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REPORT OF THE COMPTROLLER-GENERAL OF THE PROVINCE OF BRITISH COLUMBIA 1943-1944 PURSUANT TO THE PROVISIONS… British Columbia. Legislative Assembly [1944]

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 =s
REPORT
OF  THE
COMPTROLLER-G ENER AL
OF THE PROVINCE  OF
BEITISH COLUMBIA
1943-1944
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 Ciiari.ns F. Ban. iri.d, Printer to the King's Most Excellent Majesty.
1944.
&
=[•]  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.
JOHN HART,
Minister of Finance.
Department of Finance,
Victoria, 4th February, 19kh- Victoria, 4th February, 1944.
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 (&) of section 36).
(C.) Statement of Payments charged again 1943-44 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 Nine
Months of the Present Fiscal Year, viz., from 1st April to 31st December, 1943
(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.,
Comptroller-General. COMPTROLLER-GENERAL'S REPORT.
(A.)
TREASURY BOARD OVERRULINGS.
Nil. Y 6
COMPTROLLER-GENERAL'S REPORT, 1943-44.
(B.)
UNPROVIDED ITEMS IN EXPENDITURE FOR FISCAL YEAR ENDED
31st MARCH, 1943.
STATEMENT of Expenditures on Services which have exceeded their Appropriations from
1st April, 1942, to 31st March, 1943, and for which Overexpenditure the Sanction of
Parliament is required.
Vote
No.
Service.
Total
Appropriation.
Total
Expenditure.
Over-
expended.
Public Debt.
1
$285,000.00
$381,978.09
$96,978.09
Department op Agriculture.
9
Live Stock Branch    	
Department of the Attorney-General.
101,745.00
105,065.85
3,320.85
24
13,500.00
13,040.00
98,000.00
15,000.00
2,120.00
13,751.24
13,262.86
108,647.95
17,395.95
2,279.62
251.24
31
222.86
38
10,647.95
39
2,395.95
43
159.62
Department of Education.
59
4,250.00
13,900.00
5,180.58
15,032.32
930.58
67
Curriculum Revision  	
1,132.32
Department of Finance.
76
32,650.00
8,000.00
2,500.00
39,176.52
9,795.02
3,025.67
6,526.52
79
80
Printing Receipts, Bonds, etc  	
Interest on Suitors' Funds 	
1,795.02
525.67
Department of the Provincial Secretary.
126
17,112.00
14,000.00
6,160.00
55,675.00
17,112.99
14,043.12
6,461.54
56,551.29
.99
137
43.12
140
301.54
147
Division of Laboratories    _.
876.29
Department of Public Works.
164
2,366,570.00
2,405,436.67
38,866.67
$3,049,222.00
$3,214,197.28
$164,975.28 COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 7
(C.)
STATEMENT OF PAYMENTS CHARGED AGAINST 1943-44 APPROPRIATIONS
WHICH DID NOT OCCUR WITHIN THE PERIOD OF THE ACCOUNT.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
24
36
36
36
36
36
36
38
38
38
38
39
39
40
40
40
40
40
40
40
40
40
40
40
42
52
8lA
8lA
8lA
8lA
8lA
83
83
83
83
103
103
103
103
103
103
103
103
103
103
103
107
108
108
113
113
142A
Mar., 1943	
Jan.-Mar.. 1943..
Mar., 1943	
Mar., 1943	
The Federationist	
Bralorne Mines, Ltd..
F. H. Brooksbank ......
Dec, 1942..
Feb., 1943	
Feb., 1943	
Mar., 1943	
Jan., 1943	
Mar., 1943	
Mar., 1943	
Jan., 1943	
Mar., 1943	
Sept., 1942	
Mar., 1943 	
Feb.-Mar., 1943.
Feb., 1943	
Feb., 1943	
Jan., 1943	
Feb., 1943	
Mar., 1943	
Feb., 1943	
Jan.-Mar., 1943..
May, 1942	
Mar., 1943	
Jan.-Mar., 1943-
Feb., 1943	
Jan.-Mar., 1943..
Mar., 1943	
Mar., 1943	
Feb.. 1943.—	
Feb.-Mar., 1943..
Canadian National Railways..
Imperial Oil, Ltd 	
Imperial Oil, Ltd	
Penticton Tire Hospital and Garage
Hudson's Bay Co  	
Overwaitea, Ltd _ 	
Hudson's Bay Co.— _ _ 	
J. W. Purdy _
Gordon A. Cameron, barrister ..
W. W. Duncan	
Corporation of City of Duncan..
L. Giroux, M.D	
W. M. Harper   	
E. B. Hollies, M.D 	
E. R. Pickles	
Corporation of City of Prince George
Mrs. K. Ryan  	
J. O. Seely	
N. W. Spinks
Corporation of City of Vancouver .
Corporation of City of Vernon __	
Hudson's Bay Co	
K. B. Woodward  	
R. H. Hassard. 	
R. Monteith .
Peden Bros., Ltd...
G. B. Robinson	
Chas. Waddell.
Wilson & Lenfesty..
July, 1942. 	
Dec, 1942-Jan., 1943
July, 1942 	
Feb., 1943 	
July, 1942	
Feb., 1943 	
Mar., 1943 	
April, 1942	
Oct., 1942	
Mar., 1943	
Mar., 1943 	
Dec, 1942 	
July, 1942	
Sept., 1942	
Mar., 1943	
May, 1942	
Dec, 1941	
Jan., 1943	
June, 1942	
June, 1942	
Jan., 1943	
D. H. Bruce
Canadian Pacific Railway	
Hygiene Products, Ltd	
Postmaster, Nelson  	
The Arrow Lakes News	
M. B aimer   	
Canadian National Railways..
Clarke & Stuart Co., Ltd....	
King's Printer  	
King's Printer	
King's Printer 	
Penticton Herald	
Salmon Arm Observer	
Tergeson Bros	
Vivian Engine Works	
Hickman-Tye Hardware Co...
The Imperial Laundry	
Thos. Plimley, Ltd	
Hickman-Tye Hardware Co..:
Hickman-Tye Hardware Co...
B.C. Telephone Co.... 	
Advertising	
Water rates	
Meals to constables-
Transportation of
constable
Installation of valves
on   oil-burners   on
launch
Stove-oil	
Tires 	
Axe-handle... 	
Wheat	
Supplies - 	
Travelling expenses
Professional services
Towing	
Coroner's inquiry	
Postmortem 	
Inquest	
Inquest	
Inquiry	
Inquest	
Inquest	
Photographs	
Inquiry	
Inquiries	
Inquest	
Cartridges. 	
Pay-list
Commission on licences
Commission on licences
Commission on licences
Commission on licences
Commission on licences
Commission on licences
Travelling expenses
Freight and express
Liquid-soap	
Stamps	
Advertising
Repairs to launch _
Electricity	
Supplies  -
Supplies..
Supplies .
Supplies .
Advertising	
Advertising	
Repairs to truck-
Valves 	
Saw  —
Laundry 	
Gasoline 	
Hardware	
Hardware 	
Tolls	
$21.60
6.00
70.00
3.51
1.50
6.20
55.60
1.00
2.83
35.75
16.50
25.00
6.00
40.00
15.00
91.50
75.00
9.80
50.00
130.93
10.00
10.00
123.00
33.80
2.00
30.00
20.00
8.00
1.25
1.40
34.00
4.35
5.50
2.03
2.80
50.00
1.92
13.00
1.00
10.50
42.35
18.60
201.50
2.40
1.92
20.00
8.46
1.45
2.64
2.40
72.95
80.65
6.79 Y 8
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement op Payments charged against 1943-44 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
142A
Feb.
Mar
Sept
Jan.
Feb.
Mar
Mar
Mar
Mar
July
Feb.
Mar.
Mar.
Feb.
Mar.
Mar.
Feb.
Dec,
Mar.
Aug.
Sept
Aug.
Feb.
June
Mar.
Aug.
Jar
Mar.
Aug.
Dec,
Feb.,
Jan.-
Mar.
Feb.,
Mar.
Sept
Sept
Jan-
Feb.-
Jan.-
Jan.-
Apri
Feb.-
Feb..
Aug.
Jan.,
Mar.
Oct.,
Aug.
Feb.,
Mar.
Mar.
Feb..
Feb.-
Feb.-
Mar.
Feb.-
Feb.-
Jan.-
Sept
Nov.
Mar.
1943
Canadian Bank of Commerce 	
Exchange on cheques
Travelling expenses
Coal
$18.20
22.71
142 b
, 1943
142B
., 1942
C. W. Haas
10.25
142b
1943
1943
King's Printer  	
Stationery... 	
37.10
142b
8.00
142b
,1943
Supplies	
Supplies	
Gasoline 	
11.05
142b
, 1943
36.75
142b
, 1943
2.34
143a
,1943
Brown Bros. & Co., Ltd  	
Ruby McKay  	
2.50
143a
1942-
1943
Mar., 1943...
Travelling expenses
Shoes 	
Travelling expenses
Transportation	
Professional services
Shoe repairs	
Supplies	
School supplies	
Funeral expenses
Funeral expenses ....
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Professional services
Transportation	
Supplies  	
7.80
143b
Basham & Finch   	
C. A. Bellhouse  	
Canadian Pacific Railway	
2.25
143b
143b
143b
,1943
,1943
1943
, 1943
,1943
13.10
8.20
28.00
143b
T- Fisher              	
4.45
143b
18.03
143b
1943
2.93
145
1942
,1943
1942
,1942
-Sept.
1943
-Sept.
,1943
-Sept.
i., 194£
, 1943
1942
Corp. T. D. Brunton _ 	
Thomson Funeral Home	
Dr. J. S.Daly
40.00
145
146
30.00
98.25
149
149
1942
,1942	
Drs. Auld & Robertson	
Drs. Borden & Morrison  	
32.00
25.00
149
Dr. M. C. Bridgman     .           	
6.00
149
Dr. R. B. Brummitt            	
20.00
149
The Burris Clinic 	
Dr. R. H. Campbell      	
25.00
149
1942;
15.00
149
21.00
149
1.25
149
1942
1943
-Mar.,
,1943
1943
1.00
149
149
1943
Corporation of City of Courtenay
Corporation of City of Courtenay
Corporation of City of Courtenay
Corporation of City of Courtenay
Corporation of City of Courtenay
Creston Valley Hospital  	
Currie's Pharmacy	
Currie's Pharmacy.   ..
Social allowances
Social allowances.
Social allowances.
Social allowances
Social allowances
3.68
18.00
149
3.68
149
3.95
149
, 1943
3.95
149
,1942
6.00
149
, 1942
Supplies: 	
Supplies	
Professional services
Social allowances
Social allowances ....
Professional services
Professional services
8.95
149
-Mar.,
-Mar.,
-Mar.,
-Mar.,
,1942
-Mar.,
1943
1943	
19.35
149
1943	
2.00
149
1943	
Corporation of City of Fernie	
Corporation of City of Fernie	
7.29
149
1943
116.00
149
-Mar., 1943
1943	
88.00
149
149
Dr. J. J. Gillis	
Kootenay Drug Co., Ltd.	
Kootenay Lake General Hospital
25.00
1.50
149
149
-Sept.
1943
1942.
Services 	
Supplies	
Supplies _______ _	
Professional services
Professional services
Social allowances
Social allowances ....
Supplies	
74.25
1.37
149
1943
Merritt Drug & Book Store	
Drs. Murray & Campbell  	
Drs. Murray & Campbell 	
Corporation of City of Nanaimo
Corporation of City of Nanaimo.
Neve-Newton Pharmacy, Ltd. 	
Nicola Valley General Hospital	
Corporation   of   District   of   North
Vancouver
Corporation of City of North Vancouver
1.00
149
1942
20.00
149
149
-Sept.
1943
1942	
28.50
6.60
149
149
1943
1943
1943
3.80
.75
149
Services 	
Social allowances
Social allowances .
Transportation	
Professional services
Services	
Supplies 	
Professional services
Social allowances
Social allowances	
37.50
149
149
-Mar.,
-Mar.,
1943
1943	
1943	
9.40
37.90
149
26.30
149
149
149
149
-Mar.,
-Mar.,
Mar.,
, 1942
1943	
1943	
1943	
Drs. Pettman, Alexander, and
Campbell-Brown
Prince Rupert General Hospital	
Scott's Cranbrook Drug and Book Co.
Dr. Ray C. Shaw 	
2.00
32.25
17.65
3.00
149
1942
1943
18.15
149
25.10 COMPTROLLER-GENERAL'S REPORT,
1943-44.
Y 9
Statement op Payments charged against 1943-44 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
Amount.
149
Sept., 1942.      	
Trail-Tadanac Hospital	
C. S. Williams Clinic	
C. S. Williams Clinic	
$3.75
149
149
Mar., 1943.
Services	
Services 	
1.00
15.50
Mar., 1943 	
149
Dec, 1942-Mar., 1943...
City of Vancouver  	
34.08
103
June, 1942
Supplies	
Rental of garage	
17.70
103
Feb.-Mar., 1943	
C. W. McKelvey __ 	
6.00
107
Apr., 1941-Mar., 1943...
The  Proprietors of Timber & Ply
15.01
wood
145
Mar., 1943 	
Corporation of City of Victoria	
Funeral expenses	
50.00
146
Aug., 1942-Mar., 1943-
Dr. J. S. Daly	
Professional services
98.25
151
Mar., 1943 	
American Public Health Association
Subscription 	
22.64
151
151
Dec, 1942 .
C. C. Browne, M.D.
Professional services
Professional services
44.00
493.75
Aug., 1942-Mar., 1943..
Dr. A. W. Holm   	
151
Aug.-Oct., 1942 	
Prince Rupert Fisherman's Co-operative Association
Services 	
37.14
151
Mar., 1943
Dr. K. Pump    __      -   ...
3.00
151
Jan-Dec, 1942	
The University of Chicago Press	
Subscription .	
5.88
153
Oct.-Nov., 1942	
B.C. Telephone Co 	
Exchange service	
1.52
154
Feb., 1943	
Brade Storage and Distributing Co.,
Ltd.
Cartage .	
.85
154
Jan.-Feb., 1943	
Cave & Co., Ltd  	
Supplies 	
17.84
154
Jan.-Feb., 1943	
Clarke & Stuart Co., Ltd	
Supplies 	
17.00
154
Jan.-Feb., 1943	
Ellis & Davison  _  	
10.17
express charges
154
Feb., 1943	
Geo. G. Fleming Co., Ltd 	
Posters	
84.00
154
Feb., 1943 1	
3.50
Ltd.
154
Mar., 1943	
Royal Columbian Hospital	
7.01
154
Dec, 1942-Feb., 1943....
Vancouver General Hospital	
50.02
154
Mar., 1943    	
Vancouver General Hospital 	
Vancouver Pacific Paper Co., Ltd	
13.98
154
Jan., 1943 	
5.06
156 (6)
Mar., 1943	
St. Andrew's Hospital	
Grant — 	
63.75
157 (a)
Mar., 1943	
Dr. G. J. Cameron	
90.00
157 (a)
Dec, 1942-Mar., 1943...
Dr. A. Francis __ _.  	
Professional services
16.00
157 (a)
Mar.,1943	
Drs. Hall & Giovando  	
Professional services
16.00
157 (a)
157 (a)
Jan., 1943	
2.00
Mar., 1943	
12.00
157 (a)
157 (6)
Dec, 1942-Mar., 1943...
6.00
Jan.-Mar., 1943	
Kootenay Lake General Hospital So
Long-distance calls ....
17.05
ciety
157 (6)
Jan.-Mar., 1943 -	
Queen City Motors, Ltd	
Gasoline	
43.66
157 (c)
Oct., 1942-April., 1943-
Burroughs Adding Machine of Canada, Ltd.
Service	
2.35
157 (c)
Dec, 1942-Mar., 1943-
Canadian Liquid Air Co..	
Cylinder demurrage-
13.61
157 (/)
157 (/)
Mar., 1943
The Ash-Temple Co., Ltd. ____    	
8.28
15.30
-
Jan., 1943	
General Films, Ltd  _ 	
157 (/)
Mar., 1943 	
St. Paul's Hospital	
Transportation	
85.50
158 (/)
Mar., 1943
The Hafer Machine Co., Ltd.
Repairs to dental
chair
3.00
158 (/)
Mar., 1943	
W. Harold Moore, M.B.:	
Examinations ...
30.00
158 (/)
Mar., 1943	
Storey & Campbell, Ltd. -
Supplies	
10.40
161
Mar., 1943	
Bowman's Apron & Uniform Co.,Ltd.
Uniforms 	
68.40
165
Mar., 1943	
Addressograph-Multigraph Sales Co.
Repairs to machines-
254.53
165
Feb.-Mar., 1943—	
Burroughs Adding Machine of Canada, Ltd.
Repairs to machines._
1.20
165
Feb., 1943	
Burroughs Adding Machine of Canada, Ltd.
Repairs to machines
2.00
165
Feb., 1943  	
Burroughs Adding Machine of Canada, Ltd.
Repairs to machines
1.35
165
Mar., 1943	
Burroughs Adding Machine of Canada, Ltd.
Repairs to machines
1.20
165
Mar., 1943	
Burroughs Adding Machine of Canada, Ltd.
Repairs to machines
.60
,      165
Mar., 1943 ._	
Canadian Fairbanks-Morse Co., Ltd._
Supplies .
.   .60
165
Aug., 1942  	
Scott & Peden, Ltd	
Supplies —
5.38
• Y 10
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement of Payments charged against 1943-44 Appropriations—Continued.
Vote
No.
Date of Service.
Name.
Particulars.
166
166
167
167
167
167
167
167
167
167
167.
167
167
167
167
167
167
168
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
169
178
Oct., 1942	
Mar., 1943	
Mar., 1943	
Mar., 1943	
Mar., 1943	
Feb., 1942	
Mar., 1943	
Feb., 1943..	
Feb., 1943	
Nov., 1942	
Mar., 1943	
Dec, 1942	
Mar., 1943	
Mar., 1943	
Mar., 1943	
Mar., 1943	
Mar., 1943	
Jan.-Nov., 1942
Jan., 1943	
Jan., 1943	
Jan., 1943	
Jan., 1943	
Feb., 1943	
Feb., 1943..	
Feb., 1943	
Feb., 1943	
Feb., 1943	
Mar., 1943	
Mar., 1943	
Mar., 1943...	
Mar., 1943	
Mar., 1943 	
Feb., 1943	
Feb., 1943	
Mar., 1943	
Aug., 1942 	
Sept., 1942  	
Mar., 1943	
Mar., 1943 	
Mar.. 1943......	
Sept., 1942	
Dec, 1942	
Mar., 1943... 	
Mar., 1943	
June, 1942-Mar., 1943
Mar., 1943	
Mar., 1943	
Mar., 1943... 	
July, 1942	
Scott & Peden, Ltd	
Woodward Stores, Ltd	
Bowes and Herron	
Canadian Pacific Railway	
Canadian Pacific Railway	
A. C. Devine Lumber Co., Ltd	
Deputy Minister of Finance	
Frontier Lumber Co.   „_
Gordon & Belyea, Ltd	
Home Oil Distributors  	
Imperial Oil, Ltd	
Inter-Valley Lumber & Supply Co.—
Mackenzie, White & Dunsmuir	
Martin & Richards	
Rupert Forge	
Rupert Motors	
Stonehouse Motors, Ltd 	
Corporation of District of Glenmore
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Burroughs Adding Machine of Canada, Ltd.
Canadian Sumner Iron Works	
M. W. Colquhoun (in trust) .'.	
N. S. Dalgleish & Sons... 	
N. S. Dalgleish & Sons	
J. L. Gordon  _ 	
Hudson's Bay Co	
Hudson's Bay Co  	
Hudson's Bay Co 	
Kamloops Sash & Door Factory	
W. H. Malkin Co., Ltd	
Northern Electric Co., Ltd	
Northern Electric Co., Ltd 	
Northern Electric Co., Ltd  	
Okanagan Lumber & Supply Co 	
Pendozi Holding Co., Ltd	
Royal Columbian Hospital 	
Salt Spring Lands, Ltd  	
Western Steel Products Corporation
H.M. Stationery Office  _
Supplies 	
Supplies  	
Supplies 	
Services	
Services	
Lumber	
Steel barrels damaged
Timber	
Supplies 	
Supplies	
Deposit steels	
Supplies _ 	
Applicator bar	
Parts  	
Tool repairs 	
Repairs  	
Parts 	
Share  of  work  and
expenses Kelowna-
Vernon Road
Repairs to machines
Repairs to machines
Repairs to machines
Repairs to machines
Repairs to machines..
Repairs to machines
Repairs to machines
Repairs to machines
Inspection of machine
Inspection of machine
Inspection and repairs to machine
Inspection of machine
Repairs	
Rental of property	
Supplies 	
Supplies	
Furniture _
Remaking window
and door curtains
Blinds	
Furniture.____ 	
Supplies 	
Supplies._. 	
Supplies  	
Express	
Repairs	
Supplies 	
Rental of offices	
Rent  	
Rental of offices	
Supplies 	
Journal  	
$11.20
14.18
29.55
4.66
31.57
29.62
128.00
21.50
28.05
18.72
88.00
774.58
260.68
31.00
15.10
11.53
44.21
400.00
.45
.60
2.85
.75
.75
.60
2.25
1.20
.60
.60
,60
.60
234.00
80.00
2.16
7.50
2.50
76.00
42.24
5.63
181.80
4.01
38.63
1.12
1.81
13.70
500.00
25.00
15.00
468.88
7.26 COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 11
Statement of Payments charged against 1943-44 Appropriations—Continued.
Vote
No.
Date of Service.
Particulars.
Amount.
Statutory
Statutory
Statutory
Statutory
Statutory
Nov., 1942-Mar., 1943.
Feb.-Mar., 1943	
Dec, 1942... 	
Jan., 1943	
July, 1942	
J.W.Abbott...
C. S. Kitchen _
C. J. Hallisey..
E. J. Paling.___
Comox Argus Co., Ltd...
Magistrate's fees
Adjudications	
Magistrate's fees
Magistrate's fees
Advertising	
$32.50
40.00
5.00
2.50
1.75
$8,263.21 Y 12
COMPTROLLER-GENERAL'S REPORT, 1943-44.
(D.)
STATEMENT OF SPECIAL WARRANTS ISSUED BETWEEN THE SESSIONS
OF 1943 AND 1944.
Date of
Approval.
No. of
Warrant.
Service.
Amount of
Warrant.
Expenditure.
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDED 31st MARCH, 1943.
Department op Agriculture.
Mar. 30, 1943
13
Grants re Vancouver and Victoria Exhibition Buildings  ___
$7,500.00
$7,500.00
TO MEET EXPENDITURE FOR THE FISCAL
YEAR ENDED 31st MARCH, 1944.
Department op Agriculture.
April 14, 1943
July 27, 1943
Sept. 29, 1943
13   ]
I
Expenditures under Dominion-Provincial Agreement,
dated 20th April, 1943, re recruiting, transporting, and placing labourers on farms within the
1  25,000.00
1  25,000.00
[ 25,000.00
50,000.00
Department of the Attorney-General.
April 10, 1943	
3
6
8
Grant to Civilian Protection Committee
44,717.94
600.00
300 00
44,717.94
600.00
May 25, 1943.. _.
Compensation to G. H. Hallett__ 	
June 17, 1943
Repaying H. Webster bail money destroyed in fire at
Dawson Creek  _
300 00
Department of Lands.
April 12, 1943
1
Completion of dam at Campbell Meadows and construction, etc., of works re Okanagan Falls Irrigation District Water System	
5,000.00
Department of the Provincial Secretary.
May 19, 1943
5
10
12
14
Grant to City of Victoria re auxiliary fire-hall, 461
Superior Street	
1,000.00
10,000.00
7,000.00
6,000.00
1,000.00
10,000.00
6,989.56
4,730.55
June 21, 1943
Grant to City of Victoria towards expenses of Centenary Celebrations 	
Aug. 18, 1943
Oct. 5, 1943
Structural alterations to Vancouver T.B. Unit
Purchase of microfilming machine 	
Department of Public Works.
May 12, 1943
June 5, 1943	
4
7
9
Premium re War Risks Insurance Policy
Compensation to John W. Wise 	
78,173.00
3,350.00
210.85
77,673.00
3,350.00
210 85
June 17, 1943
Payment of damages to C. T. Horrex re snow-plough
accident   _
$238,851.79|$207,071.90
i COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 13
(E.)
(1.)
STATEMENT SHOWING THE REVENUE FOR THE FIRST NINE MONTHS OF
THE PRESENT FISCAL YEAR, VIZ., 1st APRIL TO 31st DECEMBER, 1943.
Estimated for
12 Months
ending 31st
March, 1944.
Service.
Revenue for 9 Months ended
31st December, 1943.
$15,000.00
$15,000.00
30,000.00
55,000.00
5,000.00
180,000.00
3,800,000.00
60,000.00
.   320,000.00
75,000.00
100,000.00
1,900,000.00
25,000.00
25,000.00
4,000.00
4,000.00
5,000.00
30,000.00
25,000.00
5,000.00
$6,663,000.00
$1,600.00
2,000.00
100.00
$3,700.00
$29,151.06
220,000.00
647,362.40
100,000.00
12,048,367.51
$13,044,880.97
250,000.00
150,000.00
500,000.00
3,763,625.95
19,080.00
150,000.00
850,000.00
300,000.00
750,000.00
$19,777,586.92
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..
Subvention in Lieu of Taxes	
Amusement-tickets Tax  — 	
Coal and Coke Tax	
Fuel-oil Tax ..—  .	
Gasoline Tax   —
Interest:
" Dyking Assessments Adjustment Act ".
Miscellaneous    	
Land Taxes:
Real Property  — -	
Wild Land, Coal and Timber Lands	
Mineral Tax      -
$12,043.25
30,415.16
62,220.68
5,035.02
242,140.32
2,760,266.53
26,173.06
315,077.12
62,841.15
157,618.21
526,642.51
18,929.00
27,497.05
4,954.25
3,085.54
4,413.64
18,637.50
8,367.06
9,357.32
$1,995.00
119.20
$14,575.53
110,000.00
327,144.40
50,000.00
9,036,275.64
$9,537,995.57
266,088.79
119,910.27
352,975.35
2,425,392.13
19,083.82
217,033.54
790,999.05
288,017.17
550,186.49
$18,117.10
4,295,714.37
2,114.20
Carried forward .
$14,567,682.18    $4,315,945.67 Y 14
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement of Revenue for the First Nine Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1944.
Service.
Revenue for 9 Months ended
31st December, 1943.
$19,777,586.92
60 000 00
Current Account—Continued.
$14,567,682.18
88,854.83
129,659.41
382,663.84
1,127,129.06
$4,315,945.67
Department of Finance—Continued.
Poll Tax    ...     ....        .....         -—    —„     ...
125,000.00
100,000.00
850 000 00
15,000.00
50 000 00
36,841.31
16,071.71
10,000.00
Department of Fisheries:
Fish-buyers' and Miscellaneous Licences	
Department of Labour:
$20,987,586.92
16,348,902.34
$10,000.00
11,982.50
$880.00
30.00
$750.00
500.00
Trade-schools Regulation Fees    	
Department of Lands:
$1,250.00
$27,052.31
128,293.96
161,112.07
14,359.09
33,479.92
360,611.30
1,500,234.78
933,370.07
344,679.74
9,131.44
910.00
$25,000.00
150,000.00
125,000.00
10,000.00
40,000.00
440,000.00
1,900,000.00
875 000 00
Land Revenue, Sundry  ___   	
Survey Fees and Sale of Maps    _
Timber Leases  	
Timber Licences    _             .
320,000.00
8,000.00
Legislation:
Private Bills Fees     	
Department of Mines:
$3,893,000.00
$259.50
28,579.27
368,50
34,979.11
3,512,324.68
$500.00
$100.00
27,000.00
400 00
75,000.00
Mining Receipts, General      _	
Department of Municipal Affairs:
$102,500.00
64,186.38
$500.00
287.50
Department of the Provincial Secretary:
King's Printer (net profits)  _„_
$2,000.00
45,000.00
Marriage Licences  ._   	
$32,041.50
22,648.63
651.28
25,000.00
Vital Statistics         .
500.00
Miscellaneous    	
" Public Utilities Act " and " Motor Carrier Act ":
$72,5.00.00
55,341.41
$130,000.00
35,948.75
$24,345,829.23 COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 15
Statement of Revenue for the First Nine Months of Present Fiscal Year—Continued.
Estimated for
12 Months
ending 31st
March, 1944.
Service.
Revenue for 9 Months ended
31st December, 1943.
-
Current Account—Continued.
    $24,345,829.23
$5,000.00
Department of Public Works:
Miscellaneous Receipts..   	
Railway Department:
                           360.00
$2,000.00
._                  1,851.20
Refunds of Expenditure:
Charged to Income    _.   	
Charged to Loans. _      	
$31,886,536.92
$24,348,040.43
$1,000.00
100,000.00
$246.03
152,157.20
$101,000.00
152,403.23
$31,987,536.92
$24,500,443.66 Y 16
COMPTROLLER-GENERAL'S REPORT, 1943-44.
(E.)
(2.)
* STATEMENT SHOWING THE EXPENDITURE FOR THE FIRST NINE MONTHS
OF THE PRESENT FISCAL YEAR, VIZ., FROM 1st APRIL
TO 31st DECEMBER, 1943.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
$6,381,570.57
90,938.00
1,581,700.00
$8,054,208.57
$131,810.00
2
$19,500.00
3
180.00
Stat.
$19,680.00
$13,340.00
4
33,975.00
5
6,845.00
6
58,119.00
7
18,170.00
8
105,725.00
9
21,250.00
10
7,560.00
11
6,612.00
12
2,780.00
13
8,520.00
14
8,000.00-
15
10,000.00
•16
1,500.00
17
1,500.00
18
1,000.00
19
9,000.00
20
10,000.00
21
500.00
22
3,000.00
23
25,000.00
24
500.00
Stat.
10,000.00
Stat.
4,120.00
Stat.
Stat.
Stat.
S.W. No. 2
S.W. No. 11
$367,016.00
Current Account.
Public Debt:
Interest, Premium, and Exchange-
Sinking Funds  	
Redemption of Debt 	
Legislation-
Premier's Office:
Salaries and Expenses	
" Civil Service Act," Sec. 35-
Bonus—    	
-Cost-of-living
Department of Agriculture:
Minister's Office  —
General Office	
Markets Branch	
Horticultural Branch	
Plant Pathology, etc	
Live Stock Branch	
Field Crops and Seed Improvement Branch .
Farmers' Institutes   '_	
Women's Institutes  	
International,    National,    and   Provincial
Exhibits	
Soil Survey Branch
Automobiles and Accessories  	
Agricultural    Associations    and    Fairs—
Grants, etc    	
Interior Provincial Fair Association	
Chilliwack Agricultural Association.—	
In Aid of Kamloops Bull Sale  	
Rebates on Stumping-powder	
Subsidies on Agricultural Lime  _	
Rodent and Insect Pest Extermination	
Incidentals and Contingencies _ 	
Agricultural Investigations and Extension
—Expenses  	
" Pound District Act "	
" Grasshopper-control Act "  	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus	
" Natural Products Marketing (B.C.) Act "
" Horned Cattle Purchases Act "	
] Dominion-Provincial Farm Labour Place-
j      ment Agreement	
Carried forward..
$5,045,386.20
90,938.00
1,576,850.00
$14,430.67
230.58
$7,616.77
20,777.34
2,744.12
38,308.04
14,498.08
81,067.99
9,267.61
4,967.25
4,215.06
2,122.98
5,654.95
1,457.50
5,050.00
1,500.00
1,500.00
5,493.00'
2,173.20
240.44
181.20
4,982.70
82.35
5,438.23
5,679.05
26.10
2,900.00
50,000.00
6,713,174.20
3,639.70
14,661.25
277,943.96
$7,009,419.11
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
rind Audit Branch at 31st December, 1943. COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 17
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
$13.
31
23
22.
22
10
25
13
3
131.
71.
1,003.
195
217.
106.
15.
10.
680.00
762.00
755.00
440.00
,224.00
,438.00
408.00
,690.00
.392.00
924.00
005.00
130.00
470.00
735.00
000.00
000.00
000.00
25,000.00
1,000.00
5,000.00
2,500.00
3,500.00
100,590.00
$2,054,643.00
$13,220.00
32,290.00
10.00
62,000.00
64,102.00
57,260.00
127,210.00
41,885.00
49,605.00
2,435,000.00
450,000.00
180,000.00
115,000.00
13,000.00
5,000.00
4,250.00
135,000.00
10,000.00
24,500.00
1,750.00
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41  ,
42
43
44
45
Stat.
Stat.
S.W. No. 3
S.W. No. 8
46
47
48
49
50
51
52
53
54
55
56
57
58
59
60
61
62
63
64
65
Current Account—Continued.
Brought forward 	
Department of the Attorney-General:
Attorney-General's Office 	
General Office  	
Companies Branch  	
Securities Branch   	
" Fire Marshal Act "	
Censor of Moving Pictures 	
Sheriffs' Offices  _r	
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  	
Promotion of Uniformity of Legislation in
Canada
After-care of Youthful Offenders.— _
Incidentals and Contingencies _. _
"Magistrates Act Amendment Act"	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus  	
Civilian Protection Committee 	
Compensation to H. Webster  	
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  	
Grants re " Special Assistance in the Cost
of Education Act " 	
Supplementary Aid re Teachers'  Salaries
in Rural School Districts ___ 	
School Buildings, etc  	
Education of Soldiers' Dependent Children..
Bursaries—Mothers' Allowances Families .
School Tests    	
Conveying Children to Central Schools	
School Libraries    	
Summer Schools and Teachers' Training ...
Official   Trustee,   Community   School   Districts —   	
$10,821.62
23v898.30
16,343.54
13,773.21
16,656.87
7,475.03
17,665.91
10,351.40
2,240.01
92,206.55
45,894.32
657,180.41
138,879.92
144,146.78
85,419.31
13,964.37
2,251.86
11,363.44
693.65
2,741.91
1,311.07
1,970.00
86,674.57
44,717.94
300.00
$9,618.18
22,568.31
10.00
29,832.24
53,942.67
8,704.39
88,824.60
45,615.68
30,869.76
1,455,543.53
448,437.59
179,120.00
45,971.47
8,416.87
6,353.34
79,063.69
6,204.45
13,416.61
2,409.45
$7,009,419.11
1,448,941.99
$3,821,082.00
Carried forward..
1,534,922.83     $8,458,361.10 Y 18
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement of Expenditure for the First Nine Months of Present Fiscal Year;—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
$3,821,082.00
66
67
68
69
70
71
72
73
74
75
76
Stat.
Stat.
Stat.
Stat.
77
78
79
80
81
82
83
84
85
86
87
88
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
89
Stat.
Current Account—Continued.
$2,534,922.83
271.92
26,555.86
4,804.14
10,426.65
34,141.15
5,238.47
7,492.71
4,397.37
355,477.21
5,000.00
12,500.00
208,168.45*
15,173.89
3,546.41
4,108.83
$8,458,361.10
700.00
Department of Education—Continued.
61,300.00
7,500.00
13,640.00
48,685.00
Adult Education   	
9,022.00
13,540.00
Provincial Archives  	
6,000.00
460,164.00
5,000.00
12,500.00
10.00
14,766.00
" Public   Schools   Act":    Advances   (less
receipts) re Rural District School Taxes
" Civil Service Act," Sec. 35—Cost-of-living
" Abbotsford  School District Act Amendment Act, 1936 "     .
" Post-war Rehabilitation Act, 1941-42 "	
Department of Finance:
Minister's Office    	
$4,473,909.00
$2,501.02
24,146.32
14,450.51
79,462.97
41,713.63
24,536 89
353.072.83
41,244.48
1,908.88
684 46
2,815,888.99
$3,320.00
40,790.00
22,460.00
89,840.00
69,070.00
Probate and Succession Duties Branch
Controlling and Audit Branch 	
36,650.00
574,500.00
Agent-General's   Office   and   B.C.   House,
London, England    — _._ .
54,700.00
7,500.00
1,750.00
25,000.00
Postal Branch ._      	
Printing   Public   Accounts,   Revenue   Receipts, Bonds, Cheques, Estimates, etc.	
Interest on Suitors' Funds Deposits	
Delinquent Extra-municipal School Taxes
13,000.00
6,088.66
280,701.25
5,941.18
2,928.34
32,768.29
21,369.39
66.38
570,000.00
" Municipalities   Aid   Act" —  Share   of
Motor-vehicle  and  Chauffeurs'  Licences
Fees       —   — 	
235,000.00
" Civil Service Superannuation Act "—In-
7,000.00
4,700.00
" Coal   and   Petroleum   Products   Control
Board Act, 1937 "....   	
37,500.00
" Civil Service Act," Sec. 35—Cost-of-living
" Municipal Superannuation Act "  -■
" Water Act "   .         	
Department of Fisheries:
Salaries and Expenses —	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus      	
$1,792,780.00
$12,194.10
200.98
933,585.48
$19,910.00
148.00
$20,058.00
12,395.08
$12,220,230.65
* Excess of receipts over advances. COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 19
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
90
91
92
93
94
95
96
97
Stat.
98
99
100
101
102
103
104
105
106
107
108
109
110
110A
111
112
113
114
115
116
117
Stat.
Stat.
Stat.
Stat.
Stat.
118
119
120
Current Account—Continued.
$12,220,230.65
$13,030.00
76,265.00
9,550.00
9,040.00
3,085.00
Department of Labour:
$9,370.01
48,530.17
6,629.59
5,903.68
1,575.59
4,309.58
11,540.83
36,283.82
3,982.47
General Office      	
5,680.00
17,690.00
Safety Branch, Lumber Industry 	
Industrial   Conciliation   and   Arbitration
60,000.00
Youth    Training    and    War    Emergency
4,120.00
" Civil Service Act," Sec. 35—Cost-of-living
Department of Lands:
Minister's Office  	
$198,460.00
$8,169.40
358,370.31
15,439.21
2,305.04
24,453.11
85,566.74
375,000.00
4,000.00
4,046.08
7,314.99
21,374.84
15,885.34
5,897.95
9,096.78
5,000.00
37,669.04
25,323.56
128,125.74
$12,645.00
465,034.00
20,590.00
6,000.00
30,000.00
190,000.00
Land Settlement Board    	
Temporary Assistance   	
War Service, Temporary Assistance	
Expenses:    Administration,   Maintenance
500 000 00
Forest Protection Fund .	
4,000.00
8,500.00
12,000.00
100,000.00
20,000.00
15,000.00
50,000.00
Grant to Canadian Forestry Association —
Reconnaissance and Cruising.. 	
Forest Research   	
Water Surveys _   	
Hydro-electric   and   Rural   Electrification
5,000.00
42,500.00
40,000 00
" Soldiers' Land Act "  (Chap. 80, 1918)
500.00
Refund of Stumpage deposited with Dominion   Government   by   Homesteaders,
500.00
Refunds under " Land Act" and " Revenue
Act"       	
473.18
815.05
2,499.86
1,000.00
2,500.00
83,250.00
8,333.00
Incidentals and Contingencies.— 	
" Forest Act "—Forest Reserve Account...
" Grazing Act "—Grazing Range Improve-
9,660.36
31,001.17
350.00
2,567.72
74,187.00
" Civil Service Act," Sec'35—Cost-of-living
" Land Settlement and Development Act "
" Doukhobor Lands Acquisition Act, 1939 "
Department of Mines:
$1,691,539.00
$8,155.97
14,572.77
43,341.37
1,052,279.73
$11,980.00
21,860.00
60,865.00
$94,705.00
$66,070.11
$13,400,636.12 Y 20
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
$94,705.00
17,280.00
39,530.00
14,170.00
10,600.00
50,000.00
900.00
25,000.00
2,000.00
2,375.00
121
122
123
124
125
126
127
128
Stat.
$256,560.00
$24,470.00
129
600.00
Stat
$25,070.00
$4,730.00
130
34,032.00
131
40,365.00
132
39,735.00
133
10.00
134
8,000.00
135
115,000.00
136
7,200.00
137
10,000.00
138
8,500.00
139
460,000.00
140
10,000.00
141
4,200.00
Stat
259,360.00
142
186,000.00
143
6.060.00
144
9,000.00
145
1,500.00
146
2,500.00
147
40,000.00
148
1,700,000.00
149
821,182.00
150
174,230.00
151
60,095.00
152
50,935.00
153
82,716.00
154
Current Account—Continued.
Brought forward 	
Department of Mines—Continued.
Assay Branch   	
Mines Inspection Branch 	
Mine-rescue and Training Stations 	
Grants..         _
Grants in Aid of Mining Roads and Trails
Subsidy re Explosives to assist  bona-fide
Mineral Prospectors   	
Grub-staking and Aid to Prospectors	
Incidentals and Contingencies	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus    	
Department of Municipal Affairs:
Salaries and Expenses  __ __	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus     	
Department of the Provincial Secretary:
Minister's Office      	
General Office  	
Civil Service Commission	
Administration of " Superannuation Act "
and " Teachers' Pensions Act "   _.
King's Printer       	
Government House	
Assessment    on    Class    13    (The    Crown)
" Workmen's Compensation Act "	
Civil Service Schedule Bond   	
Grant to Canteen Fund Trustees	
Contingencies       	
" Civil Service Superannuation Act"—
Government Contributions to Superannuation Fund     _.
Grant, " Health Insurance Act "
" An Act to provide for the Payment of
an Allowance to Frederick Arthur Pauline," Chap. 49, 1931 	
Social Assistance Branch:
Administration —   __	
Child Welfare Division  —_ 	
Collections Office    —
Burial of Indigents
' Residence and Responsibility Act "	
Welfare Visitor for the Deaf	
Grants to Charitable Associations, etc.._
Social Allowances, Medical Services, etc.
(including grants)    	
Old-age Pensioners' War Cost-of-living
Bonus     	
Provincial Board of Health:
Office of the Secretary	
Division of Laboratories	
Vital Statistics Division ....
Division of Venereal Disease Control.
$66,070.11   $13,400,636.12
11,663/68
25,346.81
6,631.35
10,000.00
16,240.74
94.37
17,637.81
18.59
2,611.13
$17,907.39
682.01
$2,588.74
21,488.17
18,562.68
29,355.51
10.00
5,423.67
110,000.00
6,912.76
5,000.00
5,307.82
236,701.17
7,000.00
3,150.00
149,450.68
92,910.46
4,469.28
3,941.81
987.80
28,560.00
721,884.14
621,000.00
125,995.28
40,415.41
36,429.80
38,277.31
156,314.59
18,589.40
$4,135,350.00
Carried forward .
1,315,822.49   $13,575,540.11 COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 21
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
$4,135,350.00
155
156
157
158
159
160
161
162
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
Stat.
S.W. No. 5
S.W. No. 10
S.W. No. 12
S.W. No. 14
Stat.
Stat.
163
164
165
166
167
168
169
170
171
172
173
Stat.
S.W. No. 4
S.W. No. 7
S.W. No. 9
Current Account—Continued.
$2,315,822.49
12,069.47
869,128.97
451,781.05
678,374.16
13,743.42
54,755.04
61,677.15
6,455.83
2,571.35
437,750.00
1,539,208.64
126,258.81
8,122.36
196.50
587.58
1,000.00
10,000.00
6,989.56
4,730.55
$13,575,540.11
25,000.00
1,214,880.00
674,046.00
1,327,678.00
Department  of  the  Provincial   Secretary—
Continued.
In Aid of Resident Physicians	
Institutions, Hospitals, etc.:
Hospitals—Administration and Grants ..
Division of Tuberculosis Control	
30,784.00
83,727.00
Provincial Home, Kamloops	
93,952.00
49,905.00
Home for the Aged  	
1,000.00
625,000.00
754,907.00
160,440.00
" Public Inquiries Act "—    	
" Mothers' Allowances Act "   _	
" Old-age Pension Act "._.   	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus        	
" Provincial Elections Act ". 	
City of Victoria re Auxiliary fire-hall
City of Victoria re Centenary Celebrations
Structural Alterations to Vancouver T.B.
Unit   	
-
" Public Utilities Act " and " Motor Carrier
Act":
$9,176,669.00
$73,692.04
2,716.23
6,601,222.93
$120,000.00
" Civil Service Act," Sec. 35—Cost-of-living
Bonus     	
Department of Public Works:
$120,000.00
$8,850.28
204,824.54
121,006.99
16,242.48
1,193,235.16
6,288.87
234,710.87
1,350.00
28,500.00
12,900.00
2,500.00
54,704.74
77,673.00
3,350.00
210.85
76,408.27
$12,390.00
330,213.00
188,040.00
27,300.00
2,144,570.00
30,000 00
400,010.00
Administration     	
Maintenance of Parliament Buildings and
Grounds   ...      , 	
Government House (Maintenance)	
Roads, Bridges, Ferries, Wharves, etc.   _
Local Highways within Municipal Limits
Maintenance and Repairs to  Government
1 350 00
1 00
17,722.00
2,500.00
65,050.00
Electrical Energy Inspection	
Grant to Dewdney Dyking Commission   —
" Civil Service Act," Sec. 35—Cost-of-living
Premiums re War Risk Insurance 	
Compensation to John W. Wise	
Compensation to C. T. Horrex 	
$3,219,146.00
1,966,347.78
$22,219,519.09 Y 22
COMPTROLLER-GENERAL'S REPORT, 1943-44.
Statement of Expenditure for the First Nine Months of Present Fiscal Year—Cont'd.
Estimated for
12 Months
ending 31st
March, 1944.
No. of
Vote.
Service.
Expenditure for 9 Months
ended 31st December, 1943.
174
Stat.
175
176
177
178
179
Stat.
180
Stat.
Current Account—Continued.
..   $22,219,519.09
$20,840.00
Railway Department:
$14,881.29
173.00
" Civil Service Act," Sec. 35—Cost-of-living
199.24
Department of Trade and Industry:
Minister's Office  _.
$21,013.00
15,080.53
$1,500.00
7,514.00
$1,155.56
5,299.85
71,000.00
41,595.00
44,885.00
2,640.00
B.C. Government Travel Bureau . 	
Bureau of Economics and Statistics 	
Bureau of Trade Extension   	
" Civil Service Act," Sec. 35—Cost-of-living
Bonus    	
Recoverable Expenditure:
" Soldiers' Land Act "—Houses, South Van-
30,424.89
19,502.55
19,695.55
3,010.49
$169,134.00
79,088.89
$750.00
$277.49
" Fraser  Valley  Fibre  Flax  Co-operative
Association Loan Act, 1943 "  	
46,153.54
$750.00
46,431.03
$31,792,445.57
$22,360,119.54 COMPTROLLER-GENERAL'S REPORT, 1943-44.
Y 23
(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, 1943.
Authority for Expenditure.
Service.
Expended
for 9 Months
ended 31st
December,
1943.
"B.C. Loan Act, 1935":
$303,448.54
"B.C. Loan Act, 1936":
1,873.15
"B.C. Loan Act, 1939":
Section 6    „	
Roads, Bridges, Ferries, etc 	
i
90,755.73
$396,077.42
RECAPITULATION.
Roads, Bridges, Ferries, etc.-
$396,077.42
* This statement covers only such vouchers as have been received and entered in the books of the Controlling
and Audit Branch at 31st December, 1943.
VICTORIA,  B.C. :
Printed Ity Charles F. Banfiem), Printer to Hie King's Most Excellent Majesty.
1944.
'.■150-144-7709 

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