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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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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Title | REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1932-1933 PERSUANT TO THE PROVISIONS OF THE "AUDIT ACT," CHAPTER 19, R.S.B.C. 1924 |
Alternate Title | COMPTROLLER-GENERAL'S REPORT, 1932-33. |
Creator |
British Columbia. Legislative Assembly |
Publisher | Victoria, BC : Government Printer |
Date Issued | [1933] |
Genre |
Legislative proceedings |
Type |
Text |
FileFormat | application/pdf |
Language | English |
Identifier | J110.L5 S7 1933_23_W1_W20 |
Collection |
Sessional Papers of the Province of British Columbia |
Source | Original Format: Legislative Assembly of British Columbia. Library. Sessional Papers of the Province of British Columbia |
Date Available | 2016 |
Provider | Vancouver : University of British Columbia Library |
Rights | Images provided for research and reference use only. For permission to publish, copy or otherwise distribute these images please contact the Legislative Library of British Columbia |
CatalogueRecord | http://resolve.library.ubc.ca/cgi-bin/catsearch?bid=1198198 |
DOI | 10.14288/1.0305089 |
AggregatedSourceRepository | CONTENTdm |
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