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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1936-1937 PURSUANT OF THE PROVISIONS… British Columbia. Legislative Assembly [1936]

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 m —a
EEFOET
OF   THE
Compteollee-Geneeal
OF   THE   PROVINCE   OP
BRITISH COLUMBIA
1936-1937
PURSUANT TO THE PROVISIONS OF THE "AUDIT ACT,"
CHAPTER 19, R.S.B.C. 1924
SKS
PRINTED BY
AUTHORITY  OF THE LEGISLATIVE  ASSEMBLY.
VICTORIA, B.C.:
Printed by Chaeles F. Banfield, Printer to the King's Most Excellent Majesty.
1936.
a   =a  To His Honour Eric Werge Hamber,
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.
JOHN HART,
Minister of Finance.
Department of Finance,
Victoria, 27th October, 1936. Victoria, 27th October, 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 (6) 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 Six
Months of the Present Fiscal Year, viz., from 1st April to 30th September, 1936
(clause (a) of section 42) :—
(1.)  Revenue.
(2.)  Expenditure (charged to Income).
(3.)  Expenditure (charged to Loans).
(4.)   Expenditure:
Unemployment Relief Fund.
Unemployment Relief  Fund
Agreement, 1936).
(Dominion-Provincial  Works
I have the honour to be,
Sir,
Your obedient servant,
J. A. CRAIG, C.A.,
Comptroller-General. COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVERRULINGS.
Nil. T 6
COMPTROLLER-GENERAL'S REPORT, 1936-37.
(B.)
UNPROVIDED  ITEMS  IN  EXPENDITURE  FOR FISCAL  YEAR  ENDED
31st MARCH, 1936.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1935, to 31st March, 1936, and for which Overexpenditure the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
26
31
37
38
40
41
52
64
69
76
109
120
129
131
141
142
143
145
147
148
150
151
156
Department of Agriculture.
Horticultural Branch
Department op the Attorney-General.
General Office 	
Official Administrator, Vancouver
Game Branch	
Administration of Justice 	
Constitutional Litigation and General Law Costs
Destruction of Predatory Animals and Birds	
Department or Education.
Normal Schools	
Printing Report of Survey of School Finance .
Department of Finance.
Minister's Office
Postal Branch _..
Department of Mines.
Minister's Office
Department of the Provincial Secretary.
Minister's Office     _
Statutory Grants to Hospitals
In Aid of Resident Physicians
Welfare Branch - 	
In Aid of Destitute Poor and Sick
Burial of Indigent Persons 	
Provincial Board of Health 	
Provincial Home, Kamloops  	
Tubercular Hospital and Farm	
Girls' Industrial School 	
Provincial Home for Incurables 	
Department of Public Works.
Maintenance    of    Parliament    Buildings    and
Grounds   	
$43,926.36
24,480.88
8,147.58
170,443.48
103,550.00
12,500.00
20,000.00
34,613.10
10.00
12,197.72
42,185.30
10,239.98
6,228.00
905,000.00
16,000.00
21,766.40
110,000.00
8,500.00
118,245.40
21,087.50
159,246.40
15,219.67
17,762.22
136,153.82
$45,412.04
24,608.56
8,225.33
174,751.55
109,881.16
21,306.38
20,232.02
34,911.95
889.69
12,914.79
42,704.90
10,240.92
7,513.57
932,208.99
16,015.16
23,170.82
127,291.28
8,772.71
118,449.22
21,153.18
181,758.25
16,028.30
22,964.37
140,321.73
$1,485.68
127.68
77.75
4,308.07
6,331.16
8,806.38
232.02
298.85
879.69
717.07
519.60
.94
1,285.57
27,208.99
15.16
1,404.42
17,291.28
272.71
203.82
65.68
22,511.85
808.63
5,202.15
4,167.91
$2,017,503.81
$2,121,726.87
$104,223.06 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST 1936-37 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
2
35
35
35
35
37
38
39
39
39
39
39
39
39
40
58
63 (6)
63 (&)
69
74
74
95
95
108
150 (a)
150 (a)
150 (a)
150 (a)
153
164
164
164
164
166
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Statutory
Jan., 1936  	
July, 1935-Jan., 1936....
Jan., 1936   	
Jan.-March, 1936	
March, 1936  	
Jan.-Dec., 1935 	
Oct.-Dec., 1935 	
Feb.-March, 1936	
Feb.-March, 1936	
Dec, 1935	
Jan., 1936	
Jan., 1936	
Jan., 1936	
March, 1936	
March, 1936	
March, 1936	
Feb.-March, 1936	
Jan.-March, 1936	
Nov., 1935-March, 1936
March, 1936	
Feb., 1936	
Dec, 1935	
March, 1936 .	
Jan., 1936 	
March, 1936	
Aug., 1934	
Sept., 1935 	
Jan.-March, 1936	
March, 1936 	
March, 1936	
Dec, 1935	
Aug., 1935	
Nov., 1935 _. 	
Nov., 1935  _
Feb., 1936 	
March, 1936	
Nov., 1935-March, 1936
Jan., 1936	
April, 1935	
May, 1935... 	
June, 1935	
June, 1935	
July,1935	
Aug.
Sept.
Oct.,
Nov.,
Nov.,
Dec,
Dec,
Dec,
Dec,
1935 .
,1935.
1935—
1935..
1935...
1935—
1935-
1935...
1935 ..
Victoria Daily Times ..
Just-Rite Photos, Ltd.
C.P.R. Co  _.-..
City of Victoria	
Peebles Motors, Ltd.
Qualicum Beach Estates, Ltd.
Dugald Donaghy, K.C	
Dugald Donaghy, K.C 	
J. R. Nicholson 	
C. W. Tyler	
Dr. N. B. Hall.. 	
A. R. Smith	
Dr. N. E. Morrison-
Fred. W. Chase	
Dr. W. N. McKee ...
Dr. L. N. Beckwith .
H. R. Wade	
Trustees,  South Wellington  School
District	
Bank of Toronto	
St. Paul's Church	
The King's Printer	
The Penticton Herald.
J. Harvey 	
H. Cathcart	
B. E. Carmichael	
The Columbian Co., Ltd..
David Spencer, Ltd	
City Clerk, Kelowna	
Drs. Beech & Beech  	
Vernon Jubilee  Hospital	
Wilson  Mining  &  Investment  Co..
Ltd   	
V. Schjelderup	
Trites-Wood Co., Ltd— 	
General Construction Co., Ltd.,	
F. G. Shiell	
Bert Bowes :	
J. Pitcairn Hogg	
B.C. Appraisal Co., Ltd.
University Endowment Administration Account 	
Ditto  _____ 	
Mrs. J. J. Smith	
University  Endowment  Lands  Administration Account 	
Ditto  	
Dr. C. H. Hankinson	
Dr. C. H. Hankinson	
Dr. C. H. Hankinson.  __ 	
District of Glenmore	
University  Endowment  Lands  Administration Account 	
Advertising  	
Films, lamps,  etc	
Freight and cartage
Expenses  re  special
guards    	
Battery  and  sparkplugs 	
Lease of land .__. _
Services     	
Services     	
Services   	
Services   	
Services   	
Services   	
Services   	
Services   	
Services   	
Services   	
Services   	
Grant 	
Operating  charges-
Rent of hall 	
Stationery  	
Advertising
Travelling expenses
Travelling expenses
Travelling expenses
Advertising  	
Health scale 	
Expenses re Kelowna  Health  Unit-
Services   	
Services   	
Coal   	
Right-of-way  plan..
Tent  	
Freight charges 	
Gravel     	
Office    counter   and
cupboard  	
Services    .	
Estimation of machinery-removal
cost 	
Repairs
Repairs
Repairs
Room and board-
Repairs 	
Repairs  	
Repairs 	
Repairs 	
Repairs 	
Services 	
Services 	
Services 	
Direct relief
Repairs 	
$55.80
15.05
7.53
54.00
24.41
50.00
375.00
260.00
147.10
15.60
10.00
3.00
6.00
20.00
15.00
15.00
137.77
16.00
3.05
3.00
1.85
6.00
79.32
26.70
6.00
67.50
14.50
85.35
25.50
24.00
264.15
35.00
35.00
370.91
45.50
14.30
1,404.71
10.00
66.43
17.60
31.29
15.00
124.24
77.16
22.24
21.22
54.80
3.00
35.00
50.00
1.66
86.85 T 8
COMPTROLLER-GENERAL'S REPORT, 1936-37.
Statement of Payments charged against the 1936-37 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
Dec, 1935-
Jan., 1936—
Jan., 1936....
Jan., 1936 —
Jan., 1936—
Jan., 1936 —
Feb., 1936 —
Feb., 1936 —
Feb., 1936 .__.
Feb., 1936—
Feb., 1936 ....
Feb., 1936—
Feb., 1936.	
Feb., 1936.	
Feb., 1936..__.
March, 1936.
March, 1936-
March, 1936-
March, 1936-
March, 1936-
March, 1936-
March, 1936-
March, 1936..
March, 1936-
March, 1936-
Mareh, 1936-
March, 1936-
March, 1936.
March, 1936 .
March, 1936-
March, 1936-
March, 1936-
March, 1936.
March, 1936-
March, 1936..
March, 1936-
March, 1936 .
March, 1936-
March, 1936-
March, 1936-
March, 1936-
March, 1936-
March, 1936..
C. Burns 	
Dr. R. P. Christie __.._
Dr. A. C. Sinclair 	
District of Glenmore
District of Saanich—
University  Endowment  Lands  Administration Account	
Ditto	
Dr. C. H. Hankinson	
Commercial Taxi Co., Ltd...
Westview Drug Co..
Kelowna Hospital Society
City of Vancouver	
District of Glenmore	
District of Saanich	
Ormes, Limited	
Commissioner, B.C. Police	
St. Joseph's Hospital	
St. Joseph's Hospital	
W. M. Huston 	
Dr. G. A. C. Walley	
Kelowna Hospital Society	
Trail-Rossland Clinic 	
Quinn's Drug Store	
Robinson's Drug Store 	
Westview Drug Store 	
City of Vancouver 	
City of Vancouver  	
Dr. J. M. Large      	
Vancouver Machinery Depot, Ltd..
Dr. A. S. Underhill	
Dr. W. A. Drummond 	
Dr. J. D. Calvert  	
Kelowna Hospital Society	
City of Vancouver	
City of Vancouver	
City of Victoria
Drs. Gunn, Hackney, Shore & Rob-
bins         	
Cunningham Drug Store	
Dr. R. W. Alward .-__ 	
Dr. W. A. Drummond 	
District of Saanich  	
University  Endowment  Lands  Administration Account	
District of Glenmore 	
Transportation
Services 	
Services 	
Direct relief	
Medical service grant
Repairs .
Repairs .
Services
Transportation _
Prescription   	
Services 	
Direct relief _	
Direct relief 	
Medical services
Elastic Truss	
Transportation __
Services 	
Services 	
Prescription 	
Services 	
Services 	
Services 	
Prescription   __
Prescription ....
Prescription .	
Direct relief __..
Direct relief _
Services 	
Machine parts .
Services 	
Services 	
Services 	
Services 	
Direct relief __
Direct relief	
Direct relief	
Services   - 	
Prescription 	
Services   	
Services  _	
Medical services
Repairs
Direct relief
$5.50
3.00
15.00
4.70
60.00
39.35
46.83
2.00
.75
.75
5.25
21.60
4.70
62.75
2.00
48.60
4.00
27.00
1.00
1.00
47.50
1.50
1.15
2.50
3.50
17.70
4.58
18.50
18.65
50.00
29.00
13.00
12.00
66.15
10.92
11.80
3.00
.40
2.00
16.00
61.75
117.66
4.00
$5,225.13 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 9
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN FIRST AND SECOND
SESSIONS OF 1936.
Date of
Approval.
No. of                                                        c.      •
Warrant.'                                                   Service.
Amount of
Warrant.
Expenditure.
I
1
i
Aug. 10, 1936      |        3
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDING 31st MARCH, 1937.
Department of Agriculture.
Purchase of fodder for cattle of settlers in flooded
$10,000.00
32,496.30
25,000.00
150,000.00
$1,207.50
Oct.     5, 1936
Aug.   5, 1936
4
2
1
Grants- to   Vancouver   Exhibition   Association   and
B.C. Agricultural Association	
Department of the Provincial Secretary.
Grant to   City  of  Vancouver  towards  expenses  of
32,496.30
25,000.00
Aug. 12, 1936
Department of Public Works.
Completion,   furnishings,   and   equipment   of   new
T.B. Wing in Vancouver General Hospital	
25,882.50
$217,496.30
$84,586.30 T 10
COMPTROLLER-GENERAL'S REPORT, 1936-37.
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOR THE FIRST SIX MONTHS OF THE
PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 30th SEPTEMBER, 1936.
Estimated for
12 Months
ending 31st
March, 1937.
Service.
Revenue for 6 Months ended
30th September, 1936.
$12,000.00
$12,000.00
$10,000.00
85,000.00
50,000.00
5,000.00
210,000.00
2,750,000.00
52,500.00
195,000.00
85,000.00
290,000.00
1,876,000.00
34,000.00
30,000.00
4,500.00
10,000.00
7,000.00
30,000.00
5,000.00
$5,729,000.00
$2,000.00
2,500.00
300.00
$4,800.00
$29,151.06
190,000.00
555,410.40
100,000.00
750,000.00
$1,624,561.46
190,000.00
100,000.00
480,000.00
2,550,000.00
5,700,000.00
19,080.00
320,000.00
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  motorcycles) 	
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 —
Text-book Branch (net profits) 	
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 .
Amusements-tickets tax .
Coal and coke tax . 	
Fuel-oil tax	
Gasoline tax	
Income and personal property tax  _ ..
Interest:
" Dyking Assessments Adjustment Act "
Miscellaneous .
$5,076.62
40,556.35
22,480.74
112,215.46
1,516,357.87
6,038.90
109,160.84
48,864.95
163,611.22
527,160.04
13,237.50
9,393.37
3,021.25
7,173.30
3,162.05
17,611.00
6,225.04
$1,030.00
30.00
$14,575.53
95,000.00
277,705.20
50,000.00
750,000.00
$1,187,280.73
111,767.18
45,173.84
213,192.52
1,473,607.71
3,964,242.00
190,813.06
$4,948.63
2,611,346.50
1,060.00 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 11
Statement op Revenue for the First Six Months of the Present Fiscal Year-
—Continued.
Estimated for
12 Months
ending 31st
March, 1937.
Service.
Revenue for 6 Months ended
30th September, 1936.
$10,983,641.46
1,450,000.00
420,000.00
300,000.00
Current Account—Continued.
$7,186,077.04
1,243,412.77
374,843.15
242,264.20
51,380.00
72,681.79
147,727.29
5,930.88
428,938.25
414,849.49
$2,617,355.13
Department of Finance—Continued.
Land taxes:
15,000.00
140,000.00
Poll tax                                                 .   	
135,000.00
11,000.00
600,000.00
Rents, miscellaneous   	
750,000.00
20,000.00
50,000.00
37,745.00
1,535.47
5,000.00
Miscellaneous receipts   '.
Department of Fisheries:
Fishing and cannery licences   	
Department of Labour:
$14,879,641.46
10,207,385.33
$110,000.00
104,251.50
$500.00
535.00
Department of Lands:
$3,318.26
69,663.55
38,596.42
4,045.86
23,545.83
311,258.40
954,356.11
214,297.40
82,360.52
3,279.66
$14,000.00
145,000.00
90,000.00
10,000.00
70,000.00
550,000.00
1,650,000.00
400,000.00
240,000.00
5,000.00
Legislation:
$3,174,000.00
1,704,722.01
$500.00
20.00
Department of Mines:
$217.00
65,524.50
119.50
83,983.30
$400.00
75,000.00
200.00
140,000.00
Free miners' certificates  	
Miners' examinations and certificates 	
Mining receipts, general	
Department of Municipal Affairs:
Miscellaneous receipts    —   	
Department of the Provincial Secretary:
$215,600.00
149,844.30
$500.00
125.00
$20,000.00
21,000.00
10,000.00
500.00
$13,109.00
5,136.49
306.80
Miscellaneous receipts  	
Carried forward	
$51,500.00
18,552.29
$14,802,790.56 T 12
COMPTROLLER-GENERAL'S REPORT, 1936-37.
Statement of Revenue for the First Six Months of the Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1937.
Service.
Revenue for 6 Months ended
30th September, 1936.
Current Account—Continued.
  __   $14,802,790.56
$21,000.00
Department of Public Works:
$44,822.12
500.00
182.74
Department of Railways:
$21,500.00
45,004.86
$2,000.00
$894.85
60,000.00 '
33,066.40
Refunds of Expenditures:
$62,000.00
33,961.25
$24,261,541.46
$14,881,756.67
$1,000.00
$64,076.12
50,000.00
47,253.80
Total Revenue        	
$51,000.00
111,329.92
$24,312,541.46
    $14,993,086.59 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 13
(E.)
(2.)
STATEMENT  SHOWING  THE  EXPENDITURE  FOR  THE  FIRST  SIX  MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL
TO 30th SEPTEMBER, 1936.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$7,394,578.81
907,200.00
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
S.W.No.3
Stat.
Stat.
Stat.
Stat.
25
26
27
28
29
30
Current Account.
Public Debt:
Interest, Premium, and Exchange 	
Pacific Great Eastern Railway—Interest on
$4,101,105.39
461,626.55
90,938.00
426,025.38
224,052.00
361,700.00
Legislation       ' 	
Premier's Office     	
Department of Agriculture:
$8,887,530.81
$5,079,695.32
$99,805.00
4,419.12
$16,902.50
7,709.81
$5,511.17
14,955.99
2,399.62
24,422.85
9,875.06
43,093.06
6,861.05
2,058.79
1,071.54
2.473.39
2,339.81
2,850.00
4,500.00
$11,064.96
31,926.70
6,547.24
49,353.92
18,630.84
Markets Branch 	
105,403.04
20,592.80
7,612.00
4,180.00
4,220.84
International, National, and Provincial Ex-
8,000.00
5,000.00
4,500.00
4,532.50
Automobiles and Accessories 	
Agricultural Associations and Fairs __ 	
Vancouver   Exhibition   Association   (Buildings)   ____ 	
Corporation of City of Victoria (Buildings)
Interior Provincial Fair Association 	
1,500.00
1,500.00
1,000.00
1,500.00
1,500.00
In Aid of Kamloops Bull Sale 	
6,500.00
12,000.00
1,500.00
1,000.00
2.644.34
4,146.00
298.35
180.00
1,207.50
197.05
163.80
3,946.92
15,350.00
Gopher Extermination 	
500 00
" Natural Products Marketing  (B.C.)  Act "__
" Codling-moth Control Act, 1922," Sec. 3
" Grasshopper-control Act, 1930," Sec. 9 .......
Department of the Attorney-General:
Attorney-General's Office 	
$307,064.84
$5,101.02
11,980.59
14,121.25
10.00
5,128.22
10,525.72
153,546.29
$11,200.88
26,181.08
34,356.64
10 00
" Fire Marshal Act " _         	
12 775 79
24 783 42
Sheriffs' Offices           -      	
Carried forward. :■  	
$109,307.81
$46,866.80
$5,245,370.54
* This statement covers only such vouchers as have been received and entered in the hooks of the Controlling and
Audit Branch at 30th September, 1936. T 14
COMPTROLLER-GENERAL'S REPORT, 1936-37.
Statement of Expenditure fot the First Six Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$109,307.81
8,212.50
3,355.00
111,259.82
64,092.06
731,277.72
159,102.83
197,418.34
84,400.00
17,500.00
15,000.00
20,000.00
500.00
4,500.00
2,000.00
$1,527,926.08
$5,700.00
45
26,250.18
46
10.00
47
60,000.00
48
40,719.84
49
38,634.08
50
124,364.04
51
32,915.70
52
39,600.59
53
2,215,000.00
54
91,000.00
55
56
13,000.00
57
8,000.00
69,000.00
58
5,000.00
59
60
1,500.00
1,606.60
61
62
900.00
60,000.00
63
10,000.00
64
4,800.00
65
350,000.00
66
5,000.00
67
Stat
- 640,000.00
Stat
$3,843,001.03
31
32
33
34
35
36
37
38
39
40
41
42
43
44
Current Account—Continued.
Brought forward	
Department of the Attorney-General—Contd.
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 	
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 Schools  ■___
School for the Deaf and the Blind .
Salary Grants
School 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 — Remuneration,  fees,
and expenses 	
Adult Education 	
Curriculum Revision	
Incidentals and Contingencies 	
University of British Columbia 	
Special Grant to Victoria College 	
"Public Schools Act," R.S.B.C. 1924, Sec.
123 (1)—Advances re rural district school
taxes 	
' Abbotsford School District Act" as amended
1936, Sec. 4 (3)	
Carried forward..
$46,866.80     $5,245,370.54
3,468.15
1,373.89
47,574.17
26,203.62
370,488.65
75,927.01
78,269.82
38,793.77
4,171.31
1,063.01
12,088.00
2,000.00
769.70
$3,812.75
11,631.59
10.00
25,905.96
14,219.86
8,697.14
51,217.35
28,429.37
15,354.35
657,117.70
584.10t
7,520.00
4,713.35
18,774.57
1,146.89
l,286.05t
979.14
341.21
20,667.58
931.16
1,977.40
175,000.04
327,193.66
1,500.00
709,057.90
1,375,270.92
$7,329,699.36
t Excess of credits over charges to vote. COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 15
Statement of Expenditure fot the First Six Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$11,564.92
36,322.32
20,625.90
65,640.94
125,807.62
8,900.86
631,499.30
43,492.50
9,500.00
6,500.00
25,000.00
5,000.00
60,000.00
800.00
9,600.00
570,000.00
146,000.00
$1,776,254.36
$23,656.40
$5,903.20
$2,990.00
62,858.52
7,594.84
8,344.00
2,500.00
16,000.00
35,270.48
657,976.91
$793,534.75
$10,935.92
445,213.34
3,000.00
126,150.00
300,000.00
$885,299.26
68
69
70
71
72
73
74
75
76
77
78
79
80
81
82
Stat.
Stat.
Stat.
Stat.
83
84
85
86
87
88
89
90
91
Stat.
92
93
94
95
96
Current Account—Continued.
Brought forward-
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, England
Government Agents and Assessors, etc.
Postal Branch 	
Printing Public Accounts, Revenue Receipts,
Bonds, Cheques, Estimates, etc.
Interest on Suitors' Funds Deposits 	
Delinquent Extra-municipal School Taxes
Incidentals and Contingencies .
Bureau of Information and General Publicity
(including Grants)
Grant to City of Greenwood
Grant to City of Rossland .
; Municipalities Aid Act," R.S.B.C. 1924, Sec.
2—Share of motor-vehicle and chauffeurs'
licences  .   _.	
Interest  on   Superannuation  and  Teachers'
Pensions Funds 	
" Public Libraries Act, 1933," Chap. 33, Sec.
34g   	
" Unclaimed Money Deposits Act "	
Department of Fisheries _.
Department of Industries
Department of Labour:
Minister's Office	
General Office 	
Factories Inspection 	
Inspector of Apprenticeship 	
Vocational   Guidance   and   Employment   of
Youth 	
Economic Council 	
Employment Service	
" Old-age Pension Act " .
Department of Lands:
Minister's Office 	
Salaries  	
Temporary Assistance 	
Expenses (including Administration, Maintenance of Buildings, Launches, Autos,
and other Equipment, etc)	
Forest Protection Fund 	
Carried forward..
$5,281.43
15,472.06
8,325.47
29,772.67
57,957.91
2,540.38
252,507.40
21,743.92
693.73
921.88
2,265.76
29,220.38
800.00
9,600.00
87,141.43
5,163.50
166.84
$1,338.91
31,375.19
3,253.18
3,722.56
390.00
7,126.51
21,126.00
298,306.09t
$5,429.16
273,379.82
646.03
82,729.75
150,000.00
$7,329,699.36
529,574.76
6,469.59
2,785.15
366,638.44
$512,184.76     $8,235,167.30
t Dominion contribution for quarter ended 30th September, 1936, deducted from expenditure although not actually
received at that date. T 16
COMPTROLLER-GENERAL'S REPORT, 1936-37.
Statement of Expenditure fot the First Six Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$885,299.26
50,000.00
2,000.00
2,000.00
2,000.00
4,500.00
10,000.00
5,000.00
32,000.00
35,000.00
1,500.00
1,000.00
1,000.00
1,500.00
900.00
58,920.00
4,000.00
$1,096,619.26
$10,465.58
111
17,244.96
112
37,336.24
113
22,256.80
114
6,491.94
115
43,145.34
116
12,703.20
117
4,800.00
118
119
40,000.00
120
2,000.00
121
1,200.00
122
4,400.00
2,000.00
123
2,000.00
Stat
$206,044.06
$11,815.66
124
$6,670.00
125
15,635.10
126
39,374.32
127
9,466.92
129
6,102.50
130
$77,248.84
97
98
99
100
101
102
103
104
105
106
107
108
109
110
Stat.
Stat.
Stat.
Current Account—Continued.
Brought forward..
Department of Lands—Continued.
Lumber Trade Extension  (including Grants
in Aid thereof)  	
Grant to Canadian Forestry Association	
Reconnaissance and Cruising  	
Forest Research 	
Reforestation and Forest Nursery
Water Surveys 	
B.C. Hydrometric Service
" Soldiers' Land Act," Chap. 80, 1918
Surveys and Maps
Refund of Stumpage deposited with Dominion Government by Homesteaders, etc	
Refunds under " Land Act " and " Revenue
Act "
Publicity
Incidentals and Contingencies 	
Contribution towards Cost of Road on False
Creek   	
" Forest Act," Sec. 30a (2)—Forest Reserve
Account	
"Grazing   Act,"   Sec.   11—Grazing:    Range
Improvement Fund 	
"Agricultural Act, 1915," Sec. 23 (5)	
Department of Mines:
Minister's Office 	
General Office—General Administration
Mines Inspection Branch  	
Mineralog'ical Branch	
Assay Branch
: Mineral Survey and Development Act'
Mine-rescue and Training Stations 	
Grants   	
Grants in Aid of Mining Roads and Trails,
etc.  	
Lectures  on  Practical  Geology  and  Mineralogy
Subsidy  re   Explosives   to   assist  Bona-f.de
Mineral Prospectors
Advertising,   Miscellaneous   Bulletins,   Incidentals, and Contingencies 	
Silicosis Investigation   	
" Complex Ore Process Aid Act, 1916 "	
Department of Municipal Affairs 	
Department of the Provincial Secretary:
Minister's Office 	
General Office 	
Libraries	
Provincial Museum  	
Civil Service Commission
Carried forward _
$512,184.76
25,000.00
2,000.00
218.28
1,982.33
2,165.06
4,577.73
3,025.42
16,711.51
3,777.50
12.00
167.36
4,356.36
19,245.99
$4,885.61
9,634.20
14,993.97
9,947.25
3,045.69
17,984.72
5,070.22
4,800.00
11,910.88
5.09
383.29
1,399.48
489.05
1,000.00
$2,647.08
6,672.36
21,846.22
5.470.98
2,931.45
$39,568.09
1,235,167.30
595,424.30
85,549.45
5,950.65
1,922,091.70 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 17
Statement of Expenditure fot the First Six Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$77,248.84
36,397.86
10.00
6,188.20
750,000.00
52,500.00
18,000.00
41,220.00
30,000.00
250.00
10,000.00
13,500.00
25,000.00
360,000.00
26,000.00
56,406.92
18,482.07
125,000.00
9,000.00
77,511.20
258,363.06
591,716.64
29,288.00
24,197.14
175,606.09
34,984.30
15,434.22
31,316.50
25,000.00
70,000.00
411,000.00
4,200.00
5,000.00
$3,408,821.04
$10,965.96
171,666.40
151,309.76
23,736.00
1,415,000.00
2,500.00
$1,775,178.12
131
132
133
134
135
136
137
138
139
140
141
142
143
144
145
146
147
148
149
150
151
152
153
154
155
156
157
158
159
Stat.
Stat.
Stat.
Stat.
160
161
162
163
164
165
Current Account—Continued.
Brought forward..
Department of the Provincial Secretary—Continued.
Administration   of   " Superannuation   Act"
and " Teachers' Pensions Act " —
King's Printer
Government House   	
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	
" Superannuation   Act "—Government   Contribution to Superannuation Fund 	
Golden Jubilee Celebration 	
Health and Welfare Services 	
Welfare  Branch   (including Administration
of " Mothers' Pensions Act ") 	
In Aid of Destitute Poor and Sick 	
Burial of Indigent Persons 	
Child Welfare  Branch   (including Administration of " Infants Act ") 	
Provincial Board of Health 	
Mental Hospitals 	
Home for the Aged 	
Provincial Home, Kamloops 	
Tubercular Hospital and Farm 	
Industrial School for Boys _  ___	
Industrial Home for Girls 	
Provincial Home for Incurables 	
Preventive Medicine,  Special Public Health
Services 	
" Health Insurance Act "   	
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 " 	
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
Carried forward. 	
$39,568.09     $8,922,091.70
18,667.02
10.00
3,360.67
408,065.59
28,700.00
4,699.23
31,780.00
10,000.00
19.61t
5,000.00
3,687.76
25,000.00
98,182.28
26,000.00
22,770.76
9,195.36
65,598.58
3,820.10
31,861.55
122,912.46
27,115.98t
609.35
5,615.80
32,116.49
10,585.73
4,639.01
10,255.41
3,937.53
50,000.00
199,998.25
2,100.00
5,422.40
5,933.94
1,262,957.77
$5,584.63
72,550.05
68,354.41
14,425.23
814,166.47
$975,080.79   $10,185,049.47
t Excess of credits over charges to vote. T 18
COMPTROLLER-GENERAL'S REPORT, 1936-37.
Statement of Expenditure fot the First Six Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1937.
No. of
Vote.
Service.
Expenditure for 6 Months
ended 30th September, 1936.
$1,775,178.12
166
167
168
S.W.No.l
169
170
171
Current Account—Continued.
$975,080.79   $10,185,049.47
91,571.68
14,026.37
317,845.80
2,773.12
Department of Public Works—Continued.
Maintenance   and   Repairs   to   Government
Buildings and Rental of Offices 	
Steam-boiler Inspection    _
13,822.00
Electrical Energy Inspection         ■	
Tubercular Wing, Vancouver General  Hos-
7,000.00
7,395.00
Department of Railways:
$2,109,619.04
1,095,073.84
$16,655.00
$7,470.26
60,691.00
Fraser River Bridge  .
Recoverable Expenditure:
" Soldiers' Land Act, 1918 "—Houses, South
24,878.09
$77,346.00
32,348.35
$750.00
414.68
Total Expenditure   	
$24,192,594.03
              $11,312,886.34 COMPTROLLER-GENERAL'S REPORT, 1936-37.
T 19
(E.)
(3.)
♦.STATEMENT   SHOWING  EXPENDITURES  AND  ADVANCES  OUT   OF  MONEYS
RAISED  BY  LOAN  UNDER  AUTHORITY  OF  THE   LEGISLATURE  FOR
SPECIFIC PURPOSES,  1st APRIL TO  30th  SEPTEMBER,  1936.
Authority for Expenditure.
Service.
Expended
for 6 Months
ended 30th
September,
1936.
"B.C. Loan Act, 1929":
Sec. 6 (6)— 	
"B.C. Loan Act, 1930 ":
Sec. 6 (6).
Unemployment Relief Act, 1933 "_.
Unemployment Relief Act, 1933 "__
". Fraser River (New Westminster) Bridge Act,
1935"-   	
" Pacific Great Eastern Construction Loan Act,
1928"	
Public Buildings
Public Buildings  	
Unemployment Relief Fund	
Unemployment Relief Fund (Dominion-
Provincial Works Agreement, 1936) —
Fraser River Bridge	
Pacific Great Eastern Railway..
$40,186.99
51,180.75
894,000.00
200,000.00
644,497.54
75,000.00
$1,904,865.28
RECAPITULATION.
Fraser River Bridge
Public Buildings 	
Pacific Great Eastern Railway
Unemployment Relief Fund
Unemployment Relief Fund (Dominion-Provincial Works Agreement, 1936).
$894,000.00
200,000.00
$644,497.54
91,367.74
75,000.00
1,094,000.00
$1,904,865.28
* This statement covers only such vouchers as have been received and entered in the books of the Controlling and
Audit Branch at 30th September, 1936. (E.)
(4.)
UNEMPLOYMENT RELIEF FUND.
♦STATEMENT OF APPROPRIATIONS AND EXPENDITURE FOR THE FIRST
SIX MONTHS OF THE PRESENT FISCAL YEAR, VIZ., 1st APRIL TO
30th SEPTEMBER, 1936.
..... Expenditure.
Municipal:
Direct Relief     $966,449.98
Provincial:
Direct Relief       478,401.40
Physically Unfit and Homeless Persons   465,622.60
Non-contributory     226,018.64
Supervision     74,691.79
Public Health   83,133.30
Public Works  (P.C. 2013)    6,646.48
Public Works (P.C. 1405)—Flood Damage     2,032.37
Public Works—Highways, Bridges, etc. _   24,185.92
Advances to Municipalities:
Works _—       _ 71,148.49
$2,398,330.97
Less contributed by Dominion Government          1,071,000.00
Provincial Share       $1,327,330.97
Appropriations.
"■ Unemployment Relief Act, 1933 "  _.        $894,000.00
Add Temporary Advances by Minister of Finance to meet expenditure for 1936-37      1,698,000.00
$2,592,000.00
Deduct Temporary Advances by Minister of Finance to meet expenditure to 31st March,
1936, repaid -            895,000.00
$1,697,000.00
Deduct Unexpended Balance, 30th September, 1936     $936,795.55
Less Unexpended Balance, 31st March, 1936        567,126.52
■         369,669.03
Expenditure as above         $1,327,330.97
UNEMPLOYMENT  RELIEF  FUND   (DOMINION-PROVINCIAL  WORKS
AGREEMENT, 1936).
Expenditure.
Public Works Projects  (section 3)       $44,346.82
Advances to Government Agents to meet Pay-lists, etc., outstanding at 30th September, 1936    348,125.00
$392,471.82
Appropriations.
" Unemployment Relief Act, 1933 "    $200,000.00
Add Temporary Advance by Minister of Finance outstanding at 30th September, 1936     250,000.00
$450,000.00
Deduct Unexpended Balance, 30th September, 1936              57 528.18
Expenditure as above    $392 471.82
* This statement covers only such vouchers as have been received and entered in the books of the Controlling and
Audit Branch at 30th September, 1936.
VICTORIA,   B.C. :
Printed by Chahles F. Banfield, Printer to the King's Most Excellent Majesty.
1936.
265-1036-2935

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