
4.62
198,46
22.54
40.00
37.44
65.00
1.27
.60
84.09
.65
13.50
32.63
147.40
208.46
6.30
2.74
91.80
3.75
5.00
2.00
20.67
10.00
2.35
3.40
3.20
.75
10.00
72.45
1.15
16.00
5.20
2.25
39.61
40.00
54.09
20.61
15.00
150.00
30.00
8.20
8.00
5.50
18.09
35.00 W 10
COMPTROLLER-GENERAL'S REPORT, 1932-33.
Statement of Payments charged against  tiie  1932-33  Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars,
Amount.
Statutory
Statutory-
Statutory
Statutory
Statutory
Statutory
Oct., 1931-March, 1932...
Sept.,1931	
Oct., 1931     	
$783.87
B C. Fir & Cedar Lbr. Co	
Lumber  	
372 91
B.C. Motor Transportation, Ltd..
Department of Indian Affairs....
McLennan, McFeely & Prior, Ltd.
102.00
Sept., 1931-Aug., 1933 ...
Sept.,1931	
Jan., 1932	
July-Oct„ 1931	
June, 1931
63.00
39.57
10.54
25.90
Statutory
Statutory
Tractor  crank   	
54.16
March, 1932
1.35
'
$26,675.58
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS OF
1932 AND 1933.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
Oct.    22,  1932..
Dec      5,  1932..
May 3, 1932
May 3, 1932
June 22, 1932
July 22, 1932
Sept. 2, 1932
May 3, 1932
June 13, 1932
Feb. 12, 1932
9
10
18*
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDED 31st MARCH, 1933.
Department of Agriculture.
Health of Animals Branch	
Bounty  on   Cougars 	
Department of Finance.
Unemployment     relief—Dominion     Government's
share  of  Provincial  works  and   undertakings,
Provincial  direct   relief,   and  municipal  direct
relief  	
Department of the Provincial Secretary.
Unemployment relief—Direct relief (Provincial
share)   	
" Public Inquiries Act "—Chiropractic and Drug-
less Healing	
Maintenance of Doukhobor children	
Vital Statistics—Salaries of temporary assistants
in re Japanese registrations.	
Department of Public Works.
Unemployment relief—Municipal works (Provincial and municipal shares)	
Chauffeur-mechanic—Salary 	
Unemployment relief—Provincial works (Dominion
and Provincial shares)  	
$6,000.00
2,500.00
1,000,000.00
250,000.00
818.51
100,000.00
800.00
250,000.00
1,482.00
47,184.27
$1,658,784.78
$3,399.53
447,234.66
33,926.44
818.51
63,808.12
797.32
161,431.77
741.00
34,666.69
$746,824.04
Unexpended balance of $47,184.27 at 31st March, 1932, brought forward to fiscal year 1932-33. COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 11
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOR THE FIRST NINE MONTHS OF THE
PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL TO 31st DECEMBER, 1932.
Estimated for
12 Months
ending 31st
March, 1933.
Service.
Revenue for 9 Months ended
31st December, 1932.
$25,000.00
250.00
9,750.00
$35,000.00
$12
252:
3,750.
55
95
300
100
2,22
30
5
6.
16
30
10
.000.00
000.00
000.00
000.00
,000.00
000.00
000.00
,000.00
,000.00
,000.00
,000.00
,000.00
000.00
000.00
000.00
000.00
i, 906,000.00
!,200.00
250.00
$2,450.00
$29,151.06
190,000.00
555,410.40
100,000.00
$874,561.46
375,000.00
150,000.00
385,000.00
2,400,000.00
5,250,000.00
19,080.00
150,000.00
1,730,000.00
700,000.00
100,000.00
100,000.00
$12,233,641.46
Current Account.
Department of Agriculture :
Horticultural inspection fees and licences
Seed-grain  advances  refunds	
Miscellaneous receipts 	
Department of the Attorney-General :
" Administration Act "—fees, etc	
Court fees and fines	
Dog licences	
" Game Act "—fees and licences	
" Government   Liquor   Act "	
" Insurance Act "*	
Companies  Branch	
Land Registry fees	
Law stamps 	
" Motor-vehicle Act "  	
" Moving Pictures Act "	
" Real-estate Agents' Licensing Act "
" Security Frauds Prevention Act "..
Sheriffs'  fees	
Trade licences	
Miscellaneous receipts	
Department of Education :
Teachers' examinations and certificates..
Miscellaneous  receipts 	
$13,528.73
6,599.02
$6,
34.
5.
168,
1,114,
9
36,
144.
62.
725.
15.
3
4.
8.
16,
1
,504.07
855.85
450.25
114.84
401.85
844.98
119.32
606.41
422.93
523.68
469.64
930.75
207.55
898.46
073.50
465.98
$1,360.00
23.15
Department of Finance :
Dominion of Canada :
Annual interest	
Annual  subsidy 	
Annual grant per capita	
Annual grant for lands conveyed ....
Amusements-ticket tax 	
Coal and  coke tax	
Fuel-oil  tax  	
Gasoline  tax   	
Income and personal-property  tax	
Interest:
" Dyking Assessments Adjustment Act '
Miscellaneous 	
Land taxes :
Real  property  	
Wild land, coal and timber lands	
Mineral tax 	
Poll-tax   	
Carried forward 	
$14,575.53
95,000.00
277,705.20
50,000.00
$437,
131,
80,
10,
1,649,
4,502,
19,
142,
1,473,
433,
51,
33
280.73
014.42
054.62
507.51
381.77
.399.20
083.82
335.74
.756.78
,470.42
,565.96
,815.00
$20,127.75
2,357,890.66
1,383.15
$8,976,665.97      $2,379,401.56 W 12
COMPTROLLER-GENERAL'S REPORT, 1932-33.
Statement of Revenue for the First Nine Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1933.
Service.
Revenue for 9 Months ended
31st December,  1932.
$12,233,641.46
150,000
235,000
11,000
5,000
650,000
550,000.
25,000
50,000.
7,500.
$13,917,141.46
$125,000.00
$1,000.00
$15,000
175,000
130,000
12,000.
75,000
910,000
1,250,000.
500,000.
210,000
6,000.
$3,283,000.00
.',000.00
$450.00
55,000.00
325.00
90,000.00
$145,775.00
$25,000.00
25,000.00
11,900.00
1,500.00
$63,400.00
$16,000.00
500.00
1,500.00
8,000.00
Current Account—Continued.
Brought forward	
Department of Finance—Continued.
Probate  fees  	
Races tax- 	
Rents,   miscellaneous   	
Revenue Service refunds	
Rural district school taxes	
Succession  duties  	
Trust deposits reverted to the Crown.	
Unworked Crown-granted mineral  claims.
Miscellaneous receipts 	
Department of Fisheries :
Fishing and cannery licences	
Department of Labour :
Elevator inspection and examination fees.
Department of Lands :
Grazing 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 	
Department of Public Works :
Traffic-control   	
Government   property   sold—
Miscellaneous receipts 	
Carried forward
i,976,665.97      $2,379,401.56
107,742.85
183,346.69
8,531.32
1,428.75
518,077.59
430,604.33
47,996.95
5,079.84
$13
88
56
5
42
384
838
233
179
110.30
347.99
,899.08
042.20
938.29
,268.54
609.39
,455.83
,242.13
011.38
$75.03
48,684.26
404,00
78,033.36
$12,875.00
5,583.48
378.96
$7,323.60
535.20
360.75
10,279,474.29
99,988.00
503.00
1,847,525.13
30.00
127,196.65
18,837.44
8,219.55
$14,761,175.62 COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 13
Statement of Revenue for the First Nine Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1933.
Service.
Revenue for 9 Months ended
31st December,  1932.
Current Account—Continued.
Brought forward	
$4,000.00
75,000.00
$70,000.00
$24,637,766.46
$6,000.00
200,000.00
$206,000.00
$24,843,766.46
Department of Railways :
Inspection  fees	
New Westminster Bridge tolls..
Total, Current Account..	
Capital Account.
Refunds of Capital Expenditures :
Charged to Income 	
Charged to Loans 	
Total,   Capital  Account	
Total Revenue 	
$1,388.90
38,994.98
$55,635.67
172,328.41
$14,761,175.62
40,383.i
$14,801,559.50
227,964.08
$15,029,523.58 W 14
COMPTROLLER-GENERAL'S REPORT, 1932-33.
(E.)
(2.)
♦STATEMENT  SHOWING  THE  EXPENDITURE  FOR  THE  FIRST  NINE  MONTHS   OF
THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL TO 31st DECEMBER, 1932.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
$0,218,379.47
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
10
17
18
19
20
21
22
23
24
25
20
27
28
29
30
31
32
33
34
35
36
37
38
39
S.W. No. 9
40
41
1
Current Account.
Public Debt  -	
      $4,985,552.81
                1,697.98
$114,520.00
Premier's Office 	
The Executive (Ministers without Portfolio)	
Department of Agriculture :
                   12,808.64
$15,053.32
                   485.84
$8,917.50
19,178.00
5,596.12
12,178.72
7,991.99
18,884.75
7,164.39
5,168.08
13,214.13
33,606.00
13,493.55
7,508.32
18,701.16
2,860.25
4,087.84
8,851.96
6,500.00
2,000.00
4,532.00
1,000.00
1,000.00
1,498.35
2,442.91
523.13
3,082.02
502.96
8,749.00
$1,000.00
$11,800.00
28,108.56
8,026.80
15,879.80
12,000.00
28,020.00
11,821.00
5,500.00
20,310.88
47,996.72
18,743.20
9,063.20
26,930.92
6,000.00
5,000.00
10,000.00
0,500.00
2,000.00
4,532.00
1,000.00
1,000.00
3,981.40
3,921.76
1,250.00
3,750.00
1,000.00
12,000.00
500.00
750.00
3,000.00
3,750.00
1,000.00
3,840.40
1,000.00
784.80
Control of Fruit and Vegetable Pests, etc	
Plant Quarantine Branch	
B.C. Agricultural and Industrial Association..
International,   National,   and   Provincial   Ex-
134.06
1,674.44
1,162.00
1,000.00
3,060.32
Transportation—Federal   Health   of   Animals
Branch, re T.B. Test, Fraser River Valley
Department of the Attorney-General:
738.96
1,333.19
$320,762.04
228,396.22
$8,061.90
17,333.99
$10,975.00
23,757.00
$34,732.00
$25,395.89     $5,228,941.49
* This stat
trolling and At
ement cover
dit Branch
s only such vouchers as have been received and entered in the books of the Con-
at 31st December, 1932. COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 15
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
$34,732.00
27,934.00
42
10.00
43
7,111.00
44
13,687.00
45
24,505.00
46
8,195.00
47
3,080.00
48
133,291.00
49
64,033.00
50
590,512.00
51
102,474.00
52
11,168.00
53
193,179.00
54
103,300.00
55
15,000.00
50
57
10,000.00
5,000.00
58
59
1,500.00
2,250.00
60
Stat.
785,000.00
Stat.
S.W. No. 10
$2,136,861.00
$10,470.00
61
29,419.80
62
10.00
63
57,200.00
64
31,515.24
65
41,073.40
66
97,596.40
67
55,455.81
68
30,115.56
69
2,196,526.00
70
223,200.00
71
50,000.00
72
3,310.00
73
12,000.00
74
76
10,000.00
85,000.00
77
2,500.00
78
79
2,200.00
5,420.00
80
250,000.00
81
3,000.00
83
Stat.
650,000.00
$3,846,012.21
Current Account—Continued.
Brought forward	
Department of the Attorney-General—Continued.
Companies Branch 	
" Fire Marshal Act "	
Municipal Branch   -.	
Censor of Moving Pictures	
Sheriffs'  Offices  	
Official Administrator, Vancouver 	
Official Guardian	
Land Registry Offices	
Supreme and County Courts	
Provincial Police   	
County Gaols	
Girls' Industrial School	
Game Branch 	
Administration of Justice	
Coroners' Inquests and Inquiries 	
Constitutional   Litigation   and   General   Law
Costs    	
Destruction of Predatory Animals and Birds....
Promotion   of   Uniformity   of   Legislation   in
Canada   .'.	
Incidentals and  Contingencies	
" Government Liquor Act," See. 118  (1)   (c) —
Municipalities' share of profits	
" Bills   of   Sale   Act   Amendment   Act,   1932,"
Sec.   7   	
Bounty on Cougars	
$25,395.89     $5,228,941.49
18,382.62
6,075.65
8,863.14
15,457.20
5,215.09
2,110.40
86,763.37
41,275.90
427,055.57
103,601.77
13,306.20
125,388.S2
68,691.72
7,662.84
2,853.51
3,082.07
228.00
699.22
243,943.60
690.14
Department of Education :
Minister's Office	
General Office 	
Text-hook Branch :	
Free Text-books   	
Correspondence Courses  .-.
Industrial  Education  	
Inspection of Schools 	
Normal  Schools	
School for the Deaf and the Blind	
Salary  Grants  	
Teachers' Salaries  .-.	
School Buildings 	
Rural Female Teachers' Welfare Officer	
Education of Soldiers' Dependent Children 	
Examination of Teachers and High School Entrance Classes 	
Conveying Children to Central Schools	
Summer Schools	
Official   Trustee,   Community   School   District
(five months)  	
Incidentals and Contingencies 	
University of British Columbia	
Special Grant to Victoria College	
" Public Schools Act," R.S.B.C. 1924, Sec. 123
—Advances re rural district school taxes
Carried forward
$6,676.24
16,398.63
10.00
4,813.59
24,055.50
13,089.96
60,664.48
28,023.01
17,991.21
1,141.544.8S
221,469.75
26,258.52
2,301.86
8,916.50
4,030.83
38,400.30
623.99
2,165.41
1,535.63
166,666.72
453,129.25
1,206,742.SI
2,239,366.26
$8,675,050.56 W 16
COMPTROLLER-GENERAL'S REPORT, 1932-33.
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
$11,583.60
S4
34,172.16
85
86
10,835.60
64,419.00
87
105,390.88
88
89
17,699.20
558,290.00
90
33,121.40
91
250.00
92
8,000.00
93
2,200.00
94
15,000.00
95
3,000.00
96
25,000.00
97
800.00
99
9,600.00
100
7,300.00
101
Stat.
570,000.00
170,000.00
Stat.
200.00
Stat.
Stat.
$1,646,S62.44
$20,280.20
102
$14,988.64
103
5,099.80
104
34,745.00
105
7,108.48
106
392,630.25
Stat.
$454,572.17
$11,422.20
107
502,395.97
108
1,500.00
109
139,350.00
110
13,189.00
111
35,000.00
112
3,000.00
113
5,000.00
114
4,000.00
115
3,000.00
110
5,000.00
117
11,000.00
118
$733,857.17
Current Account—Continued.
Brought forward.
Department of Finance :
Minister's Office  ..	
General Office — ..	
Inspector   of   Trust   Companies,   Probate   and
Succession  Duties	
Controlling and Audit Branch	
Surveyor of Taxes  	
Agent-General's Office,  B.C. House, and Overseas Markets Branch, London, England....
Government Agents and Assessors, etc	
Postal Branch  :	
Exchange	
Printing Public Accounts, etc.-	
Interest on Suitors' Funds Deposits	
Delinquent Extra-municipal School Taxes	
Incidentals and Contingencies	
Bureau of Information and General Publicity..
Grant to City of Greenwood	
Grant to City of Rossland	
Appraisal and Classification of Reverted Lands
" Municipalities Aid Act," R.S.B.C. 1924 :
Sundry Municipalities :
Sec   2—Share   of   motor-vehicle   and
chauffeurs' licences	
Sec.   3—Pari-mutuel  taxes	
" Superannuation Act," R.S.B.C. 1924, Sec. 11—
Interest on Superannuation Fund	
" Unclaimed Money Deposits Act "	
" Grasshopper-control Act, 1930," Sec. 9	
Department of Fisheries ....
Department of Labour:
General Office	
Minimum Wage Board .
Employment Service ....
Factories Inspection 	
" Old-age Pension Act "
Department of Lands :
Minister's Office	
Salaries 	
Temporary  Assistance  	
Expenses, General Office and Branches....
Colonization Board 	
Lumber Trade Extension 	
Grant to Canadian Forestry Association
Reconnaissance and Cruising 	
Forest Research  	
Reforestation and Forest Nursery 	
Grazing :   Range Improvement 	
B.C. Hydrometric Service 	
Carried forward 	
$8,732.60
25,637.67
7,709.43
42,308.54
68,401.39
14,580.86
338,796.84
26,633.21
1,261.75
4,195.95
4,434.35
1,737.14
13,887.42
800.00
0,600.00
3,518.10
170,000.00
605.84
2,279.24
$8,516.79
2,870.38
28,933.78
4,869.61
302.881.66
361
71
7
28.
3
4
3
2
5
,362.10
619.02
242.50
529.06
531.51
581.29
000.00
,193.01
902.79
,581.83
,000.00
,922.73
$8,675,050.56
745,120.39
11,034.39
348,072.22
$505,465.84     $9,779,297.56 COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 17
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
857.17
19,000.00
20,000.00
2,000.00
1,000.00
1,000.00
3,000.00
2,500.00
51,000.00
119
120
121
122
123
124
125
Stat.
Stat.
Stat.
$833,357.17
$12,309.80
126
17,749.30
127
33,543.00
128
16,182.20
129
10,048.00
130
2,000.00
131
50,000.00
132
133
20,919.40
1,000.00
134
135
1,700.00
6,000.00
136
500.00
137
Stat.
$:'77,951.76
$9,810.00
138
16,846.44
139
121,442.72
140
19,614.88
141
29,136.20
142
7,711.36
143
419,430.28
144
25,037.12
145
199,146.91
140
39,996.66
147
216,403.00
148
11,348.96
149
10,581.40
150
151
44,719.36
10.00
152
6,594.92
153
820,000.00
154
7,500.00
155
21,500.00
156
18,600.00
157
$2,045,480.21
Current Account—Continued.
Brought forward	
Department of Lands—Continued.
" Soldiers' Land Act, 1918 " 	
Land and Topographical Surveys 	
Lithograph Maps	
Refunds   under   ". Land   Act "   and   " Revenue
Act "   	
Publicity	
Superintendent  of  Irrigation	
Incidentals and  Contingencies	
"Forest  Act,"   Sec.   30A   (2)—Forest  Reserve
Account 	
"Agricultural Act, 1915," Sec. 23 (5)	
" Grazing Act," R.S.B.C. 1924, Sec. 11 	
Department of Mines :
Minister's  Office	
General Office	
Mines   Inspection  Branch  	
Bureau of Mines 	
Mine-rescue and Training Stations	
Grants   (Miscellaneous)  	
Grants in Aid of Mining Roads and Trails, etc.
" Mineral Survey and Development Act," Supplementary  	
Lectures on Practical Geology and Mineralogy
Subsidy re Explosives to assist Bona-fide Mineral   Prospectors  	
Advertising,  Incidentals,  etc	
Grants to Coal-mining Industry 	
" Complex Ore Process Aid Act, 1916 "	
Department of the Provincial Secretary :
Minister's Office 	
General Office	
Provincial Board of Health 	
Provincial Library and Archives  	
" Public Libraries Act " 	
Provincial Museum	
Mental Hospitals	
Provincial Home,  Kamloops 	
Tubercular Hospital and Farm  	
Boys' Industrial School 	
Welfare Branch	
Provincial Home for Incurables	
Civil Service Commission 	
Administration of " Superannuation Act " and
" Teachers' Pensions Act " 	
King's Printer 	
Government House	
Statutory Grants to Hospitals 	
Inspection of Hospitals 	
Special Grants to Hospitals	
In Aid of Resident Physicians 	
Carried forward 	
$505,465.84     $9,779,297.56
17,874.34
11,324.09
114.85
369.90
298.17
1,502.69
1,088.93
24,874.57
211.64
$S,368.83
11,772.17
22,489.86
11,607.73
5,103.30
1,025.00
25,22S,81
18,578.27
81.85-
701.01
2,618.73
2,000.00
$7,230.14
11,292.96
90,843.71
14,828.57
15,119.78
4,683.86
271,157.83
5,226.41
95,637.83
20,939.64
146,450.86
10.00
7,251.51
32,509.63
10.00
4,095.30
511,678.85
12,484.84
8,483.28
563,125.02
110,175.56
$1,259,935.00   $10,452,598.14 W 18
COMPTROLLER-GENERAL'S REPORT, 1932-33.
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
$2,045,480.21
5,000.00
44,550.00
12,000.00
100,000.00
10,000.00
8,000.00
25,000.00
200,000.00
14,250.00
472,000.00
$2,936,280.21
$12,403.20
186,118.36
122,205.28
22,975.60
1,956,000.00
5,000.00
1,500.00
189,523.02
2,703.00
13,747.00
$2,512,235.40
$21,354.20
09,701.20
$91,055.40
$21,320,088.85
158
159
100
161
162
163
164
105
166
Stat.
Stat.
S.W. No. 1
S.W. No. 6
S.W. No. 7
S.W. No. 8
167
168
169
170
171
171a
172
173
174
175
S.W. No. 2
(part)
S.W. No. 5
S.W. No. 18
(1931-32)
176
177
Current Account—Continued.
Brought forward	
Department of the Provincial Secretary—Cont'd.
Burial of Indigent Persons 	
Grants to Charitable Associations, etc	
Registration of Voters 	
Assessment on Class 13 (The Crown), " Workmen's  Compensation  Act "   	
Grant to Canteen Fund Trustees 	
Contingencies,   etc	
Teachers'  Pensions 	
" Superannuation Act "—Government Contributions to Superannuation Fund 	
Grant to Greater Vancouver Water District re
Installation of New Water-mains to Essondale   	
" Mothers' Pensions Act,  1931,"  Sec.  11 	
" Provincial Elections Act," R.S.B.C. 1924,
Sec. 184 	
Provincial Direct Relief  (Provincial share)....
Chiropractic and Drugless Healing Inquiry	
Maintenance of Doukhobor Children 	
" Vital Statistics Act Amendment Act, 1932,"
re Japanese Registrations	
Department of Public Works :
Minister's Office 	
Administration 	
Maintenance of Parliament Buildings and
Grounds   	
Government   House   (Maintenance)   	
Roads, Bridges, Ferries, Wharves, etc	
Subsidy for Operation of Ladner-Woodward
Ferry 	
Local Highways within Municipal Limits	
Government Buildings (Maintenance and Repairs), etc	
Steam-boiler  Inspection	
Electrical Energy Inspection 	
Municipal (Unemployment Relief) Works (Provincial share)	
Salary of Chauffeur-Mechanic for Parliament
Buildings    :	
Provincial Direct Relief (Provincial share)	
Department of Railways :
General Office 	
Fraser River Bridge, New Westminster
Total, Current Account 	
Carried forward 	
$1,259,935.00   $10,452,598.14
4,779.80
43,050.00
7,435.87
50,000.00
7,500.00
2,673.43
25,000.00
112,332.87
10,687.50
356,235.66
41,424.43
33,926.44
818.51
49,220.13
270.08
$9,387.09
118,893.91
SI,583.05
13,205.28
1,092,741.78
2,500.00
318.53
107,783.06
20,433.87
10,000.00
52,709.28
741.00
17,333.99
$13,847.78
61,550.35
2,005,280.72
1,527,632.04
75,404.13
$14,060,924.03
$14,060,924.03 COMPTROLLER-GENERAL'S REPORT, 1932-33.
W 19
Statement of Expenditure for the First Nine Months of the Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1933.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1932.
178
179
180
181
Stat.
Stat.
Stat.
S.W. No. 2
(part)
    $14,060,924.03
$2,098,082.75
Capital Account.
(Expenditures out of Income.)
$721,387.75
352,000.00
352,000.00
907,200.00
Pacific   Great   Eastern   Railway   Co.—Interest   on
432,689.59
4,850.00
9,700.00
B.C.    House,    London,    England—Instalment    on
" Canadian Farm Loan (B.C.) Act, 1928 "
3,508 00
" Soldiers' Land Act, 1918," Sec   5  (e)
475 83
" Water Act," R.S.B.C.  1924,  Sec. 268
59,765.87
106,233.69
Municipal    (Unemployment    Relief)    Works—Mu-
Total, Capital Account (charged to Income)
Total Expenditure (charged to Income)
$3,367,582.75
              1,680,910 73
$24,693,671.60
    $15,741,834.76 W 20
COMPTROLLER-GENERAL'S REPORT, 1932-33.
(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, 1932.
Authority for Expenditure.
Service.
Expended for 9 Months
ended 31st December, 1932.
' B.C. Loan Act, 1927 '
Sec. 6   (d)	
: B.C. Loan Act,  1928 '
Sec,, 6   (a)	
; B.C. Loan Act,  1929 '
See. 6  (a)	
Sec  6   (6)	
; B.C. Loan Act, 1930 '
Sec 6   (a)	
Sec. 6   (6)	
' B.C. Loan Act, 1931 '
Sec. 6  (a)	
Sec. 6  (a)	
Sec. 6   (c).
Sec 6  (e).
' B.C. Loan Act, 1932 " :
Sec.  6   (a)	
Sec.  6   (6)	
Sec 6  (c)	
• Pacific Great Eastern Construction
Loan Act, 1928 "	
Unemployment Relief Act, 1932 "..
" Soldiers' Land Act,  1918 "	
Highways, Bridges, Ferries, etc..
Highways, Bridges, Ferries, etc..
Public Buildings 	
Highways, Bridges, Ferries, etc..
Public Buildings 	
Highways, Bridges, Ferries, etc	
Highways, Bridges, Ferries, etc.  (Unem
ployment Relief)	
Conservation   Fund   	
Unemployment Relief 	
Unemployment Relief ....
Highways and Bridges..
Conservation Fund 	
Pacific Great Eastern Railway..
Unemployment Relief 	
$18,440.09
16,658.70
$86,206.25
22,705.94
$202,090.24
51,895.43
15,000.00
32,649.88
$948,330.17
88,857.33
59,000.00
$41.05
33,428.50
35,098.79
108,912.19
301,635.55
1,096,187.50
130,000.00
1,867,594.95
$3,572,898.53
RECAPITULATION.
Conservation   Fund   	
Highways, Bridges, Ferries, etc	
Highways, etc.   (Unemployment Relief)
Pacific Great Eastern Railway  ,
Public Buildings 	
" Soldiers' Land Act, 1918 " 	
  $74,000.00
  429,022.41
  51,895.43
  130,000.00
  39,364.64
  41.05
Unemployment Relief   2,848,575.00
$3,572,898.53
* This statement covers only such vouchers as have been received and entered in the books of the Controlling and Audit Branch at 31st December, 1932.
VICTORIA, B.C.:
Printed by Charles F. Banpielo, Printer to the King's Most Excellent Majesty.
1933.
275-233-2107

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