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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1941-1942 PURSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly 1942

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 a m
REPORT
Comptroller-General
OF   THE   PROVINCE   OF
BRITISH  COLUMBIA
1941-1942
PURSUANT TO THE PROVISIONS OF THE "AUDIT ACT,"
CHAPTER 19, R.S.B.C. 1936
PRINTED  BY
AUTHORITY  OF THE  LEGISLATIVE!  ASSEMBLY.
VICTORIA, B.C. :
Printed by Charles F. Banfield, Printer to the King's Most Excellent Majesty.
1941.
a =a  To His Honour William Culham Woodward,
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. 1936.
Respectfully submitted.
Department of Finance,
Victoria, 10th December, 1941.
JOHN HART,
Minister of Finance. Victoria, 10th December, 1941.
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.
1936, 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 1941-42  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  Expenditures for the  First
Seven Months of the Present Fiscal Year, viz., from 1st April to 31st October,
1941 (clause (a) of section 42) :—
(1.)  Revenue.
(2.)  Expenditure (charged to Income).
(3.)  Expenditure (charged to Loans).
(4.)  Unemployment Relief Fund—Appropriations.
(5.)  Unemployment Relief Fund—Expenditure.
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. W 6
COMPTROLLER-GENERAL'S REPORT, 1941^2.
(B.)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED
31st MARCH, 1941.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1940, to 31st March, 1941, and for which Overexpenditure the Sanction of
the Legislative Assembly is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
7
20
25
29
32
33
34
38
39
40
45
53
55
59
63
70
75
91
92
107
121
125
127
129
131
141
146
147
149
150
Public Debt.
Premium and Exchange	
Department of Agriculture.
Horticultural  Branch  	
Farmers' Institutes 	
Department of the Attorney-General,
Attorney-General's Office  	
" Fire Marshal Act "     	
Official Administrator   	
Official Guardian 	
Land Registry Offices 	
Game Branch   	
Administration of Justice 	
Coroners' Inquests and Inquiries 	
Incidentals and Contingencies 	
Department op Education.
Normal Schools _  	
Salary Grants
Conveying Children to Central Schools .
Board of Reference	
Department of Finance.
Minister's Office 	
Agent-General's Office and B.C. House, London,  England  	
Department of Labour.
Industrial Conciliation and Arbitration Branch
Employment  Service  	
Department of Lands.
" Soldiers' Land Act " (chapter 80, 1918)..
Department of Mines.
Oil Exploration in the Peace River Area.
Sampling Plants   	
Department of the Provincial Secretary.
Minister's Office  	
Libraries      	
Civil Service Commission
Collections Office ...
Hospitals
Provincial Board of Health—
Office of the Secretary
Vital Statistics Division	
Division of Tuberculosis Control.
Carried forward	
$220,000.00
53,299.00
6,500.00
13,925.00
10.00
11,510.00
3,189.50
120,184.00
226,366.95
114,150.00
15,000.00
1,000.00
38,627.00
2,393,000.00
120,000.00
550.00
15,400.00
13,050.00
12,280.00
41,220.00
37,500.00
250,000.00
4,000.00
11,770.00
48,860.00
6,155.00
6,055.00
979,805.00
136,998.00
36,615.00
603,160.35
$322,542.16
53,320.89
6,682.37
14,033.04
20,402.66
11,571.39
3,293.22
120,193.12
237,001.40
123,559.47
15,632.69
1,263.38
39,241.88
2,410,652.05
123,295.77
679.51
15,967.76
14,669.12
12,300.79
42,229.35
37,565.88
263,392.10
4,707.33
13,441.56
49,238.47
6,928.85
6,152.52
1,020,776.32
137,093.97
41,760.88
615,350.88
$5,540,179.80
$5,784,940.78
$102,542.16
21.89
182.37
108.04
20,392.66
61.39
103.72
9.12
10,634.45
9,409.47
632.69
263.38
614.88
17,652.05
3,295.77
129.51
567.76
1,619.12
20.79
1,009.35
65.88
13,392.10
707.33
1,671.56
378.47
773.85
97.52
40,971.32
95.97
5,145.88
12,190.53
$244,760.98 COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 7
Unprovided Items in Expenditure for Fiscal Year—Continued.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
$5,540,179.80
12,630.00
1,500.00
$5,784,940.78
13,233.28
1,899.99
$244,760.98
161
Department of Public Works.
603.28
174
Department of Trade and Industry.
399.99
$5,554,309.80
$5,800,074.05
$245,764.25 W 8
COMPTROLLER-GENERAL'S REPORT, 1941-42.
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST 1941-42 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
35
35
38
39
39
39
39
39
39
39
39
39
39
39
39
40
40
71
77
77
78
87
99
99
99
99
99
99
99
99
99
99
99
99
99
99
99
99
99
99
99
103
103
103
103
103
103
104
104
104
104
104
104
104
104
Dec, 1940	
June-July, 1940..
Sept.-Oct., 1939..
Feb., 1940	
Dec, 1940..
King's Printer 	
Department of National Defence .
M. M. Colquhoun  	
Irvin Anderson   	
March, 1941	
Jan., 1941	
Aug., 1940	
Jan., 1941	
Oct., 1940	
Feb., 1940	
Dec, 1940	
Dec, 1940	
July,1940 	
Dec, 1940	
Mar., 1941	
Feb., 1940	
Feb., 1940	
April, 1939-Mar., 1940
Feb.-Mar., 1940	
Jan.-Dec, 1940	
Mar., 1941	
Nov., 1940	
Dec, 1940	
April, 1940-Feb., 1941
Mar., 1939	
Jan.-Feb., 1941	
Feb., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Jan.-Mar., 1941	
Feb., 1941 	
Jan., 1941	
Mar., 1940 	
Feb., 1941	
Nov., 1940	
Feb.-Mar., 1941	
Feb., 1941	
Mar., 1941	
Feb., 1941	
April, 1940	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
May, 1940	
Feb., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941 	
Mar., 1941	
Feb., 1941	
Mar., 1941	
G. A. Begg	
W. Henderson
Dr. E. H. McEwen   ....
H. H. McKenzie, M.D..
H. H. McKenzie, M.D.
H. H. McKenzie, M.D..
H. H. McKenzie, M.D..
Mrs. J. A. McNabb	
R. T. Nelson	
R. J. Patchett, M.D	
Mrs. Athena Reid	
Mrs. P. Samchenko	
Chas. Varney .	
Roy Varney..
M. M. Colquhoun	
A. H. J. Swencisky	
Annals of Collective Economy ...
Hygiene Products, Ltd.	
Postmaster, Stewart, B.C.	
National Cash Register Co.	
C. J. McDowell	
Begg Motor Co., Ltd. —
Canadian Bank of Commerce
C. P. Foster & Co., Ltd	
Sidney S. Girling	
King's Printer 	
King's Printer 	
King's Printer... 	
King's Printer	
King's Printer	
Lemon-Gonnason Co.,
A. W. Mitchell	
F. W. Nolte & Co	
Northern   Hardware
Co., Ltd.
Ltd..
&   Furniture
Rotary Auto Machine Co-
Thomas Shotbolt, Ltd	
D.Shovar	
David Spencer, Ltd	
W.Wilson	
Whitaker & Revercomb, Ltd.-
B.C. Drugs, Ltd...
Begg Motor Co., Ltd  _
Mackenzie, White & Dunsmuir, Ltd...
McLennan, McFeely & Prior	
Northern Electric Co., Ltd 	
Whitaker & Revercomb, Ltd	
Boultbee (Victoria), Ltd.. 	
Brackman-Ker Milling Co	
Canadian Fairbanks-Morse Co __
Columbia Machine Works	
Mrs. H. Deighton	
Imperial Oil, Ltd	
Jeffree & Jeffree, Ltd..
McLennan, McFeely & Prior-
Supplies  _ 	
Cartridges — 	
Professional services
Services,   post-mortem 	
Services,   post-mortem 	
Services,   post-mortem 	
Services, inquest	
Coroner's fee 	
Coroner's fee	
Coroner's fee	
Coroner's fee	
Witness fee, inquiry
Witness fee, inquiry
Services, inquest	
Witness fee, inquiry
Witness fee, inquiry
Witness fee and fare
Witness fee and fare
Professional services
Professional services
Subscription	
Supplies	
Stamps :	
Repairs  	
Travelling expense	
Repairs 	
Exchange	
Supplies	
Repairs to compasses
Supplies 	
Supplies	
Supplies	
Supplies 	
Supplies  	
Lumber  	
Supplies	
Repairs, barometer
Supplies 	
Supplies	
Supplies  	
Supplies	
Supplies  	
Travelling expense	
Supplies	
Supplies	
Repairs  	
Supplies	
Supplies	
Supplies	
Supplies	
Supplies	
Supplies	
Supplies  	
Repairs	
Butter	
Oil	
Supplies. 	
Repairs	
$7.80
538.88
139.30
9.00
3.00
3.00
15.00
10.00
10.00
10.00
10.00
3.00
3.00
6.00
3.00
3.00
7.75
7.75
814.76
8.10
8.00
10.00
5.00
5.20
144.45
9.52
7.41
3.10
8.25
105.05
136.65
89.00
258.29
215.53
38.50
1.25
1.00
.50
1.50
27.40
13.56
.80
4.40
11.07
.98
11.14
.71
.78
1.71
1.28
37.60
21.00
46.61
8.55
6.30
3.92
2.11
8.15 COMPTROLLER-GENERAL'S REPORT,
1941-42.
W 9
Statement of Payments charged against 1941-42 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
104
104
104
104
113
143
143
150
163
163
163
163
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
165
Feb., 1941	
Dec, 1940-Jan., 1941..
Mar., 1941	
Feb., 1941 	
Sept., 1940	
Mar   1941
Pacific Meat Co., Ltd.	
Standard Brands, Ltd. 	
Walls & Bradshaw 	
A. R. Williams Machinery Co	
Supplies	
$36.15
2.64
28.59
352.30
.14
7.00
374.73
10.00
34.10
41.77
3.83
2.00
83.50
10.00
126.60
81.00
80.00
80.00
145.90
3.00
1.00
50.00
387.85
73.50
100.00
80.75
.65
.80
30.00
224.30
31.20
88.25
141.90
218.00
176.80
104.20
99.60
82.00
1.23
1,326.67
10.00
112.00
Supplies ... 	
Repairs	
Supplies	
Allison Drug & Book Co	
Feb., 1940-Mar., 1941.
Feb., 1941
Maintenance of
J. Olin	
Service  ....
Victor X-ray Corporation, Ltd	
Diggon-Hibben, Ltd.   	
McColl-Frontenac Oil Co... 	
McLennan, McFeely & Prior	
Underwood-Elliott-Fisher   	
Fales C. Anderson    •  _.
Feb., 1941 	
Nov., 1940	
Mar., 1941     .    	
Oil    	
Supplies 	
Inspection    of    machines - 	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land  	
Compensation   for
Jan.-Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941 	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941 .... 	
Mar., 1941 	
Mar., 1941	
Mar., 1941 	
Dec, 1940
Archibald Beatty	
Stefonia Brncie    _
Julia A. Burgess  	
Mrs. Molly Chernoff	
Deputy Minister of Finance	
Compensation   for
land	
Compensation   for
land	
Cartage 	
Cartage  	
Colin C. Duff      	
Compensation   for
land	
Compensation   for
land	
Survey	
Compensation   for
land	
Gasoline, Kerosene....
Robert G. Elliott	
A. H. Green Co., Ltd. 	
Nanni A. Heuston  	
Mar., 1941	
Oct., 1940 	
Aug., 1940 	
Dec, 1940. 	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941
Jeifree & Jeffree, Ltd	
Jeffree & Jeffree, Ltd   	
John Koehle  	
Repairs  	
Compensation   for
land	
Compensation   for
land— 	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land — 	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Supplies	
Equipment	
Compensation   for
Robert Lamont 	
Mar., 1941	
Mar., 1941	
A. W. Lymbery	
A. W. Lymbery.. 	
Mar., 1941	
Mar., 1941	
Mar., 1941	
A. W. Lymbery..   	
Mar., 1941	
Feb., 1941	
Mar., 1941	
Mar., 1941  	
Mackenzie, White & Dunsmuir	
Mackenzie, White & Dunsmuir	
Mar., 1941
Martin Miros    	
Compensation   for
land	 W 10
COMPTROLLER-GENERAL'S REPORT, 1941-42.
Statement of Payments charged against 1941-42 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
165
165
165
165
165
165
165
165
165
165
165
165
165
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
167
Statutory
Mar., 1941.
Mar., 1941..
Mar., 1941.
Mar., 1941..
Feb., 1941..
Mar., 1941..
Mar., 1941
Mar., 1941
Mar., 1941..
Mar., 1941..
Mar., 1941..
Mar., 1941..
John Murray .
John Murray .
John Murray .
John Murray .
Nelson Radiator Works 	
Peachey, Ellen H. and John .
Pisacreta, V.  	
Rendle Raymond .__
Harry I. Rogers 	
Clarence Shannon
Soldier Settlement Board .
Ernest J. Van Dulken
Nov., 1940	
Dec, 1940 	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
July, 1940-Mar., 1941
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941.  	
Mar., 1941	
Mar., 1941  	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941  	
Mar., 1941... _ _
Mar., 1941	
Mar., 1941	
Nov., 1940	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Jan., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Mar., 1941	
Sundry persons  	
Canadian General Electric 	
Canadian Ice Machine Co., Ltd	
Canadian Industries, Ltd.  	
Canadian Western Woodworkers, Ltd
Crane, Ltd...
Crane, Ltd.
Corporation of the Village of Creston
W. H. Cunningham & Hill, Ltd	
Cunningham-Trapp, Ltd	
Cunningham-Trapp, Ltd	
Cunningham-Trapp, Ltd 	
Deeks Sand & Gravel Co., Ltd	
Deeks Sand & Gravel Co., Ltd	
Fleck Bros., Ltd  	
General Paint Corporation of Canada, Ltd...
Gilley Bros., Ltd	
Gilley Bros., Ltd 	
Gilley Bros., Ltd	
Gordon & Belyea, Ltd 	
Grinnell Co. of Canada, Ltd.	
Heaps Engineering (1940), Ltd...
Hickman-Tye Hardware Co., Ltd.
A. J. Hurtubise	
Imperial Oil, Ltd... 	
H. J. McCreery   	
Marshall-Wells B.C., Ltd	
C. C. Moore & Co. 	
Harold S. Muckelt  	
Northern Electric Co., Ltd	
Office Specialty Manufacturing Co.
Otis-Fensom Elevator Co., Ltd	
Remington-Rand, Ltd	
E. J. Ryan Construction Co	
Underwood-Elliott-Fisher	
Victoria Book & Stationery	
Willard Equipment, Ltd.	
Mackenzie, White & Dunsmuir .
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Compensation   for
land	
Service and supplies
Compensation   for
land  	
Compensation   for
land   	
Compensation   for
land 	
Compensation   for
land.. 	
Compensation   for
land  	
Compensation   for
land	
Compensation   for
land  	
Pay-list 	
Repairs	
Repairs  „.
Supplies	
Door   and   window
frames	
Supplies 	
Supplies 	
Water service	
Repairs  	
Supplies	
Repairs	
Supplies	
Supplies 	
Supplies	
Repairs 	
Repairs 	
Repairs	
Supplies	
Supplies	
Supplies	
Supplies	
Repairs	
Supplies	
Painting Court-house
Supplies	
Repairs	
Material for fence ...
Repairs	
Bench-grinder	
Repairs	
File	
Automatic elevator.
Machine	
Installation   of
steam-lines   to
barns	
Typewriters	
Filing-cases 	
Power-mower	
Equipment „. 	
$8.40
121.60
300.00
520.00
32.50
40.00
100.00
78.50
50.00
600.00
61.00
100.00
101.60
14.52
85.36
181.00
31.55
124.10
.97
90.00
5.08
103.91
42.38
86.41
405.00
14.40
126.03
1.37
25.50
57.12
937.65
5.39
76.07
119.84
119.98
555.00
615.00
73.50
1,430.98
9.90
57.95
292.41
191.43
3,503.00
14.56
7,060.00
269.82
207.36
762.00
1,406.56 COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 11
Statement of Payments charged against 1941-42 Appropriations—Continued.
Vote
No.
Date of Service.
Particulars.
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
Mar.,
Mar.,
Mar.,
Mar.,
Mar.,
Mar.,
Mar.,
Mar.,
1941
1941
1941
1941
1941
1941
1941
1941
Aug., 1940 .
Mar., 1939
Dec, 1940 .
Mar., 1941
Mar., 1941
Mar., 1941.
Feb., 1941 	
Mar., 1941 .
Feb.-Mar., 1941..
Feb., 1941 	
Nov.
Dec,
Mar.
Feb
Mar.
Jan.,
Jan.-
Jan-
Nov
Jan.
Feb.,
Jan.,
Jan.,
Feb.-
Feb.,
Oct.,
Nov..
Dec,
Jan.,
Feb.,
Mar.
May,
, 1940-Feb., 1941 .
1940-Jan., 1941
, 1941 	
-Mar., 1941	
, 1941 	
1941	
Feb., 1941	
Feb., 1941	
, 1940 	
-Mar., 1941	
1941 	
1941  	
1941	
-Mar., 1941	
1941 	
1940 	
1940 	
1940 	
1941 ...
1941 	
,1941	
1940... 	
Dec, 1940-
Jan., 1941
Feb., 1941..
Finning Tractor & Equipment .
Willard Equipment, Ltd 	
Robert C. Weld...... 	
Robert C. Weld	
Robert C. Weld	
Robert C. Weld 	
Carter's Industrial Towels .
Vancouver School Board _...
Rudd, Mitchell & Co	
Begg Motor Co., Ltd.	
Canadian Liquid Air Co. ..
Vancouver School Board _
Board of School Trustees..
Victoria School Board	
Sundry persons	
Sundry persons	
Dr. W. B. Clarke  	
Courtenay Volunteer Fire Department 	
Dr. J. S. Brown	
Holy Cross Hospital     _
Cunningham Drug Store	
Drs. Borden & Morrison	
Kootenay Lake General Hospital „
Dr. J. F. Sparling	
Dr. R. W. Irving   	
P. B. Willits & Co., Ltd......
Dr. W. H. Mclntyre .
Royal Columbian Hospital..
Dr. A. T. Verchere	
Dr. W. N. Gunning	
Dr. L. S. Chipperfield....
Dr. A. J. Wright.
Royal Columbian Hospital	
Corporation of City of Vancouver ...
Corporation of City of Vancouver-
Corporation of City of Vancouver...
Corporation of City of Vancouver-
Corporation of City of Vancouver....
Corporation of City of Vancouver...
H. G. Coldwell	
Corporation of City of Vancouver-
Corporation of City of Vancouver..,..
Corporation of City of Vancouver	
Equipment	
Equipment	
Magistrate's fee	
Magistrate's fee .	
Magistrate's fee	
Magistrate's fee _
Towel service   ...    ..
Dominion - Provincial Youth Training, operating
cost   . 	
Dominion - Provincial Youth Training, rent 	
Tire cover and repairs   	
Dominion - Provincial Youth Training, supplies	
Dominion - Provincial Youth Training, power charges
Dominion - Provincial Youth Training, operating cost
Dominion - Provincial Youth Training, light and water
" F " Direct Relief ...
" F " Direct Relief ...
" J " Direct Relief ....
" J " Direct Relief....
" J " Direct Relief ....
" J " Direct Relief...
" J " Direct Relief....
" J " Direct Relief ....
" J " Direct Relief ....
" J " Direct Relief ___
" J " Direct Relief ...
" J " Direct Relief....
"J "Direct Relief....
" J " Direct Relief......
" J " Direct Relief ....
" J " Direct Relief ...
" J " Direct Relief....
" J " Direct Relief ....
" J " Direct Relief ...
" U " Unemployables
" U " Unemployables
" U " Unemployables
" U " Unemployables
" U " Unemployables
" U " Unemployables
"W" Provincial Unemployables 	
"W" Provincial Unemployables  	
"W" Provincial Unemployables 	
"W" Provincial Unemployables 	
$2,296.46
10,785.23
2.50
2.50
2.50
2.50
1.00
27.00
40.00
4.50
15.23
71.20
68.88
17.58
124.77
99.75
24.00
4.30
3.00
17.25
3.00
22.50
5.25
35.00
10.00
6.35
1.50
62.25
6.50
8.00
10.00
30 00
6.75"
10.72
10.72
12.96
12.00
12.00
12.00
35.00
16.20
15.00
15.00
$42,898.11 W 12
COMPTROLLER-GENERAL'S REPORT, 1941-42.
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS
OF 1940 AND 1941.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDED 31st MARCH, 1942.
Department of Agriculture.
July  9,  1941
7
Transportation  subsidy on  eggs  exported to  Great
Britain  	
$27,000.00
$26,992.80
Department of the Attorney-General.
June 4, 1941.
June 11, 1941
5
6
To make Winter Garden  Community Hall, Vancouver, available for community purposes	
Expenditure in connection with air-raid precaution
work in various municipalities    „
1,500.00
26,490.00
1,435.48
14,525.00
Department of Education.
Oct. 28, 1941
10
Grant to Prince of Wales Fairbridge Farm School...
Department of Finance.
12,500.00
12,500.00
May 20, 1941
3
Grant to City of Prince Rupert towards cost of expenditures upon streets where Province holds title
45,000.00
45,000.00
Department of Lands.
May 8, 1941
2
Expenditure  for construction  of  dam  at   Campbell
Meadows and other works to make supply of water
available in Okanagan Falls Irrigation District
Department of Mines.
15,000.00
5,771.72
May 20,  1941
4
9
Expenditures re development of gold-bearing mining
properties in Nelson area      	
10,000.00
6,238.93
1,575.62
Oct. 9, 1941
Expenditures  re investigation  and  report  on   steel
6,238.93
Department of the Provincial Secretary.
April 29,  1941....
1
8
Expenses incidental to handling or support of over-
7,500.00
156,500.00
3,456.35
Aug. 5, 1941
Additional special grants to hospitals 	
48,500.00
$307,728.93
$165,995.90 COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 13
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOR THE FIRST SEVEN MONTHS OF
THE PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 31st OCTOBER, 1941.
Estimated for
12 Months
ending 31st
March, 1942.
Service.
Revenue for 7 Months ended
31st October, 1941.
$14,000.00
$16,000.00
65,000.00
50,000.00
5,000.00
250,000.00
3,800,000.00
60,000.00
250,000.00
85,000.00
370,000.00
2,578,000.00
52,000.00
40,000.00
5,000.00
6,500.00
5,500.00
40,000.00
21,000.00
5,000.00
$7,704,000.00
$1,500.00
3,000.00
100.00
$4,600.00
$29,151.06
190,000.00
555,410.40
100,000.00
750,000.00
$1,624,561.46
215,000.00
100,000.00
475,000.00
3,300,000.00
9,500,000.00
19,080.00
300,000.00
1,550,000.00
400,000.00
500,000.00
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    	
Annual Licences,  Motor-vehicles   (except Motorcycles)     	
Annual Licences, Chauffeurs ...
Moving Pictures Act"
" Real-estate Agents' Licensing Act "
" Securities Act "  	
Sheriffs' Fees   	
Trade Licences   	
" Fire Marshal Act "—Fees, etc. 	
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
Amusement-tickets Tax
Coal and Coke Tax	
Fuel-oil Tax 	
Gasoline Tax 	
Income Tax 	
Interest:
" Dyking Assessments Adjustment Act "
Miscellaneous   	
Land Taxes:
Real Property 	
Wild Land, Coal and Timber Lands 	
Mineral  Tax      	
$9,353.43
29,148.35
34,076.57
208,194.07
2,510,435.81
16,777.88
196,778.20
61,553.50
175,734.31
525,760.84
11,084.00
14,863.79
4,861.75
4,193.35
2,988.56
19,847.50
15,395.40
5,676.04
$1,270.00
75.00
$14,575.53
95,000.00
277,705.20
50,000.00
$437,280.73
143,907.99
78,088.70
294,393.79
2,546,212.29
5,543,150.70
155,099.58
1,319,724.77
335,733.33
449,225.60
$12,295.01
3,846,723.35
1,345.00
$17,983,641.46
Carried forward
$11,302,817.48     $3,860,363.36 W 14
COMPTROLLER-GENERAL'S REPORT, 1941-42.
Statement of Revenue for the First Seven Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1942.
Service.
Revenue for 7 Months ended
31st October, 1941.
$17,983,641.46
50,000.00
170,000.00
160,000.00
775,000.00
850,000.00
20,000.00
50,000.00
12,000.00
$20,070,641.46
$110,000.00
$750.00
500.00
$1,250.00
$30,000.
150,000.
80,000.
9,000.
50,000.
460,000
1,775,000
700,000
300,000
8,000
$3,562,000.00
$500.00
$500.00
60,000.00
400.00
120,000.00
$180,900.00
$1,000.00
$10,000.00
35,000.00
15,000.00
500.00
$60,500.00
$140,000.00
Current Account—Continued.
Brought forward
Department of Finance—Continued.
Poll  Tax 	
Probate Fees 	
Races Tax 	
Rural District School Taxes 	
Succession Duties 	
Trust Deposits reverted to Crown 	
Unworked Crown-granted Mineral Claims
Miscellaneous Receipts    	
Department of Fisheries:
Fishing and Canning Licences
Department of Labour:
Elevator Inspection and Examination Fees
Trade-schools Regulation Fees 	
Department of Lands:
Grazing Permits 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 Municipal Affairs:
Miscellaneous  Receipts 	
Department of the Provincial Secretary:
King's Printer  (net profits)  	
Marriage Licences 	
Vital Statistics 	
Miscellaneous Receipts 	
' Public Utilities Act " and
Miscellaneous Receipts .
Motor Carrier Act'
$11,302,817.48     $3,860,363.36
33,785.74
69,473.27
150,396.70
731,815.13
493,098.99
35,173.31
6,381.17
$665.50
47.00
$12
102
93
7,
33
290
1,592
541
292
5
148.95
256.53
,227.59
694.17
,997.07
,764.16
,715.65
,001.84
221.26
560.12
$31.50
35,828.50
339.00
56,302.15
$26,091.00
14,867.41
306.81
12,822,941.79
101,267.00
712.50
2,971,587.34
92,501.15
100.00
41,265.22
37,830.99
Carried forward
$19,928,569.35 COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 15
Statement of Revenue for the First Seven Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1942.
Service.
Revenue for 7 Months ended
31st October, 1941.
$5,000.00
$2,000.00
$31,856,391.46
$1,000.00
100,000.00
$101,000.00
$31,957,391.46
Current Account—Continued.
Brought forward
Department of Public Works:
Miscellaneous Receipts 	
Railway Department:
Inspection Fees ...
Refunds of Expenditure:
Charged to Income ....
Charged to Loans 	
Total Revenue
$19,928,569.35
1,298.83
1,244.24
$19,931,112.42
$152.64
112,755.23
112,907.87
$20,044,020.29 W 16
COMPTROLLER-GENERAL'S REPORT, 1941-42.
(E.)
(2.)
* STATEMENT SHOWING THE EXPENDITURE FOR THE FIRST SEVEN MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL
TO 31st OCTOBER, 1941.
Estimated for
12 Months
ending 31st
March, 1942.
No. of
Vote.
Service.
Expenditure for 7 Months
ended 31st October, 1941.
$6,962,219.04
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
Stat.
Stat.
Stat.
Stat.
Stat.
S.W.No.7
24
25
26
Current Account.
Public Debt:
Interest, Premium, and Exchange   	
Pacific Great Eastern Railway—Interest on
$4,707,836.30
440,392.08
224,052.00
1,610,065.30
224,052.00
527,700.00
$8,621,171.04
$6,982,345.68
$131,810.00
1,053.45
$19,100.00
11,404.77
Department of Agriculture:
$5,858.22
17,701.19
3,211.14
31,352.62
11,539.75
58,349.87
9,376.52
5,100.76
3,590.41
2,161.34
3,110.64
1,327.08
6,350.00
1,500.00
1,500.00
$13,280.00
35,615.00
i
8,325.00
55,079.00
18,990.00
103,745.00
23,630.00
6,500.00
Field Crops and Seed Improvement Branch .
7,612.00
4,780.00
International, National, and Provincial Ex-
6,400.00
8,000.00
10,500.00
1,500.00
1,500.00
1,000.00
Automobiles and Accessories    	
Agricultural Associations and Fairs—Buildings, Grants, etc.      	
Interior Provincial Fair Association 	
Chilliwack Agricultural Association  	
In Aid of Kamloops Bull Sale	
Rebates on Stumping-powder   	
Rodent and Insect Pest Extermination	
12,000.00
1,500.00
850.00
3,353.00
199.48
221.75
5,499.81
101.79
10,000.00
500.00
Agricultural   Investigations   and   Extension
—Expenses        	
1,000.00
14,000.00
6,100.00
1,364.03
27.45
19,324.80
" Natural Products Marketing (B.C.) Act".
Transportation  Subsidy on  Eggs  to  Great
Department of the Attorney-General:
Attorney-General's Office    	
$346,306.00
$7,280.24
18,050.65
13,215.22
198,221.65
$12,985.00
31,162.00
24,493 00
$68,640.00
$38,546.11
$7,193,025.55
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st October, 1941. COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 17
Statement of Expenditure for the First Seven Months of Present Fiscal Year—Cont'd.
$68,640.00
26,285.00
27
20,584.00
28
11,968.00
29
25,193.00
30
11,550.00
31
3,332.00
32
123,209.00
33
66,765.00
34
1,073,000.00
35
225.120.25
36
232,681.20
37
110,000.00
38
15,000.00
39
10,000.00
40
29,900.00
41
1,000.00
42
1,800.00
43
1,500.00
44
Stat.
S.W.No.5
S.W.No.6
$2,057,527.45
$3,270.00
45
29,755.00
46
10.00
47
62,000.00
48
69,905.00
49
60,430.00
50
117,840.00
51
40,697.00
52
46,266.00
53
2,400,000.00
54
250,000.00
55
165,000.00
56
13,000.00
57
5,000.00
58
4,250.00
59
125,000.00
60
9,000.00
61
1,500.00
62
1,750.00
63
550.00
64
63,000.00
65
5,000.00
66
13,900.00
67
4,250.00
68
426,170.00
69
$3,917,543.00
Current Account—Co?itinued.
Brought forward  _.
Department of the Attorney-General—Cont'd.
Securities Branch   	
" Fire Marshal Act " 	
Censor of Moving Pictures
Sheriffs'  Offices   	
Official Administrator 	
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     	
After-care of Youthful Offenders (Salaries
and Expenses)    	
Incidentals and Contingencies   	
" Magistrates Act Amendment Act, 1939 "...
Winter Garden Community Hall, Vancouver
Air-raid Precautions work in various municipalities   	
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 	
Special Salary Grants   	
School Buildings, etc. 	
Education of Soldiers' Dependent Children..
Bursaries—Mothers'  Allowances,  Families „
School  Tests      	
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 	
School Radio Broadcasts 	
Curriculum   Revision   and   Educational   Supervision, etc   	
Incidentals and Contingencies
University of British  Columbia
Carried forward	
$38,546.11     $7,193,025.55
13,080.34
7,535.01
4,800.05
10,505.00
4,863.99
1,369.53
60,319.11
30,593.23
530,926.39
85,254.18
115,092.80
33,804.22
7,243.06
3,187.81
9,225.16
654.50
1,065.00
372.25
1,655.00
1,435.48
10,025.00
$1,257.35
16,334.34
10.00
42,419.18
27,410.14
17,410.75
66,206.85
32,698.73
23,248.80
862,266.81
249,303.82
121,962.41
4,029.75
3,043.75
1,955.19*
41,361.01
8,245.02
1,124.61*
1,850.11
522.36
25,902.15
2,238.13
6,089.13
2,867.14
256,586.70
971,553.22
$1,810,184.63     $8,164,578.77
* Excess of credits over charges to Votes. W 18
COMPTROLLER-GENERAL'S REPORT, 1941-42.
Statement of Expenditure for the First Seven Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1942.
No. of
Vote.
Service.
Expenditure for 7 Months
ended 31st October, 1941.
$3,917,543.00
5,000.00
70
Stat.
Stat.
S.W.
No. 10
71
72
73
74
75
76
77
78
79
80
81
82
83
84
Stat.
Stat.
Stat.
Stat.
Stat.
S.W.No.3
85
86
87
88
89
90
91
92
93
Stat.
Stat.
Current Account—Continued.
$1,810,184.63
$8,164,578.77
Department of Education—Continued.
Special Grant to Victoria College	
" Public  Schools  Act "—Advances  re  Rural
860,000.00
443,065.61
2,063.70
12,500.00
" Abbotsford   School   District   Act   Amendment Act, 1936 " 	
Grant to Fairbridge Farm School   .
Department of Finance:
$4,782,543.00
$8,235.69
19,660.83
12,492.80
50,440.16
70,779.88
11,958.88
314,527.30
33,834.52
524.10
1,169.18
2,267,813.94
$15,580.00
38,350.00
22,550.00
84,250.00
134,192.00
28,650.00
669,524.00
59,800.00
8,000.00
3,000.00
25,000.00
Probate and Succession Duties Branch 	
Agent-General's Office and B.C. House, London, England    	
Government Agents, Assessors, etc.  	
Printing    Public    Accounts,    Revenue    Receipts, Bonds, Cheques, Estimates, etc.....
Interest on Suitors' Funds Deposits   	
Delinquent Extra-municipal School Taxes
13,000.00
800 00
7,185.33
800.00
9,600.00
9,600.00
570,000.00
Grant to the City of Rossland   	
" Municipalities Aid Act "—Share of Motor-
vehicle and Chauffeurs' Licence Fees	
" Civil    Service    Superannuation   Act "   and
" Teachers'   Pensions   Act "—Interest   on
Superannuation   and   Teachers'   Pensions
Funds   	
" Public    Libraries    Act    Amendment    Act,
1935"                                         	
374,000.00
7,000.00
3,609.56
4,413.53
14,682.34
45,000.00
13,700.00
" Coal    and    Petroleum    Products    Control
$2,076,996.00
608,914.10
$21,440.00
11,384.35
Department of Labour:
$8,424.64
47,230.92
4,704.93
4,818.29
1,475.35
3,073.86
9,314.23
25,494.94
683,493.46
5,666.32
$15,250.00
86,570.00
8,605.00
9,310.00
3,025.00
5,620.00
12,500.00
Safety Branch, Lumber Industry 	
Industrial     Conciliation     and     Arbitration
46,070.00
762 758.41
Carried forward    ....
$949,708.41
793,696.94
$11,846,388.10 COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 19
Statement of Expenditure for the First Seven Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1942.
No. of
Vote.
Expenditure for 7 Months
ended 31st October, 1941.
$12,645.00
483,601.67
11,062.50
6,000.00
28,700.00
145,000.00
500,000.00
4,000.00
10,000.00
14,000.00
120,000.00
30,000.00
5,000.00
37,500.00
45,000.00
500.00
500.00
1,000.00
1,275.00
10,000.00
74,250.00
10,000.00
45,000.00
$1,595,034.17
$12,470.00
22,050.00
67,045.00
9,540.00
39,830.00
12,120.00
6,500.00
200,000.00
55,000.00
1,190.00
1,275.00
4,000.00
2,000.00
$433,020.00
Current Account—Continued.
Brought forward	
94
95
96
97
100
101
102
103
104
105
106
107
108
109
110
111
112
113
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
S.W.No.2
114
115
116
117
118
119
120
121
122
123
124
125
Stat.
S.W.No.4
S.W.No.9
Department of Lands:
Minister's Office 	
Salaries   	
Land Settlement Board  	
Temporary Assistance _. 	
War Service, Temporary Assistance  	
Expenses      	
Forest  Protection  Fund   	
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   	
Provincial Parks    	
" Forest Act "—Forest Reserve Account  ....
" Grazing Act "—Grazing Range Improvement Fund     	
" Agricultural Act, 1915" (Land Settlement   Board)
" Land Settlement and Development Act "...
" Doukhobor Lands Acquisition Act, 1939 "..
" Municipal  Act "  	
: Special Surveys Act
Construction of dam at Campbell Meadows,
and other works     _
Department of Mines:
Minister's Office 	
General Office	
Mineralogical   Branch
Assay Branch
Mines Inspection Branch 	
Mine-rescue and Training Stations
Grants     	
Oil Exploration in the Peace River Area _
Grants in Aid of Mining Roads and Trails...
Subsidy re Explosives to assist Bona-fide
Mineral  Prospectors  	
Incidentals, Miscellaneous Grants and Contingencies     	
Sampling Plants 	
" Complex Ore Process Aid Act, 1916 "	
Development of Gold-bearing Mining Properties in Nelson Area     	
Investigation and Report on Steel Production in British Columbia  	
$11,846,388.10
$6,770.01
261,003.49
6,261.66
59.00
6,533.94
78,681.29
375,000.00
4,000.00
1,667.77
7,019.59
58,287.96
9,625.97
5,000.00
20,732.76
15,718.38
392.92
88.32
9,300.63
11,845.74
258,769.80
450.00
5,791.39
3,689.56
34.75
1,826.26
$7,451.44
11,254.50
38,506.71
4,562.99
21,511.96
5,471.10
4,691.46
9,762.50
14,206.59
112.84
2,375.23
1,000.00
853.97
6,238.93
1,148,551.19
Carried forward.
128,000.22
$13,122,939.51 W 20
COMPTROLLER-GENERAL'S REPORT, 1941-42.
Statement of Expenditure for the First Seven Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1942.
No. of
Vote.
Service.
Expenditure for 7 Months
ended 31st October, 1941.
$23,750.00
126
127
128
129
130
131
132
133
134
135
136
137
138
139
Stat.
Stat.
140
141
142
143
144
145
146
147
148
149
150
151
152
153
154
155
156
157
158
159
160
Stat.
Stat.
Stat.
S.W.No.l
S.W.No.8
Stat.
Current Account—Continued.
    $13,122,939.51
..     _            12,584.08
Department of Municipal Affairs _.. 	
Department of the Provincial Secretary:
Minister's Office   	
$7,704.57
9,301.39
25,796.98
5,284.83
9,559.59
21,569.11
10.00
4,118.50
85,000.00
118.05
$11,650.00
17,112.00
50,405.00
12,760.00
16,595.00
32,275.00
10.00
7,645.00
85,000.00
500.00
10,000.00
7,000.00
480,000.00
4,200.00
1,000.00
89,425.00
6,655.00
21,777.04
40,000.00
12,000.00
156,370.00
1,049,700.00
151,295.00
47,675.00
38,610.00
608,271.82
82,576.00
1,176,083.00
29,391.00
76,955.00
50,668.00
53,024.00
10,580.00
18,000.00
44,760.00
13,000.00
830,000.00
Civil Service Commission    .    ..
Administration   of   " Superannuation   Act"
Assessment    on    Class    13     (The    Crown),
" Workmen's Compensation Act "	
Grant to Canteen Fund Trustees   —
5,825.41
147,621.27
2,450.00
" Civil Service Superannuation Act "—Government Contributions to Superannuation
Fund                                                         	
" An Act to provide for the Payment of an
Allowance to  Frederick Arthur Pauline,"
Chap. 49, 1931   --	
Health and Welfare Services:
45,866.02
3,672.01
11,826.96
22,465.86
3,352.23
63,050.51
568,918.28
78,867.01
18,760.00
24,160.53
298,253.96
38,931.16
313,366.00
5,999.08
36,897.57
20,352.93
6,807.95*
3,091.52
7,942.45
32,410.00
6,500.00
450,077.62
37,200.79
22.00
2,426.56
48,500.00
Collections Office    	
In Aid of Destitute Poor and Sick	
Child Welfare Branch   	
Provincial Board of Health:
Division of Tuberculosis Control	
Division  of Venereal  Disease  Control..
Provincial  Mental  Hospitals 	
Provincial Home, Kamloops  	
Provincial  Infirmary,  Marpole  	
Special Health and Welfare Services	
In Aid of Resident Physicians 	
Grants to Charitable Organizations, etc...
"Provincial Elections Act"   	
" Municipal   Superannuation  Act "  	
Expenses  incidental  to  handling  and  sup-
Additional Special Grants to Hospitals	
" Public Utilities Act "                    	
$5,342,967.86
2,460,462.80
..    . .            65,755.57
$120,300.00
    $15,661,741.96
* Excess of c
redits over c
Siarges to Votes. COMPTROLLER-GENERAL'S REPORT, 1941-42.
W 21
Statement of Expenditure for the First Seven Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1942.
No. of
Vote.
Service.
Expenditure for 7 Months
ended 31st October, 1941.
161
162
163
164
165
166
167
168
169
170
171
172
173
174
175
176
177
178
Stat.
Current Account—Continued.
$15,661,741.96
$12,390.00
331,206.00
192,080.00
26,520.00
2,119,570.00
25,000.00
432,670.40
Department of Public Works:
$7,985.92
147,171.37
87,166.87
13,749.40
847,726.45
3,046.00
158,881.16
2,350.00
17,370.25
10,200.00
2,500.00
Maintenance   of   Parliament   Buildings   and
Grounds    	
Roads, Bridges, Ferries, Wharves, etc. 	
Local Highways within Municipal Limits ..
Repairs,    etc.,    to    Government    Buildings
2,350.00
1.00
18,842.00
Steam-boiler Inspection   	
2,500.00
Grant to Dewdney Dyking Commission .   —
$3,163,129.40
1,298,147.42
$20,835.00
11,892.37
Department of Trade and Industry:
$569.79
4,273.20
89,951.07
18,613.59
21,784.74
$1,500.00
7,514.00
146,595.00
41,685.00
B.C. Government Travel Bureau 	
43,525.00
Recoverable Expenditure:
" Soldiers' Land Act "—Houses, South Van-
$240,819.00
$270.00
31,037.15
135,192.39
$29,946,457.33
$17,106,974.14
$750.00
$750.00
31,307.15
$29,947,207.33
$17,138,281.29 W 22
COMPTROLLER-GENERAL'S REPORT, 1941-42.
(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 OCTOBER, 1941.
Authority for Expenditure.
Service.
Expended
for 7 Months
ended 31st
October, 1941.
" B.C. Loan Act, 1936 ":
Roads, Bridges, Ferries, etc. 	
$51,458.73
"B.C. Loan Act, 1939":
904,044.95
" Pacific Great Eastern Construction Loan Act,
1928 "    	
Pacific Great Eastern Railway	
35,000.00
$990,503.68
RECAPITULATION.
Roads, Bridges, Ferries, etc.    -
Pacific Great Eastern Railway
$955,503.68
35,000.00
$990,503.68
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st October, 1941.  W 24 COMPTROLLER-GENERAL'S REPORT, 1941-42.
(E.)
(4.)
UNEMPLOYMENT RELIEF FUND—APPROPRIATIONS AND ADVANCES.
Summary of Transactions for the First Seven Months of the Present Fiscal Year,
viz., from 1st April to 31st October, 1941.
Appropriations from Revenue Surplus  (Appropriation)  Account:
Direct Relief, 1940-41         $2,243,457.64
Works Relief, 1940-41              272,451.87
$2,515,909.51
Advances:
From Minister of Finance:
Direct Relief, 1941-42   $1,500,000.00
Works Agreements, 1941-42         239,211.00
$1,739,211.00
From Dominion Government:
War Emergency Programme   50,000.00
     1,789,211.00
$4,305,120.51
Add:
Unexpended Balances, 31st March, 1941:
Direct Relief         $699,053.09
Works Relief       55,556.69
        754,609.78
Deduct:
Repayment of Advances:
Direct Relief, 1940-41     $2,654,614.91
Works Relief, 1940-41         327,429.90
$5,059,730.29
$2,982,044.81
Works Agreements, 1941-42      21,965.68
$3,004,010.49
Unexpended Balances, 31st October, 1941:
Direct Relief   $794,803.07
Works Agreements        72,165.83
        866,968.90
3,870,979.39
Provincial Government Expenditure from 1st April to 31st October, 1941, per
statement of Unemployment Relief Expenditure  (E) (5)  $1,188,750.90 COMPTROLLER-GENERAL'S REPORT, 1941-42. W 25
(E.)
(5.)
UNEMPLOYMENT RELIEF FUND—EXPENDITURE.*
For the First Seven Months of the Present Fiscal Year, viz., from 1st April to
31st October, 1941.
Direct Relief:
Municipal:
Employables         $345,173.39
Physically Unfit             237,978.28
Provincial:
Employables        $81,323.25
Physically Unfit and Homeless Persons    163,514.24
General Overhead        12,391.86
Supervision         91,825.69
Public Health        54,495.79
Dependents of Internees, etc      6,968.91
$583,151.67
Dominion-Provincial Works Agreements:
Agreement of 30th June, 1939:
Roads to National Parks             $20,205.07
Agreement of 8th July, 1939:
Youth Training, including Aircraft Mechanics and War Emergency
Programme             271,785.10
410,519.74
671.41
$291,990.17
Deduct Contributions received from Dominion Government   96,910.68
195,079.49
Provincial Government Expenditure for the seven months period, 1st April
to 31st October, 1941       $1,188,750.90
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st October, 1941.
VICTORIA, B.C. :
Printed by Charles F. Banfield, Printer to the King's Most Excellent Majesty.
1041.
250-1141-5281   

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