Open Collections

BC Sessional Papers

REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1935-1936 PURSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly 1936

Item Metadata

Download

Media
bcsessional-1.0306433.pdf
Metadata
JSON: bcsessional-1.0306433.json
JSON-LD: bcsessional-1.0306433-ld.json
RDF/XML (Pretty): bcsessional-1.0306433-rdf.xml
RDF/JSON: bcsessional-1.0306433-rdf.json
Turtle: bcsessional-1.0306433-turtle.txt
N-Triples: bcsessional-1.0306433-rdf-ntriples.txt
Original Record: bcsessional-1.0306433-source.json
Full Text
bcsessional-1.0306433-fulltext.txt
Citation
bcsessional-1.0306433.ris

Full Text

 -ffl
EEPORT
OF   THE
Compteollee-Geneeal
OF  THE   PROVINCE   OF
BRITISH COLUMBIA
1935-1936
PURSUANT TO THE PROVISIONS OF THE "AUDIT ACT,'
CHAPTER 19, R.S.B.C. 1924
#9!
PRINTED BY
AUTHORITY OF THE LEGISLATIVE ASSEMBLY.
VICTORIA, B.C. :
Printed by Chaeles F. Banfield, Printer to tlie King's Most Excellent Majesty.
1936.
m
PROVINCIAL LIBRARY
VICTORIA, B..C-.
■a  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.
Department of Finance,
Victoria, 25th February, 1936.
JOHN HART,
Minister of Finance. Victoria, 25th February, 1936.
Hon. John Hart,
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 (&) of section 36).
(C.) Statement of Payments charged against the 1935-36 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, 1935
(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.,
Comptro ller-G eneral. COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVERRULINGS.
Nil. Y 6
COMPTROLLER-GENERAL'S REPORT, 1935-36.
(B.)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED
31st MARCH, 1935.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1934, to 31st March, 1935, and for which Overexpenditure the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
CURRENT ACCOUNT.
Legislation.
2
$97,805.00
$102,672.90
$4,867.90
Department of Agriculture.
5
27,929.90
43,895.16
27,968.94
44,161.99
39.04
7
266.83
Department op the Attorney-General.
26
27
Attorney-General's Office 	
11,670.48
24,429.08
7,984.22
2,994.26
14,000.00
12,500.00
10,000.00
11,752.50
24,449.60
8,012.16
3,027.14
15,651.25
13,137.27
10,901.60
82.02
20.52
32
33
40
Official Administrator, Vancouver   __
Official Guardian   	
27.94
32.88
1,651.25
41
637.27
42
901.60
Department op Education.
45
5,310.00
28,219.26
8,000.00
1,200.00
5,351.18
37,207.06
8,543.29
1,443.80
41.18
53
8,987.80
58
Examination  of Teachers and High  School  Entrance
543.29
61
Summer Schools and Teacher-training for Special Cer-
243.80
Department of Finance.
76
37,543.70
40,118.03
2,574.33
Department of Labour.
88
23,313.86
23,367.29
53.43
Department of Lands.
104
" Soldiers' Land Act," Chap. 80, 1918 _	
28,000.00
28,230.08
230.08
Department op the Provincial Secretary.
124
131,305.22
13,554.12
12,501.08
5,981.70
846,000.00
6,000.00
132,074.80
16,437.22
12,501.49
7,175.16
866,449.10
6,023.78
769.58
132
2,883.10
134
.41
135
1,193.46
139
20,449.10
147
23.78
154
S/W13
Department of Public Works.
j Maintenance of Parliament Buildings and Grounds
140,626.52
142,537.30
1,910.78
$1,540,763.56
$1,589,194.93
$48,431.37 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST 1935-36 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
2
35
38
52 (6)
63 (o)
75
81
94
94
94
110
121
145 (a)
145 (a)
145 (a)
145 (a)
145 (a)
156
157
157
157
158
158
158
158
158
158
158
158
158
158
158
158
158
160
160
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Date of Service.
Name.
Feb., 1935 	
Jan.-March, 1935_„
Jan., 1935. 	
Nov., 1934-March, 1935
Dec, 1934.	
July, 1934	
April, 1934.	
June, 1934-March, 1935
Nov., 1934 	
Feb.-March, 1935-
Feb., 1935	
July, 1932 	
June, 1934-March, 1935.
July-Dec, 1934.
Sept.-Dec, 1934	
Dec, 1934-March, 1935.
Jan.-March, 1935	
March, 1935..
Jan., 1935	
Feb., 1935 __
March, 1935-
May, 1934	
Sept., 1934-Jan., 1935.
Oct., 1934.	
Jan., 1935	
Jan.-Feb., 1935...-	
Jan., 1935 _	
Feb.,1935	
March, 1935 __	
March, 1935	
March, 1935	
March, 1935 	
March, 1935.- _
March, 1935	
Nov., 1934	
March, 1935	
July, 1931-Dec, 1932	
July, 1933-March, 1935.
Oct., 1933  _.
Nov., 1933 -	
Dec, 1933...  -..	
Jan., 1934 	
Jan., 1934....	
Jan., 1934....
March,1934_.
Aug., 1934..
Aug.-Dec, 1934..
Sept., 1934	
Nov., 1934-	
Nov.-Dec, 1934-
Dec, 1934 _	
Dec, 1934	
Dec,1934	
Dec,1934.
Dec, 1934-March, 1935.
Jan., 1935 	
Jan., 1935  	
Jan., 1935	
Jan., 1935	
David Spencer, Ltd	
Hope Trading Co., Ltd..
P. J. Mackay	
Dr. H. R. Anderson 	
Mackenzie, White & Dunsmuir, Ltd..
King's Printer 	
Vancouver Sun  	
H. Cathcart : __, ;	
Imperial Oil, Ltd.- 	
Vancouver Motors, Ltd	
Canadian National Telegraph Co..
King's Printer— 	
Sundry persons  	
Dr. E. H. Lawson	
Dr. G. A. Ootmar	
Dr. H. F. P. Grafton.
City Clerk, Kelowna...
Little & Taylor  	
Evans, Coleman & Johnson Bros., Ltd.
David Spencer, Ltd  	
David Spencer, Ltd   	
Dan Mason....	
Laver's  	
W. F. Buchan -	
Malcolm MacLean  	
Grandoro Mines, Ltd  	
Fogg Motors, Ltd— 	
Mackenzie, White & Dunsmuir, Ltd	
E. B. Neweombe  	
Imperial Oil, Ltd.—  	
J. S. Daly —	
Imperial Oil, Ltd  	
E. R. Taylor Construction Co., Ltd	
R. T. Richardson .— 	
Northern Electric Co., Ltd  	
Imperial Varnish & Color Co., (B.C.),
Ltd.      - -
Hope Trading & Supply Co —	
James R. Hunnex—  	
Geo. H. Hewitt Co., Ltd _ —
Canadian Sullivan Machinery Co., Ltd.
J. M. Edgar - __   	
Fairbanks-Morse Co., Ltd.— -
Ashcroft Water Electric & Improvement Co     	
McLennan, McFeely & Prior, Ltd	
Fairbanks-Morse Co., Ltd—  	
Dr. J. C. Thomas 	
Trail-Rossland Clinic 	
West Transfer Co.— -	
James Linton    —
Checker Taxi Co., Ltd  	
St. Joseph's Hospital, Comox 	
Dr. A. Ross Currie  	
District of Mission   	
B.C. Motor Transportation, Ltd	
Dr. R. C. Parbery _ 	
District of Mission. —	
B.C. Motor Transportation, Ltd..	
Exclusive Ambulance Service 	
Vancouver Institute for Diseases of
the Chest   	
Particulars.
Amount.
Gloves  	
Electricity	
Services  	
Services   	
Supplies — 	
Office supplies 	
Advertising    	
Travelling expenses 	
Gasoline —	
Supplies 	
Telegrams  	
Office supplies 	
Fees re Medical Health
Officers  	
Services   	
Services  	
Services  	
Expenses re Kelowna
Health Unit 	
Repairs to clock —	
Supplies  	
Supplies  	
Fitting duplex shades -
Travelling expenses 	
Supplies  	
Auto-tire   	
Dynamite ___	
Snow-ploughing  _.
Supplies  	
Universal heater, etc. ...
Supplies  	
Gasoline      	
Supplies 	
Gasoline  	
Asphalt premix 	
Repairs    	
Buzzer and switch _.	
Flo-glaze    	
Relief orders  .	
Rent of camps 	
Office supplies 	
Connecting-rod bearing .
Repairs  	
Supplies 	
Machining pump-shaft
Piston-rings, etc 	
Head-gasket, etc	
Services —
Services 	
Freight  	
Salary  	
Taxi services 	
Services 	
Services  	
Direct relief  	
Express    	
Services  - 	
Direct relief 	
Express  	
Services   —
Services
$7.00
19.50
4.15
15.12
34.75
20.60
300.00
24.20
6.78
15.69
3.34
4.50
10.00
28.50
264.00
40.00
85.16
3.50
7.38
56.74
9.20
7.35
5.85
16.55
9.50
53.00
17.59
21.69
6.25
18.34
3.85
54.36
21.00
170.00
3.15
15.81
169.60
210.00
1.00
15.65
48.49
1.23
3.75
2,03
5.50
35.00
18.00
.25
33.00
3.00
2.25
4.00
22.40
.25
3.00
23.52
.55
4.00 Y 8
COMPTROLLER-GENERAL'S REPORT, 1935-36.
Statement of Payments charged against the 1935-36 Appropriations—Continued.
Vote
No.
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
Statutory
Date of Service.
Name.
Particulars.
Jan., 1935	
Jan., 1935	
Jan., 1935	
Jan., 1935 	
Jan.-Feb., 1935	
Jan.-Feb., 1935	
Jan.-Feb., 1935- 	
Jan.-Feb., 1935	
Feb., 1935	
Feb., 1935 	
Feb., 1935	
Feb., 1935	
Feb., 1935 	
Feb., 1935- -
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935	
Feb., 1935^ 	
Feb.-Mareh, 1935	
Feb.-March, 1935	
Feb.-March, 1935	
Feb.-March, 1935	
March, 1935	
March, 1935 	
March, 1935 	
March, 1935	
March, 1935 	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935 	
March, 1935	
March, 1935 	
March, 1935  _
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935 	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
March, 1935	
Dec, 1934-March, 1935
Dec, 1934-March, 1935
Jan., 1935	
March, 1935. 	
March, 1935	
March, 1935	
March, 1935 -
Reo Motors, Ltd	
Provincial Royal Jubilee Hospital	
Municipality of Surrey	
R. Burritt 	
Sumas Co-operative Association..
D. W. Chadsey	
The " V " Garage Co	
St. Joseph's Hospital, Comox..
Canadian Pacific Express Co...
Municipality of Surrey. _
Dr. Glen Campbell	
City of Victoria 	
A. Rutherford	
City of Victoria 	
Creston Drug & Book Store-
Municipality of Langley	
Cunningham Drug Stores, Ltd..
Dr. J. C. Thomas 	
Scott's Cranbrook Drug & Book Co..
Gity of Prince George	
City of Prince George	
City of Prince George	
City of Rossland	
W. Wardrop	
Mitchell's Drug Store..
Kootenay Lake General Hospital Soc.
Alfred W. McLeod	
District of Mission	
Municipality of Coldstream..
Trail-Rossland Clinic	
City of Victoria	
City of Rossland	
City of Vancouver	
City of Prince George	
Municipality of Surrey...
Drs. Ross & MacKenzie-
Dr. R. B. Brummitt	
Dr. Irving.  	
W. Gosman et al	
Mrs. R. A. Russell ...
F. S. Wilson-	
Dr. P. L. Straith	
Dr. John D. Butler..
Powell Drug Co	
West Coast General Hospital..
Houghland's Drug Store	
Vancouver Drug Co., Ltd 	
Scott's Cranbrook Drug & Book Co..
Cunningham-Trapp, Ltd.	
Kitsilano Drug Co	
Dr. J. Olivier	
Star Cabs, Ltd	
A. Rutherford	
B.C. Telephone Co  _
Municipality of Coldstream..
Municipality of Coldstream..
Municipality of Burnaby	
Woodward Stores, Ltd.	
Sundry persons 	
Mr. Justice M. A. Macdonald..
Victoria Daily Times	
Reliance Motor & Machine Works, Ltd.
Reliance Motor & Machine Works, Ltd.
Teachers' Pensions Fund 	
Superannuation Fund.	
Express   	
Services 	
Direct relief 	
Hay 	
Weighing hay 	
Board and lodging 	
Supplies  	
Services  	
Express   	
Direct relief 	
Servi ces  	
Direct relief 	
Rental school building
Direct relief 	
Prescriptions  	
Direct relief 	
Prescriptions   	
Services   _.
Supplies  	
Direct relief 	
Direct relief 	
Direct relief 	
Direct relief  ,...
Milk 	
Prescriptions   	
Services  	
Rental of camp-site ...
Direct relief 	
Direct relief  	
Services  	
Direct relief  	
Direct relief 	
Direct relief 	
Direct relief 	
Direct relief 	
Ser vices 	
Services 	
Services 	
Payroll  	
Direct relief 	
Prescriptions  	
Ser vi ces 	
Services 	
Prescriptions   	
Services   _.	
Prescriptions    	
Supplies 	
Supplies  	
Freight    	
S u p plies 	
Services	
Taxi service 	
Rental school building
Long-distance calls 	
Direct relief  _ 	
Direct relief  	
Direct relief 	
Food and clothing	
Flood damage	
Travelling expenses ....
Advertising 	
Repairs	
Repairs	
Interest  	
Interest	
$0.80
13.00
5.00
40.00
8.75
45.00
14.65
30.00
2.35
10.00
5.00
59.00
3.00
25.95
1.75
.24
1.60
1.00
1.00
12.60
763.55
31.60
5.00
89.10
4.32
31.25
18.75
15.68
15.00
22.00
6.20
5.00
4.50
12.60
25.00
35.00
19.00
35.00
14.00
16.00
3.38
62.50
2.00
2.90
1.50
4.00
.45
2.00
2.60
.50
15.00
2.90
3.00
3.33
48.90
7.20
12.50
15.75
174,709.00
290.00
36.90
321.87
295.65
20,186.13
163,239.60
$362,714.07 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 9
(D.)
STATEMENT OP SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS
OF 1935 AND 1936.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
TO MEET EXPENDITURE FOR THE FISCAL YEAR
ENDING 31ST MARCH, 1936.
Department of Agriculture.
Oct.      2, 1935.	
3
$16,765.53
$16,765.53
Department op Education.
Nov.     5, 1935	
4
Educational experiments in Abbotsford, Matsqui, and Sumas
10,000.00
4,067.48
Department op the Provincial Secretary.
April 16, 1935	
1
1,500.00
1,500.00
Department op Public Works.
May      1,1935	
2
345,000.00
Nil
$373,265.53
$22,333.01 Y 10
COMPTROLLER-GENERAL'S REPORT, 1935-36.
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOR THE FIRST NINE MONTHS OF THE
PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 31st DECEMBER, 1935.
Estimated for
12 Months
ending 31st
March, 1936.
Service.
Revenue for 9 Months ended
31st December, 1935.
$12,000.00
$12,000.00
$10,000.00
85,000.00
40,000.00
5,000.00
182,500.00
2,335,000.00
52,500.00
187,000.00
80,000.00
250,000.00
1,836,000.00
29,000.00
30,000.00
4,500.00
9,000.00
10,000.00
30,000.00
5,000.00
$5,180,500.00
$2,000.00
300.00
$2,300.00
$29,151.06
190,000.00
555,410.40
100,000.00
750,000.00
$1,624,561.46
185,000.00
100,000.00
2,325,000.00
350,000.00
4,975,000.00
19,080.00
220,000.00
1,475,000.00
465,000.00
270,000.00
17,500.00
$12,026,141.46
Current Account.
Department of Agriculture:
Miscellaneous receipts 	
Department of the Attorney-General:
" Administration Act "—fees, etc—
Companies Branch   -	
Court fees and fines 	
Dog licences  	
" Game Act "—fees and licences —
" Government Liquor Act'
" Insurance Act "  _ 	
Land Registry fees 	
Law-stamps   _ .__
' Motor-vehicle Act " :
Registration fees, etc.
Annual licences, motor-vehicles   (except motor-cycles).
Annual licences, chauffeurs  	
" Moving Pictures Act "   	
" Real-estate Agents' Licensing Act " 	
" Securities Act "   _ _	
Sheriffs' fees 	
Trade licences   	
Miscellaneous receipts
Department of Education:
Teachers' examinations and certificates
Miscellaneous  receipts    	
Department of Finance:
Dominion of Canada:
Annual interest .
Annual subsidy _.
Annual grant per capita  	
Annual grant for lands conveyed  	
Interim payment on account of annual subsidy .
Amusement-tickets tax .
Coal and coke tax 	
Gasoline tax 	
Fuel-oil 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
$7,148.96
48,753.35
67,951.75
6,339.85
179,055.29
1,270,297.06
15,830.08
142,309.69
66,041.80
170,748.18
476,698.50
12,877.00
. 21,493.37
3,342.50
7,347.25
4,323.13
17,965.00
1,138.66
$1,643.50
209.50
$14,675.53
95,000.00
277,705.20
50,000.00
$437,280.73
147,451.61
65,251.47
2,046,071.41
341,026.05
4,486,860.60
19,083.82
250,365.74
1,336,094.65
400,989.95
268,795.00
12,775.00
1,297.21
2,519,661.42
1,853.00
$9,822,046.03      $2,530,811.63 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 11
STATEMENT OF REVENUE FOR THE FIRST NlNE MONTHS OF PRESENT FISCAL YEAR—Continued.
Estimated for
12 Months
ending 31st
March, 1936.
Service.
Revenue for 9 Months ended
31st December, 1935.
$12,026,141.46
Current Account—Continued.
$9,822,046.03
107,175.25
135,329.80
8,536.36
520,520.42
381,452.72
$2,530,811.63
125,000.00
135,000.00
11,000.00
Department of Finance—Continued.
Probate fees   - —
Races tax 	
600,000.00
865,000.00
25,000.00
Succession duties _	
50,000.00
44,563.85
3,067.24
7,500.00
Department of Fisheries:
$13,844,641.46
	
11,022,691.67
$125,000.00
116,246.50
Department of Labour:
$500.00
565.00
Department of Lands :      (
$10,958.52
90,313.67
59,583.56
7,086.47
41,895.34
424,901.57
1,338,323.43
294,860.10
211,767.54
5,204.49
$10,000.00
145,000.00
90,000.00
12,000.00
70,000.00
600,000.00
1,350,000.00
375,000.00
210,000.00
4,000.00
Timber sales   —
Water rentals and recording fees  _	
Legislation:
$2,866,000.00
2,484,894.69
$2,000.00
Department of Mines:
Bureau of Mines  	
Free miners' certificates    _	
$285.50
75,493.75
142.00
134,163.83
$400.00
85,000.00
200.00
210,000.00
Department of Municipal Affairs:
Miscellaneous receipts —	
Department of the Provincial Secretary:
$295,600.00
210,085.08
112.50
$10,000.00
20,000.00
$18,654.00
7,714.55
430.60
9,000.00
350.00
Department of Public Works:
$39,350.00
$21,618.62
208.00
26,799.15
$10,000.00
3,000.00
$13,000.00
21,826.62
$16,414,032.84 Y 12
COMPTROLLER-GENERAL'S REPORT, 1935-36.
Statement of Revenue for the First Nine Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1936.
Service.
Revenue for 9 Months ended
31st December, 1935.
Current Account—Co7.tirn.ei_.
$16 414 032.84
$2,000.00
Department of Railways:
$1,644.62
27,827.88
60,000.00
$62,000.00
29,472.50
$22,442,891.46
$16,443,505.34
Capital Account.
Refunds of Capital Expenditures:
$1,000.00
$446.77
78,151.68
50,000.00
$51,000.00
78 598 45
$22,493,891.46
     $16,522,103.79 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 13
(E.)
(2.)
* STATEMENT  SHOWING THE  EXPENDITURE  FOR THE  FIRST  NINE  MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL
TO 31st DECEMBER, 1935.
Estimated for
12 Months
ending 31st
March, 1936.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1935.
$7,167,329.43
$99,405.00
$16,160.04
$10,594.16
29,048.38
6,280.48
42,426.36
16,807.64
98,114.88
17,497.60
6,469.92
2,508.52
4,033.64
8,000.00
4,500.00
4,500.00
4,532.50
1,500.00
1,500.00
1,000.00
6,500.00
12,000.00
1,000.00
500.00
500.00
$279,814.08
$10,670.48
23,780.88
31,613.88
10.00
12,468.80
23,923.94
8,147.58
3,083.64
103,137.92
59,420.38
636,202.40
126,627.64
170,443.48
83,550.00
15,000.00
10,000.00
$1,318,081.02
Current Account.
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
S.W. No.
Stat.
Stat.
Stat.
Stat.
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
Public Debt..
Legislation....
Premier's Office-
Department of Agriculture:
Minister's Office 	
General Office  _	
Markets Branch 	
Horticultural Branch
Plant Pathology, etc. .
Live Stock Branch 	
Field Crop and Seed Improvement .
Women's Institutes  	
International, National, and Provincial Exhibits-
Soil Survey Branch    	
Automobiles annd Accessories 	
Agricultural Associations and Fairs 	
Vancouver Exhibition Association  (Buildings).
Corporation of City of Victoria (Buildings)	
Interior Provincial Fair Association	
Chilliwack Agricultural Association 	
In Aid of Kamloops Bull Sale   	
Farmers' Institutes   	
Rebates on Stumping-powder .
Gopher Extermination 	
Incidentals and Contingencies  	
Grants to Associations 	
" Pound District Act "—Expenses 	
" Codling-moth Control Act, 1922," Sec. 3 .
" Grasshopper-control Act, 1930," Sec. 9 ...
" Natural Products Marketing  (B.C.)  Act'
Department of the Attorney-General:
Attorney-General's Office  	
General Office  	
Companies Branch _	
" Fire Marshal Act" 	
Censor of Moving Pictures
Sheriffs' Offices 	
Official Administrator, Vancouver
Official Guardian  	
Land Registry Offices 	
Supreme and County Courts .
Provincial Police _	
County Gaols  	
Game Branch  — 	
Administration of Justice  	
Coroners' Inquests and Inquiries 	
Constitutional Litigation and General Law Costs.
Carried forward-
742.70
933.29
601.90
836.51
442.71
968.51
545.52
710.49
754.03
849.78
164.09
050.00
500.00
532.50
500.00
500.00
,761.64
,747.00
326.83
411.62
.765.53
197.29
,970.26
,292.19
118.27
16,
5,
2,
69,
38
589
98
101
69
7
4
,913.57
,506.00
,857.51
10.00
,726.43
452.56
474.29
031.27
315.87
,920.43
,524.69
,462.48
438.48
,470.87
794.46
280.65
$5,556,651.70
1,769.31
10,303.60
220,222.66
$1,062,179.56      $5,788,947.27
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st December, 1935. Y 14
COMPTROLLER-GENERAL'S REPORT, 1935-36.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Contd.
$1,318,081.02
10,000.00
500.00
7,500.00
2,000.00
$1,338,081.02
$5,402.00
45
25,849.78
46
10.00
47
60,000.00
48
38,320.24
49
37,658.88
50
104,071.44
51
34,613.10
52
31,833.39
53
2,108,000.00
54
41,000.00
55
56
11,000.00
57
8,000.00
70,000.00
58
2,000.00
59
60
1,500.00
1,513.00
61
900.00
62
30,000.00
63
10.00
64
10,000.00
65
4,800.00
66
300,000.00
67
5,000.00
68
S.W. No
Stat.
611,000.00
$3,542,481.83
$11,197.72
69
34,251.08
70
17,669.30
71
60,971.02
72
116,588.98
73
6,962.80
74
598,189.09
75
37,185.30
76
9,500.00
77
6,000.00
78
25,000.00
79
5,000.00
80
$928,515.29
42
43
44
Department of the Attorney-General—Continued.
Destruction of Predatory Animals and Birds  (Bounties,
Salaries, and Expenses)  	
Promotion of Uniformity of Legislation in Canada-
Revision of Statutes—Legislative Counsel 	
Incidentals and Contingencies   	
Department of Education:
Minister's Office 	
General Office 	
Text-book Branch 	
Free Text-books, Maps, etc. .
Correspondence Schools 	
Industrial Education 	
Inspection of Schools 	
Normal School  ,	
School for the Deaf and the Blind .
Salary Grants 	
Erection of New Buildings, etc.  	
Education   of   Soldiers'   Dependent  Children   and   Expenses   — 	
Examination   of  Teachers  and  High  School   Entrance
Classes       	
Conveying Children to Central Schools 	
School Libraries     	
Summer   Schools   and   Teacher-training   for   Special
Certificates     	
Official Trustee, Community School Districts .
Board of Reference ~ — —	
Adult Education  _	
Printing Report of Survey of School Finance..
Educational Reorganization  	
Incidentals and Contingencies  	
University of British Columbia   	
Special Grant to Victoria College  	
Matsqui, Sumas, and Abbotsford School Districts	
"Public Schools Act," R.S.B.C.  1924, Sec.  123   (1) —
Advances re rural district school taxes 	
Department of Finance:
Minister's Office 	
General Office	
Probate and Succession Duties Branch
Controlling and Audit Branch	
Taxation Branch .	
Agent-General's Office and B.C. House,  London,
Government Agents and Assessors, etc. 	
Postal Branch 	
Eng.
Printing Public Accounts, etc. 	
Interest on Suitors' Funds Deposits  	
Delinquent Extra-municipal School Taxes .
Incidentals and Contingencies	
Carried forward..
1,062,179.56       $5,788,947.27
10,974.37
189.75
6,000.00
480.38
$4,613.05
17,196.69
10.00
42,909.17
22,879.39
15,257.96
71,313.91
31,788.77
20,818.25
1,047,838.37
20,884.99
8,976.61
870.93
37,225.46
430.14
1,140.77
1,146.63
373.35
23,587.00
6,826.20
3,533.16
225,000.03
5,000.00
3,079.29
472,386.70
$8,650.87
22,273.55
15,176.77
42,000.11
83,145.18
385,121.27
29,260.79
2,273.53
3,187.58
3,400.00
1,079,824.06
2,085,086.82
$594,489.65      $8,953,858.15 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 15
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1936.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1935.
$928,515.29
30,000.00
800.00
81
82
83
Stat.
Stat.
Stat.
Stat.
84
85
86
87
88
89
90
90A
Stat.
91
92
93
94
95
96
97
98
99
100
101
102
103
104
105
106
107
108
Stat.
Stat.
Stat.
Stat.
Current Account—Continued.
$594,489.65
28,182.78
800.00
9,600.00
$8,953,858.15
Department of Finance—Continued.
9,600.00
570,000.00
40,000.00
" Municipalities Aid Act," R.S.B.C. 1924, Sec. 2—Share
of motor-vehicle and chauffeurs' licences	
Interest   on   Superannuation   and   Teachers'   Pensions
183,425.73
214.08
721.88
" Public Libraries Act, 1933," Sec. 34  	
$1,578,915.29
817,434.12
$17,391.00
10,420.56
$5,663.46
4,085 52
Department of Labour:
$1,640.81
31,183.05
25,740.78
4,706.30
10,689.86
3,291.13
404,310.98
$2,171.60
41,371.69
32,075.62
6,818.44
16,000.00
7,500.00
553,037.66
In Aid of Employment of Youth  	
Department of Lands:
Minister's Office  	
Salaries    	
Temporary Assistance    	
$658,975.01
$7,936.30
310,364.59
707.63
69,272.06
200,000.00
42,664.60
2,000.00
1,220.59
1,995.95
3,574.49
8,824.33
5,000.00
23,299.17
20,831.24
481,562.91
$10,748.72
400,646.81
1,500.00
111,500.00
300,000.00
50,000.00
2,000.00
2,000.00
4,500.00
10,000.00
5,000.00
32,000.00
35,000.00
" Soldiers' Land Act," Chap. 80, 1918 	
3,000.00
Refund of Stumpage deposited with Dominion Govern-
1,000.00
171.80
96.37
5,230.46
1,000.00
1,500.00
43,500.00
" Forest Act," Sec. 30A (2)—Forest Reserve Account	
" Grazing   Act,"   Sec.   11—Grazing:    Range  Improve-
3,333.00
3,818.10
40,893.28
999.45
" Agricultural Act, 1915," Sec. 23 (5) 	
Carried forward 	
$1,020,228.53
748,900.41
$11,016,261.67 Y 16
COMPTROLLER-GENERAL'S REPORT, 1935-36.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1936.
No. of
Vote.
$10,239.98
16,683.36
30,269.84
18,732.34
8,858.44
3,300.00
40,000.00
37,013.60
1,200.00
4,400.00
2,000.00
$172,697.56
$11,524.38
119
$6,228.00
120
15,308.80
121
23,985.96
122
14,666.40
123
7,541.32
124
6,181.70
125
126
37,626.40
10.00
127
6,063.79
128
795,000.00
129
17,000.00
130
16,000.00
131
38,220.00
132
133
15,000.00
250.00
134
10,000.00
135
5,000.00
136
25,000.00
137
138
200,000.00
139
4,500.00
49,106.49
140
141
21,766.40
110,000.00
142
8,000.00
143
69,100.00
144
118,245.40
145
512,633.87
146
21,087.50
147
159,246.40
148
34,553.86
149
15,037.80
150
17,762.22
151
$2,380,122.31
109
110
111
112
113
114
115
116
117
118
Stat.
Service.
Current Account—Continued.
Brought forward.
Department of Mines:
Minister's Office	
General Office 	
Mines Inspection Branch
Bureau of Mines 	
Mine-rescue and Training Stations .
Grants   	
Grants in Aid of Mining Roads and Trails, etc...
" Mineral Survey and Development Act" .
Subsidy re Explosives to assist Bona-fide Mineral Prospectors    	
Advertising, Incidentals, etc. 	
" Complex Ore Process Aid Act, 1916 .
Department of Municipal Affairs .
Department of the Provincial Secretary:
Minister's Office    _—
General Office  	
Provincial Library and Archives .
" Public Libraries Act " 	
Provincial Museum   	
Civil Service Commission   	
Administration     of     " Superannuation
" Teachers' Pensions Act "  	
King's Printer ___ __	
Government House — —  	
Act"
Statutory Grants to Hospitals    _	
Special Grants to Hospitals _  	
In Aid of Resident Physicians — 	
Grants to Charitable Associations, etc.  	
Assessment on   Class  13   (The  Crown),   "Workmen's
Compensation Act "  	
Civil Service Schedule Bond   	
Grant to Canteen Fund Trustees  —	
Contingencies, Incidentals, and Entertainments..
Grant to Teachers' Pensions Fund  	
1 Superannuation Act "—Government Contributions to
Superannuation Fund   	
Grant to Greater Vancouver Water District re installing New Water-mains to Essondale and Boys'
Industrial School Area    	
Administration, Health, and Welfare Services 	
Welfare Branch (including Administration of " Infants
Act" and Mothers' Pensions Branch) 	
In Aid of Destitute Poor and Sick  	
Burial of Indigent Persons  —   	
Grants and Contributions to Homes and Aid Societies-
Provincial Board of Health   	
Mental Hospitals  	
Provincial Home, Kamloops 	
Tubercular Hospital and Farm
Boys' Industrial School 	
Girls' Industrial School 	
Provincial Home for Incurables .
Carried forward-
Expenditure for 9 Months
ended 31st December, 1935.
$7,279.98
13,041.94
22,411.55
14,769.48
6,336.17
2,375.00
33,014.08
27,519.97
778.02
2,492.97
2,000.00
$11,016,261.67
$4,632.78
10,368.40
15,930.63
11,230.04
5,371.03
3,561.70
26,386.52
10.00
3,833.72
598,838.14
13,525.00
8,110.17
38,220.00
15,000.00
47.41
7,500.00
5,522.02
25,000.00
194,389.72
4,500.00
31,985.57
15,171.99
71,829.48
4,338.09
39,907.84
92,033.15
136,692.54
8,437.72
92,158.52
21,161.58
9,614.01
12,847.29
132,019.16
6,711.93
$1,528,155.06    $11,154,992.76 COMPTROLLER-GENERAL'S REPORT, 1935-36.
Y 17
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Contd.
Estimated for
12 Months
ending 31st
March, 1936.
$2,380,122.31
35,000.00
100,000.00
375,000.00
4,200.00
10,000.00
$2,904,322.31
$10,378.76
152,927.18
136,153.82
19,835.12
1,415,000.00
2,500.00
250,428.46
2,500.00
12,750.00
$2,002,473.34
$15,703.80
59,435.20
$75,139.00
$20,890,601.28
$224,052.00
352,000.00
907,200.00
9,700.00
750.00
$1,493,702.00
$22,384,303.28
No. of
Vote.
Expenditure for 9 Months
ended 31st December, 1935.
Current Account—Continued.
Brought forward .
152
153
S.W. No. 1
Stat.
Stat.
Stat.
Stat.
Stat.
154
155
156
157
158
159
160
161
162
163
164
165
166
167
168
169
Stat.
Department of the Provincial Secretary—Continued.
Home for Aged    _
Preventive  Medicine,   Special  Public  Health  Services,
etc   	
Compassionate Allowance to Mrs. Macdonald	
Mothers' Pensions ___ 	
Chap. 49, 1931—" An Act to provide for the Payment
of an Allowance to F. A. Pauline " 	
Chap.   114,   R.S.B.C.   1924,   as   amended,   " Public   Inquiries Act "   	
" Provincial Elections Act," Sec. 184 	
" Honourable H. G. T. Perry Indemnity Act, 1935 "	
Department of Public Works :
Minister's Office 	
Administration	
Maintenance of Parliament Buildings and Grounds .
Government House (Maintenance) '.	
Roads, Bridges, Ferries, Wharves, etc. 	
Local Highways within Municipal Limits  	
Repairs, etc., to Government Buildings throughout the
Province  	
Steam-boiler Inspection 	
Electrical Energy Inspection
Department of Railways:
General Offices _	
Fraser River Bridge, New Westminster
Total, Current Account .
Capital Account.
(Expenditures out of Income.)
Sinking Funds   	
Redemption of Debentures  	
Pacific Great Eastern Railway 	
British Columbia House, London, England	
" Soldiers' Land Act, 1918 "—Houses, South Vancouver	
Redemption in part of Treasury Bill No. 3,  " B.C. Loan
Act,  1933 "    	
Total, Capital Account (charged to Income).
Total Expenditure (charged to Income)	
$1,528,155.06    $11,154,992.76
73,899.69
1,500.00
301,302.87
3,150.00
29,845.38
4,551.18
2,500.00
$8,191.51
98,566.48
98,844.43
12,550.53
958,030.48
933.36
139,130.75
17,580.96
10,000.00
$11,555.00
38,867.16
$224,052.00
352,000.00
460,014.85
4,850.00
448.73
7,554.63
1,944,904.18
1,343,828.50
50,422.16
$14,494,147.60
1,048,920.21
$15,543,067.81 Y 18
COMPTROLLER-GENERAL'S REPORT, 1935-36.
(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, 1935.
Authority for Expenditure.
Service.
Expended
for 9 Months
ended 31st
December,
1935.
' B.C. Loan Act, 1929 " :
Sec. 6  (a) -_. _ - _	
Sec.  6   (6)     	
' B.C. Loan Act, 1930 " :
Sec. 6   (a)    - -	
Sec. 6   (b)  ._ 	
' B.C. Loan Act, 1931 ":
Sec. 6   (a)   	
' B.C. Loan Act, 1932 " :
Sec. 6   (6)  	
' B.C. Loan Act, 1933 " :
Sec. 6      	
' Unemployment Relief Act, 1933 " - 	
' Fraser River (New Westminster) Bridge Act, 1935 "
' Pacific Great Eastern Construction Loan Act, 1928 "
Highways, Bridges.
Public Buildings	
Highways, Bridges .
Public Buildings	
Highways, Bridges .
Highways, Bridges .
Unemployment Relief Fund.
Unemployment Relief Fund.
Fraser "River Bridge ___
Pacific Great Eastern Railway.
$22,599.63
35,787.69
10,240.38
1,861.71
38,125.75
4,532.16
!,250,000.00
1,150,000.00
171,682.87
130,000.00
$7,815,830.19
RECAPITULATION.
Fraser River Bridge 	
Highways, Bridges, etc.
Public Buildings  	
Pacific Great Eastern Railway   	
L^nemployment Relief Fund:
Public Works  (P.C. 1405)	
Public Works (P.C. 2013)   _
Public Works—Highways, Bridges,  Buildings
Relief Land Settlement     __	
Unemployment Relief  	
Advances to Municipalities re Direct Relief ....
Advances to Municipalities re Works Relief ..
$457,617.75
116,597.58
1,498,900.04
1,006.83
2,808,296.10
307,718.87
142,411.92
$5,332,549.09
Add unexpended balance in Unemployment Relief Fund, 31st December,
1935   ...      $1,162,444.95
Less unexpended balance in Unemployment Relief Fund, 1st April,
1935 _          494,994.04
$171,682.87
75,497.92
38,649.40
130,000.00
667,450.91
$6,000,000.00
Add sums borrowed under " Unemployment Relief Act,  1933,"  8th April and 29th
May, 1935, to meet expenditures for fiscal year ended 31st March, 1935      1,400,000.00
7,400,000.00
$7,815,830.19
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st December, 1935.
VICTORIA,   B.C. :
Printed by Charles F: Banfield, Printer to the King's Most Excellent Majesty.
1936.
265-136-7112  

Cite

Citation Scheme:

        

Citations by CSL (citeproc-js)

Usage Statistics

Share

Embed

Customize your widget with the following options, then copy and paste the code below into the HTML of your page to embed this item in your website.
                        
                            <div id="ubcOpenCollectionsWidgetDisplay">
                            <script id="ubcOpenCollectionsWidget"
                            src="{[{embed.src}]}"
                            data-item="{[{embed.item}]}"
                            data-collection="{[{embed.collection}]}"
                            data-metadata="{[{embed.showMetadata}]}"
                            data-width="{[{embed.width}]}"
                            async >
                            </script>
                            </div>
                        
                    
IIIF logo Our image viewer uses the IIIF 2.0 standard. To load this item in other compatible viewers, use this url:
https://iiif.library.ubc.ca/presentation/cdm.bcsessional.1-0306433/manifest

Comment

Related Items