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PUBLIC ACCOUNTS FISCAL YEAR ENDED MARCH 31, 1953 PERIOD FROM APRIL 1, 1952, TO MARCH 31, 1953 British Columbia. Legislative Assembly [1954]

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 PROVINCE OF BRITISH COLUMBIA
PUBLIC ACCOUNTS
FISCAL YEAR ENDED MARCH 31, 1953
PERIOD FROM APRIL 1, 1952, TO MARCH 31, 1953
VICTORIA, B.C.
Printed by Don McDiarmid, Printer to the Queen's Most Excellent Majesty.
1953 .
I
- To Colonel the Honourable Clarence Wallace, C.B.E.,
Lieutenant-Governor of the Province of British Columbia.
May it please Your Honour :
The undersigned has the honour to present the Public Accounts of the Province of
British Columbia for the fiscal year ended March 31, 1953.
E. M. GUNDERSON, C.A.,
Minister of Finance.
Department of Finance,
Victoria, B.C., September 30, 1953. Victoria, B.C.,
September 30, 1953.
The Honourable E. M. Gunderson, C.A.,
Minister of Finance.
Sir,—I have the honour to submit herewith the Public Accounts of the Province of
British Columbia for the fiscal year ended March 31, 1953.
Respectfully submitted.
C. J. FERBER, C.A.,
Comptroller-General. PUBLIC ACCOUNTS, 1952-53
DD 5
Order of Public Accounts
.
Main Statements: PageRef. No.
Balance-sheet as at March 31, 1953         DD 6, 7
Revenue and Expenditure (Current Account, Summary by Departments) for the
Fiscal Year Ended March 31, 1953  DD 8, 9
Cash Receipts and Payments (Consolidated Revenue Fund) for the Fiscal Year
Ended March 31, 1953      DD 10, 11
Source and Application of Funds for the Fiscal Year Ended March 31, 1953  DD 12
Revenue and Expenditure (Current, Capital, Revenue Surplus Appropriation
Accounts, and Special Project Funds Consolidation) Showing Revenue by
Source and Expenditure by Function for the Fiscal Year Ended March 31, 1953     DD 14-17
Supplementary Statements:
Details of Assets, Liabilities, Surplus, and Revenue Surplus Appropriation Accounts     DD 19-27
Details of Revenue         DD 29-31
Details of Appropriation and Expenditure.
Details of Expenditure:
Current Account	
DD 33-54
EE 1-315
Capital Account   EE 316-346
  EE 347-356
Revenue Surplus Appropriation Account.
Special Project Funds:
Equipment Fund
Farmers' Land-clearing Assistance Fund .
Forest Development Fund  —	
Forest Protection Fund   	
Forest Reserve Account 	
Fund for the Promotion of Education in Respect of the Proper Use of Alcohol.
Game Conservation Fund   _  	
Grazing Range Improvement Fund .
Highway Development Fund 	
Hospital Construction Fund 	
Hospital Insurance Fund 	
Housing Act Fund   	
Scaling Fund
Silviculture Fund  _ — _ 	
Social Security Fund   _ 	
Southern Okanagan Lands Project Fund	
University Endowment Lands Administration.
EE308
EE13
EE205
EE195
EE203
EE69
EE47
EE210
EE97
EE97
EE100
EE97
EE206
EE208
EE95
EE194
EE193
Financial Statements of Boards, Commissions, and Government Enterprises Not
Otherwise Shown in the Public Accounts:
British Columbia Liquor Control Board    	
British Columbia Power Commission  	
Land Settlement Board         	
Pacific Great Eastern Railway Company  	
Workmen's Compensation Board    _   	
Securities Deposited with the Government Pursuant to Various Acts .
Index to Details of Revenue and Expenditure	
EE 358-361
EE 362, 363
EE 364,365
EE 366,367
EE 368-370
EE371
EE 373-385 DD 6 PUBLIC ACCOUNTS, 1952-53
PROVINCE OF
BALANCE-SHEET
ASSETS
Page
Ref. No. 1953 1952
General:
DD19      Cash on Hand and in Banks  _  $21,888,137.14 $34,300,041.64
DD19      Investments   39,620,271.52 35,523,411.52
DD19      Accounts and Taxes Receivable  3,797,581.82 3,291,835.49
DD20      Loans and Advances  201,249,263.15 191,229,445.41
DD 20      Agreements of Sale, Mortgages Receivable, and Properties Held for Sale  2,602,348.43 2,539,802.21
DD20      Materials and Supplies on Hand    183,838.01 182,581.86
DD20      Deferred Charges—Discount on Debentures  2,052,885.12 2,257,862.36
DD21       Advances to Special Project Funds  8,275,620.00 7,598,155.11
DD21       Fixed Assets  .  210,319,741.69 189,479,206.36
Superannuation and Retirement Funds:
DD21      Cash in Banks         1,991,153.80 1,460,381.03
DD21       Investments          31,011,835.64        27,692,161.00
Trust:   ,
DD22      Miscellaneous Cash and Investments         6,585,264.33 7,971,617.99
$529,577,940.65    $503,526,501.98 PUBLIC ACCOUNTS,  1952-53
DD 7
BRITISH COLUMBIA
AS AT MARCH 31,  1953
LIABILITIES
Page
Ref. No.
General:
DD 22      Bonded Debt .	
DD 23 Less Sinking Funds
DD 23      Treasury Bills—Government of Canada, long-term serial
Treasury Bills—temporary financing .	
Trust Deposits 	
Accounts Payable 	
DD24
DD24
DD24
DD24
DD25
DD25
DD25
Accrued Expenditure—interest on public debt
Special Project Funds—unexpended balances _
Reserves for Losses on Realization of Assets ....
Deferred Revenue 	
Excess of Assets over Liabilities and Reserves.
1953
$235,527,500.00
58,243,990.36
$177,283,509.64
21,580,697.85
10,952,544.30
20,723,280.28
2,372,273.27
11,983,025.93
69,981,607.73
6,533,608.76
168,579,139.12
1952
$245,265,500.00
48,200,350.51
$197,065,149.49
22,288,379.52
3,100,259.20
9,564,855.06
18,961,618.95
2,457,504.66
12,292,148.92
65,941,251.66
330,368.94
134,400,805.56
Superannuation and Retirement Funds:
DD 27      Civil Service Superannuation Fund       29,506,088.97        26,368,813.47
DD 27       Retirement Fund          3,496,900.47 2,783,728.56
Trust:
DD 27       Miscellaneous Trust Deposits
.
'
6,585,264.33 7,971,617.99
$529,577,940.65    $503,526,501.98
DD27   Contingent Liabilities (Net)      $33,837,855.80      $26,997,229.15
Loans and Advances are carried at book value as the amount of ultimate
realization cannot be determined at this date.
In my opinion the Balance-sheet is properly drawn up so as to show the true
financial position of the Province of British Columbia at March 31, 1953, and is in
accordance with the books of the Province.
C. J. FERBER, C.A.,
Comptroller-General. DD 8 PUBLIC ACCOUNTS,  1952-53
PROVINCE OF
SUMMARY OF REVENUE AND
FOR THE FISCAL YEAR
REVENUE
Revenue Applied
Gross              against Expenditure Net
$1,380,814.24    $1,380,814.24 —
120.00     — $120.00
159,197.45   129,054.99 30,142.46
34,314,557.19    70,976.19 34,243,581.00
666,662.38         662,104.67 4,557.71
103,504,765.03         113,446.61 103,391,318.42
20,218.25              — 20,218.25
3,902,664.35      3,800,651.11 102,013.24
9,607.14             8,111.14 1,496.00
22,103,380.44         108,682.02 21,994,698.42
213,810.90             1,768.37 212,042.53
5,474.81              1,106.16 4,368.65
2,070,846.58       1,935,181.32 135,665.26
503,095.11              — 503,095.11
Page
Ref. No.
EE1
Public Debt	
DD30
Legislation	
Premier's Office	
DD29
Department of Agriculture	
DD29
Department of the Attorney-General
DD29
Department of Education . 	
DD29
Department of Finance  	
DD30
Department of Fisheries     	
DD30
Department of Health and Welfare...
DD30
Department of Labour ...
DD30
Department of Lands and Forests
DD30
Department of Mines	
DD30
Department of Municipal Affairs
DD30
Department of the Provincial Secrc-
DD31
" Public Utilities Act" and " Motor
Carrier Act"	
DD31 Department of Public Works  731,733.98 722,877.17 8,856.81
DD31 Railway Department  4,363.59 — 4,363.59
DD31 Department of Trade and Industry..... 27,744.34 24,858.34 2,886.00
DD31 Refunds of Expenditure  1,106,112.90 — 1,106,112.90
*$170,725,168.68    $8,959,632.33    $161,765,536.35
$161,765,536.35
* Exclusive of Capital Account, Revenue Surplus Appropriation Account,
and Special Funds.   Complete consolidation shown on pages DD 14-17. PUBLIC ACCOUNTS,  1952-53
BRITISH COLUMBIA
EXPENDITURE BY DEPARTMENTS*
ENDED MARCH 31, 1953
EXPENDITURE
Page Revenue Deducted
Ref. No.                                                                                                       Gross from Expenditure
EEl     Public Debt      $28,175,404.95 $1,380,814.24
EE2     Legislation             207,526.37 —
EE3     Premier's Office               30,079.97 —
EE3-14     Department of Agriculture          1,162,304.79 129,054.99
EE 14-47     Department of the Attorney-General          5,739,396.02 70,976.19
EE 48-70     Department of Education        21,377,816.52 662,104.67
EE 70-97     Department of Finance        24,022,582.61 113,446.61
EE98     Department of Fisheries               38,020.33 —
EE 98-156     Department of Health and Welfare...       33,842,226.59 3,800,651.11
EE 157-161     Department of Labour             507,959.66 8,111.14
EE 161-210     Department of Lands and Forests          9,738,506.98 108,682.02
EE 211-214     Department of Mines             754,542.34 1,768.37
EE 214-216     Department of Municipal Affairs              190,511.18 1,106.16
EE 217-243     Department of the Provincial Secretary         12,956,453.02 1,935,181.32
EE 243,244     " public Utilities Act " and " Motor
Carrier Act"             318,262.94 —
ee 245-310     Department of Public Works         16,097,106.71 722,877.17
EE310     Railway Department               60,555.80 —
EE 311-314     Department of Trade and Industry.....            641,286.88 24,858.34
EE315     Capital Expenditure Out of Revenue           6,500,000.00 —
*$162,360,543.66 $8,959,632.33
Excess of Revenue over Expenditure for the fiscal year ended March 31,
1953, carried to Revenue Surplus Appropriation Account (page DD 26)
DD 9
Net
$26,794,590.71
207,526.37
30,079.97
1,033,249.80
5,668,419.83
20,715,711.85
23,909,136.00
38,020.33
30,041,575.48
499,848.52
9,629,824.96
752,773.97
189,405.02
11,021,271.70
318,262.94
15,374,229.54
60,555.80
616,428.54
6,500,000.00
$153,400,911.33
8,364,625.02
$161,765,536.35 DD  10
PUBLIC ACCOUNTS,  1952-53
PROVINCE OF
CONSOLIDATED
Statement of Receipts and Payments
NET RECEIPTS
Page
Ref. No.
Current Account     Capital Account
Total
DD 8    Revenue   as   scheduled   departmentally   in
Statement of Revenue and Expenditure $161,765,536.35
$161,765,536.35
Deduct items included but not represented
by cash received:
Accounts and taxes receivable  195,533.52
Accrued interest   85,231.39
Current Revenue Receipts  $161,484,771.44
280,764.91
— $161,484,771.44
Sales of Provincial Bond Issues	
Sales of Treasury Bills	
Repayment of Loans and Advances
$22,884,500.00
280,698.23
22,884,500.00
280,698.23
Special Project Funds:
Receipts
Province of B.C. contributions  (charged
in Revenue and Expenditure Account)
Trust Deposits 	
19,490,800.29
19,977,497.97
1,387,689.24
39,468,298.26
1,387,689.24
Other Receipts:
Gain on sale of Current Account investments 	
Government of Canada—deferred revenue
portion of Tax Rental Agreement	
Reduction in materials and supplies	
Miscellaneous non-revenue liabilities 	
38,909.50
6,104,422.40
58,651.77
391,274.22
6,593,257.89
$209,214,715.06 $22,884,500.00 $232,099,215.06
Cash on Hand and in Banks at Beginning of
Period, April 1, 1952      25,631,769.62      8,668,272.02
34,300,041.64
$234,846,484.68 $31,552,772.02 $266,399,256.70
J PUBLIC ACCOUNTS,  1952-53
DD 11
BRITISH COLUMBIA
REVENUE FUND
for the Fiscal Year Ended March 31, 1953
:'
Page
Ref. No.
DD9
NET PAYMENTS
'
■
Current Account     Capital Account
Total
Expenditure as scheduled departmentally in
Statements of Revenue and Expenditure *$153,400,911.33
— $153,400,911.33
Deduct items included but not represented
by cash payments:   Accounts payable 1,999,799.94 — 1,999,799.94
Current Expenditure Payments      $151,401,111.39
4,096,860.00 —
Increase in Investments  ..
DD26        Revenue Surplus Appropriation Account ...      119,636,449.21
Special Project Funds 	
EE316       Capital Account 	
$151,401,111.39
4,096,860.00
19,636,449.21
39,966,101.86 39,966,101.86
— $28,778,117.57      28,778,117.57
Other Payments:
Special balances paid into sinking funds 287,895.82
Miscellaneous non-revenue liabilities  341,517.01
3,066.70
632,479.53
U
-
I
$215,729,935.29 $28,781,184.27 $244,511,119.56
DD 19        Cash on Hand and in Banks at End of
Period, March 31, 1953            19,116,549.39      2,771,587.75      21,888,137.14
$234,846,484.68 $31,552,772.02 $266,399,256.70
* Includes redemption of balance of all current Treasury bills  $15,059,500.00 (pageEE2)
Includes payments into sinking funds -      7,541,678.93 (page EE 2)
Includes redemption of debentures  _ _      4,738,000.00 (pageEE2)
t Includes redemption of Treasury bills.
10,925,259.20 (page DD 26) DD  12 PUBLIC ACCOUNTS, 1952-53
PROVINCE OF BRITISH COLUMBIA
STATEMENT OF SOURCE AND APPLICATION OF FUNDS
FOR THE FISCAL YEAR ENDED MARCH 31,  1953
SOURCE OF NEW FUNDS:
Provided by the excess of revenue over expenditure for the year ended
March 31, 1953 (page DD 9)  *$8,364,625.02
Deduct non-cash items credited:   Debt interest  85,231.39
      $8,279,393.63
money borrowed under various Loan Acts:
Treasury bills _. _      22,884,500.00
repayment of loans and advances   _ _  280,698.23
reduction in materials and supplies on hand     58,651.77
gain on sale of Current Account investments   38,909.50
Government of Canada—deferred revenue portion of Tax Rental Agreement   _ Jl          6,104,422.40
APPLICATION OF FUNDS:
Applied to Capital Expenditure (page EE 316)     _. $28,778,117.57
„          expenditure under Revenue Surplus Appropriation Acts (page DD 26)     tl9,636,449.21
„         miscellaneous        3,066.70
FUNDS APPLIED IN EXCESS OF FUNDS RECEIVED, accounted for
by a decrease in current position as shown below:
(a) Current Account   $4,874,373.68
(6) Capital Account      5,896,684.27
$37,646,575.53    $48,417,633.48
10,771,057.95
$48,417,633.48    $48,417,633.48
STATEMENT SHOWING CHANGES IN CURRENT ASSETS
AND LIABILITIES
CURRENT ASSETS:                                                                         1953                     1952 Differences
Cash - -..    $21,888,137.14    $34,300,041.64  $12,411,904.50
Investments    _      39,620,271.52     35,523,411.52 $4,096,860.00   _.	
Accounts receivable  _ _..._         3,797,581.82        3,291,835.49 505,746.33    	
Non-cash  adjustments _  310,212.81
Advances to Special Project Funds   _       8,275,620.00       7,598,155.11 677,464.89    	
Non-cash  adjustments         46,215.72 535,000.00
CURRENT LIABILITIES:
Trust  deposits  _ _.       10,952,544.30       9,564,855.06  1,387,689.24
Accounts payable        20,723,280.28      18,961,618.95      1,761,661.33
Special Project Funds—unexpended balances       11,983,025.93      12,292,148.92 309,122.99   	
$5,635,409.93    $16,406,467.88
NET DECREASE IN CURRENT POSITION, to account for funds applied in excess
of funds received as shown above -        10,771,057.95
$16,406,467.88    $16,406,467.88
♦Includes redemption of balance of all current Treasury bills   $15,059,500.00 (page EE2)
Includes payments into sinking funds         7,541,678.93 (page EE2)
Includes redemption of debentures.. ._ - '--.     4,738,000.00 (page EE2)
flncludes redemption of Treasury bills       10,925,259.20 (page DD 26) ■
c
-
- DD  14                                              PUBLIC ACCOUNTS, 1952-53
PROVINCE OF
STATEMENT OF REVENUE BY SOURCE
REVENUE BY SOURCE 1951 1952 1953
Taxes:
Property      _   $3,745,598.76 $4,137,760.91 $4,082,887.60
Sales:
Amusements and admissions   2,535,041.07 2,803,954.45 3,135,586.41
Social security and municipal aid     28,843,604.40 31,462,240.01 34,279,238.90
Motor-fuel and fuel-oil   _ _   13,782,597.26 15,082,133.55 16,682,782.43
Mining tax    - _   1,273,496.28 1,372,399.78 2,126,384.22
Sundry         _ 107,146.39 95,008.07 60,938.60
Federal Tax Rental Agreement    27,861,892.03 t35,604,444.42 140,094,987.71
Privileges, Licences, and Permits:
Liquor control and regulation   271,515.81 278,453.36 283,307.46
Motor-vehicle licences and permits    9,331,013.48 9,699,414.55 10,184,190.69
Natural resources:
Fish and game     796,247.32 905,166.49 921,991.55
Lands and forests     11,079,828.37 15,392,296.87 18,961,880.44
Minerals      222,642.28 273,860.88 2,515,585.60
Water resources       626,190.73 622,356.03 704,584.41
Other     - -   1,278,844.69 1,504,832.06 1,542,231.69
Sales and Services:
Bridge and ferry tolls __   -   1,115,544.02 1,111,292.44 422,538.80
Sundry _ -   _ 4,358,412.58 4,756,679.23 5,640,836.82
Fines and Penalties    „   230,835.63 298,416.22 348,790.00
Interest, Discount, Premium, and Exchange  1,410,771.74 1,438,592.00 2,401,924.28
Contributions from Other Governments:
Grants-in-aid and shared-cost contributions    16,275,876.74 15,744,492.98 8,979,731.77
Subsidies       1,003,439.86 1,281,319.06 1,281,319.06
Percentage of power corporation tax   990,717.07 1,004,513.00 1,099,003.00
Contributions from Government Enterprises:
Net profit, Liquor Control Board _   18,517,694.86 19,596,723.10 20,480,632.14
Other   _ - -     85,463.38 34,253.86 133,587.00
Miscellaneous :
Hospital insurance premiums _     11,439,378.32 15,302,705.79 14,882,288.84
Other       406,035.34 364,464.37 558,727.54
Non-revenue Receipts:
Refund of previous years' expenditure     5,000.00 3,000.00 79,782.09
Repayment of advances   - 548,989.30 827,799.98 993,833.14
Sundry     -  39,430.07 40,193.18 24,396.70
Carried forward ._       $158,183,247.78    $181,038,766.64    $192,903,968.89
* Consolidation of Current, Capital,  Revenue Surplus Appropriation Accounts, and
Special Funds on a gross functional basis by fiscal years.
t Includes $5,070,609.32 previously received and carried in Deferred Revenue Account.
{ Excludes $6,104,422.40 now received and placed to Deferred Revenue Account. PUBLIC ACCOUNTS,  1952-53
DD 15
BRITISH COLUMBIA
AND EXPENDITURE BY FUNCTION*
EXPENDITURE BY FUNCTION
General Government:
Administrative:
General    _ -	
Employees' benefits   _ 	
Construction and maintenance of public buildings-
Legislative :
Elections    	
Legislative Assembly and Government House 	
Research, planning, and statistics _	
Other   	
Protection of Persons and Property:
Law enforcement    	
Corrections:
Juvenile delinquents _ _ 	
Other offenders   	
Police protection  	
Registration, regulation, inspection, trusteeship
Transportation and Communications:
Highways, roads, and bridges 	
Railways     	
Waterways, ferries, docks, and wharves
Health and Social Welfare:
Health:
Administration	
Public health 	
Medical, dental, and allied services .
Hospital care:
General administration  	
Provincial Mental Hospitals 	
Provincial Tuberculosis Hospitals - -
Payments for services and grants-in-aid
Provincial Infirmaries 	
Social welfare:
Aid to aged persons
Aid to blind persons
Social assistance 	
Mothers' allowances
Child welfare 	
Labour relations, industrial conciliation and arbitration-
General administration   	
Recreational and Cultural Services:
Archives, art galleries, museum, and libraries .
Parks, beaches, and other recreational areas .
Physical culture   _ 	
Other    	
1951 1952
$2,924,739.95
1,592,150.39
2,136,931.47
50,584.58
256,013.02
142,889.22
669,485.58
369,257.62
920,244.30
2,404,060.07
1,938,159.95
26,759,050.01
39,575.57
1,180,505.32
483,790.28
2,179,081.84
1,459,833.23
2,188,599.76
6,431,769.15
3,132,092.21
17,266,275.19
622,430.79
18,036,636.98
398,773.64
4,693,819.06
396,549.75
897,088.03
433,737.58
942,231.97
255,728.34
351,333.79
121,600.80
12,778.72
$3,414,182.79
1,502,004.06
2,526,646.50
261,213.17
374,141.89
171,305.24
35,351.90
811,508.35
457,189.90
1,180,181.27
697,759.38
2,313,381.54
26,867,248.05
43,262.34
957,490.08
485,078.87
2,511,059.11
1,622,390.35
2,009,701.22
8,502,198.52
4,383,060.16
19,085,231.61
666,855.85
16,197,365.52
401,451.18
5,293,990.47
415,420.62
1,150,389.49
462,718.04
1,251,549.79
353,952.00
632,623.46
131,713.82
17,734.22
1953
$3,872,669.38
1,947,649.30
1,760,496.41
787,500.22
303,632.90
182,519.03
10,000.00
852,236.59
571,034.30
1,490,711.04
791,124.94
2,308,986.21
34,451,852.23
60,555.80
1,107,454.27
546,351.16
2,669,795.11
1,761,859.13
1,898,776.83
9,098,394.32
4,389,030.94
23,535,113.54
691,691.12
8,774,585.61
323,356.88
4,579,516.23
411,453.11
1,219,387.69
419,874.57
1,204,218.44
Carried forward
407,286.80
1,149,907.99
145,315.66
42,124.02
$101,687,798.16    $107,187,350.76    $113,766,461.77 DD 16
PUBLIC ACCOUNTS, 1952-53
STATEMENT OF REVENUE BY SOURCE AND
REVENUE BY SOURCE
Brought forward .
1951 1952 1953
$158,183,247.78   $181,038,766.64   $192,903,968.89
TOTAL GROSS REVENUE BY SOURCE..
$158,183,247.78    $181,038,766.64   $192,903,968.89
RECONCILIATION:
Expenditure from Revenue Surplus Appropriation Account-
Expenditure from Capital Account (borrowed funds)	
4,853,423.25
32,991,669.35
.    ,      	
1,331,406.55        19,636,449.21
47,473,497.91        28,778,117.57
Special Project Funds (including Hospital Insurance Fund):
Expenditures in excess of revenue and Government contributions  .     i	
497,803.60
$196,028,340.38 $229,843,671.10 $241,816,339.27 PUBLIC ACCOUNTS, 1952-53
EXPENDITURE BY FUNCTION—Continued
DD 17
EXPENDITURE BY FUNCTION
Brought forward	
1951
1952
1953
Education:
Schools operated by local authorities:
Grants, construction and equipment
Grants, operating schools	
Aids and services  	
Universities, colleges, and Normal Schools
Education of the handicapped  	
Superannuation and pensions  	
General administration   	
$101,687,798.16    $107,187,350.76    $113,766,461.77
7,504,548.91
11,397,131.10
1,051,908.37
4,471,354.32
404,591.60
1,297,889.29
180,505.42
7,498,538.93
12,344,563.64
1,292,516.78
3,255,342.20
370,697.50
1,510,135.24
242,147.82
6,500,000.00
14,407,682.69
1,648,852.90
3,247,465.53
285,909.58
1,537,196.69
174,562.61
Natural Resources and Primary Industries:
Fish and game   _ -
Forests .    	
Lands—settlement and agriculture 	
Minerals and mines   	
Water resources  -	
Other   	
721,819.99
5,808,636.23
2,532,432.02
669,917.95
284,300.64
82,081.16
850,134.12
8,576,348.29
2,710,656.71
976,345.53
418,024.95
133,838.02
900,346.18
9,565,370.08
3,166,109.78
817,342.62
967,378.96
6,145.41
Trade and Industrial Development
Local Government Planning and Development .
510,512.05
75,382.79
560,529.85
77,350.43
544,662.89
104,521.51
Debt Charges:
Bank charges and commission 	
Debenture discount amortized	
Debt retirement   	
Interest:
Bonded debt and Treasury bills
Other	
395,019.22
246,006.19
19,759,541.14
6,821,442.31
720,881.20
251,649.79
213,707.17
18,099,338.05
7,931,908.76
727,915.53
19,633.17
204,977.24
44,448,010.47
8,655,167.42
825,508.41
Contributions to Other Governments:
Municipal   share,   social   security   and   municipal   aid   tax   and
motor-vehicle revenue   	
Other  -	
11,662,427.91        12,656,715.61
13,836,745.80
53,894.30
Contributions to Government Enterprises:
Advance to Pacific Great Eastern Railway
Advance to B.C. Power Commission 	
Other Expenditure:
Civil Defence	
Housing -	
University Endowment Lands
Flood Relief  	
Sundry   	
Non-expense and Surplus Payments:    Advances..
7,370,000.00
60,000.00
5,752.84
9,664.50
181,565.73
386,925.28
157,491.23
399,806.85
7,100,000.00
9,832,540.25
76,430.70
53,848.64
390,049.30
103,449.44
31,981.68
2,085,425.33
5,397,000.00
236,498.33
117,233.84
324,031.82
17,467.70
114,050.86
1,561,485.69
TOTAL GROSS EXPENDITURE BY FUNCTION
$186,857,334.40    $207,559,481.02    $233,451,714.25
RECONCILIATION:
Revenue over expenditure, Current Account
Special Project Funds (including Hospital Insurance Fund):
Revenue and Government contributions in excess of expenditures  — ~   	
7,950,096.96   20,098,155.06
1,220,909.02   2,186,035.02
8,364,625.02
$196,028,340.38 $229,843,671.10 $241,816,339.27 '. .
- PUBLIC ACCOUNTS,  1952-53
DD 19
.,-. ■,'.-
PROVINCE OF BRITISH COLUMBIA
z
* - .   . .:
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31, 1953
■    . .     ■
ASSETS
Cash on Hand and in Banks:
Cash on hand ....
Cash in chartered banks in Canada
-
$7,248.95
18,970,830.47
Cash in chartered bank in Canada (loan funds) ._. ..._' :.      2,771,587.75
Cash in banks in England (converted at $2.75 per £)  : L _■ .-.  ■     138,469.97
$21,888,137.14
Investments:
" Revenue Act," sec. 9
$39,220,334.02
Government of Canada bonds
Par Value
$38,275,000.00
Canadian National Railways (Government of Canada guaranty)       1,000,000.00
: Supreme Court Act "	
Government of Canada bonds
Canadian National Railways (Government of Canada guaranty)
:
■A
$350,000.00
50,000.00
399,937.50
$39,620,271.52
Accounts and Taxes Receivable:
Government of Canada:
Shared cost agreements 	
Deposit re postal meter 	
Other Provinces:
Old-age assistance	
■
British Columbia municipalities:
Medical services —  	
"Other:
Property taxes   —__...
Grazing fees  	
Probate and succession duties
....   Timber royalty and stumpage .
Sundry   ._
* Not taken into revenue until received.
Record purposes only.
$338,877.72
625.00
10,990.56
  43,160.86
791,981.48
43,808.13
5,899.44
2,558,483.21
3,755.42
$3,797,581.82 DD 20
PUBLIC ACCOUNTS, 1952-53
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1953—Continued
ASSETS—Continued
Loans and Advances :
British Columbia municipalities:
Municipal works (unemployment relief)
Municipal Superannuation Fund  _.
Dyking districts and hospitals:
Various dyking districts 	
Various irrigation districts
Various hospitals	
Boards, Commissions, etc.:
British Columbia Power Commission .
Land Settlement Board 	
Liquor Control Board 	
Pacific Great Eastern Railway 	
Other:
Queen's Printer Operating Account 	
Text-book Branch Operating Account 	
University Endowment Lands Administration Account
Miscellaneous    	
$127,692.66
37,067.16
683,598.20
130,864.70
2,654,781.94
29,902,983.28
5,273,235.49
5,985,182.75
152,720,338.22
487,003.40
713,624.08
2,184,937.34
347,953.93
Note.—The balance-sheet carries the qualification that the above
assets are carried at book value as the amount of ultimate realization cannot be determined at this date.
$201,249,263.15
Agreements of Sale, Mortgages Receivable, and Properties Held for Sale:
" Soldiers' Land Act, 1918 ":                                                                              Receivables Property               Total
South Vancouver houses _         $4,429.23 $1,415.87            $5,845.10
Southern Okanagan project  _          32,746.78 1,922,794.87        1,955,541.65
General land sales        640,961.68 —                    640,961.68
$678,137.69* $1,924,210.74
* Not taken into revenue until received.
Record purposes only.
$2,602,348.43
Materials and Supplies on Hand:
Purchasing Commission:
Langford warehouse 	
Gaol and Game Branch supplies
Sundry   	
Note.—No record is made on the books of the Province of
materials and supplies other than bulk purchases made under sec.
14, " Purchasing Commission Act," as above.
$134,666.10
49,002.95
168.96
$183,838.01
Deferred Charges :
Discount on debentures
$2,052,885.12 PUBLIC ACCOUNTS, 1952-53
DD 21
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31, 1953—Continued
ASSETS—Continued
Advances to Special Project Funds:
Conservation Fund (" Water Act," R.S.B.C. 1936)  	
Equipment Fund ("B.C. Loan Act, 1943," etc.)  _..	
Farmers' Land-clearing Assistance Fund (" Farmers' Land-clearing Assistance Act ")
Forest Development Fund (" Forest Act Amendment Act, 1948 ")  _ 	
Forest Protection Fund (" Forest Act," R.S.B.C. 1948) _	
Hospital Insurance Stabilization Fund (" Hospital Insurance Act, 1948 ")  	
Industrial Development Fund (" Department of Industries Act ")	
$1,152,642.10
4,000,971.00
450,000.00
265,000.00
188,680.61
2,000,000.00
218,326.29
Note.—The above advances are represented as follows:—
Accounts receivable ....      $1,199,002.42
Road and land-clearing machinery _ _ 2,297,164.80
Forest development roads      230,741.13
Land and buildings ....      43,652.15
Unexpended balances (see Liability Section)   _   2,316,378.89
Inter-fund indebtedness  2,188,680.61
Fixed Assets:
•Highways
Bridges   ..
Wharves   .
Ferries  ....
Buildings and furnishings ...
Songhees Reserve, Victoria
* Placed on the books March 31, 1926, by order of the Treasury
Board, based on mileage classification and average value determined
by the Department of Public Works, plus additions to date.
$8,275,620.00
Gross Depreciation Net
$162,939,749.51 — $162,939,749.51
29,037,461.79 $11,104,882.01      17,932,579.78
203,250.60
3,390,815.73
38,625,750.21
773,690.08
203,240.60
699,281.64
12,643,571.98
10.00
2,691,534.09
25,982,178.23
773,690.08
$234,970,717.92 $24,650,976.23
$210,319,741.69
Superannuation and Retirement Funds:
Superannuation Fund:
Cash in chartered banks in Canada .
Investments—Bonds and debentures .
Government of Canada —	
Province of British Columbia  _	
British Columbia Power Commission  (Province of British Columbia  guaranty)   	
Vancouver and Districts Joint Sewerage and Drainage Board (Province of
British Columbia guaranty)   	
British Columbia municipalities   	
Par Value
$2,301,000.00
23.304,000.00
2,703,000.00
50,000.00
310,331.63
Retirement Fund:
Cash in chartered banks in Canada .
Investments—Bonds and debentures
Government of Canada  —
Canadian National Railways (Government of Canada guaranty)
Province of British Columbia	
British Columbia Power Commission   (Province of British Columbia guaranty) - _	
Par Value
$1,100,000.00
530,000.00
1,452,000.00
170,500.00
$1,636,395.92
27,869,693.05
354,757.88
3,142,142.59
$33,002,989.44 DD 22
PUBLIC ACCOUNTS,  1952-53
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1953—Continued
ASSETS—Continued
Trust:
Cash in chartered banks in Canada
Investments in direct or guaranteed obligations of the Government of Canada or the Provinces	
Note.—The above section is grouped for convenience. Each
individual trust is kept as a separate entity for administration
purposes.
■        ' ' -
$2,479,608.21
4,105,656.12
$6,585,264.33
LIABILITIES
Bonded Debt:
Debentures:
Loan Act, 1921 (2nd Sess.), AVi per cent, due June 29, 1953-56
1921           „         5        „        „        April 25, 1954 _..
1922, 41/2 per cent, due Nov.    1, 1957 —
Sept. 25, 1957.....
Nov.    1, 1957	
Sept. 25, 1957	
Nov.    1, 1957...
1, 1957	
25, 1957.....
1, 1957.....
1, 1953 ....
1, 1953...
15, 1966....
1, 1971„
26, 1972....
Dec.
Sept.
Nov.
Oct.
Sept.
Apr.
Oct.
Sept.
1923, 41/2
1924, 41/2
1925, 4V2
1925, 41/2
1927, 4
1927, 41/2
1927, 41/2
1927, 4'/2
1933,5
1943, 23/4
1943, 234
1943,234
1946,23/4 „ „ July 20, 1966....
1946,2% „ „ Oct. 1,1971...
1946,23/4 „ „ Feb. 1, 1967....
1946,234 „ „ May 15, 1967...
1946,234 „ „ July 2, 1968...
1946,2?4 „ „ Sept. 26, 1972...
1946,3 „        „      July     2, 1968...
1949,3 „        „      July     1, 1964...
" University Loan Act, 1920
41/2 per cent, due Sept. 25, 1957.....	
" Revenue Act," R.S.B.C. 1924:
4 per cent, due May 15, 1953-61	
4V4 per cent, due June 29, 1953-56	
4Vi per cent, due Oct. 1, 1953 	
4'/2 per cent, due Jan. 23, 1969	
4V4 per cent, due Apr. 2, 1955 ...	
AlA per cent, due Apr. 1, 1953-61	
5 per cent, due Apr. 25, 1954	
5 per cent, due Sept. 24, 1959 	
5 per cent, due Sept. 1, 1953	
5 per cent, due Nov. 20, 1954	
" Revenue Act," R.S.B.C. 1936:
4 per cent, due Aug. 15, 1965	
3>/2 per cent, due June 1, 1953-62	
3V4 per cent, due July 15, 1962 	
2'/2-3 per cent, due Feb. 1, 1954-60—
21/4-23/4 per cent, due Oct. 15, 1953-66
23/4 per cent, due Nov. 15, 1966 	
2?4 per cent, due Mar. 15, 1972__	
23/4 per cent, due Oct. 15, 1972
23/4 per cent, due Nov. 1, 1972
23/4 per cent, due June 15, 1956—
3 per cent, due Aug.  10, 1970 —
3 per cent, due Aug. 10, 1973	
3 per cent, due Nov. 15, 1973...	
3 per cent, due Feb. 1, 1974	
'Revenue Act," R.S.B.C. 1948:
3 per cent, due June 15, 1964	
3 per cent, due Dec. 15, 1969	
2V4 per cent, due June 30, 1954....
3 per cent, due June 15, 1968...	
3 per cent, due Aug. 15, 1955	
3 per cent, due Aug.  15,  1956	
3 per cent, due Aug. 15, 1957	
3 per cent, due Feb. 15, 1954-57..
Carried forward. ._ 	
$120,i
100,1
188,'
705
332,-
275,'
60,
1,000.
1,770.
110,'
2,000,
1,000,
3,000.
500.
500.
250.
500
500,
500.
500.
500,
500.
1,000.
.000.00
000.00
000.00
,000.00
,000.00
000.00
000.00
,000.00
,000.00
,000.00
,000.00
,000.00
000.00
000.00
000.00
,000.00
,000.00
,000.00
000.00
,000.00
.000.00
000.00
000.00
250,000.00
1,530.
600.
4,000.
6,417.
3,203.
1,095.
9,956,
3,036,
2,000.
500,
1,000,
6,000.
636,
1,589,
2,800,
4,210.
1,500.
4,000,
4,045,
5,000,
1,750,
2,000,
5,000,
1,000.
11,000.
18,000.
1,000.
14,000.
6,000,
1,500.
1,500,
6,000.
,000.00
000.00
,000.00
.000.00
000.00
000.00
000.00
500.00
000.00
000.00
000.00
000.00
000.00
000.00
,000.00
,000.00
,000.00
.000.00
,000.00
,000.00
,000.00
,000.00
,000.00
.000.00
.000.00
,000.00
,000.00
,000.00
,000.00
,000.00
,000.00
,000.00
$148,027,500.00 _^_-^_
PROVINCE OF BRITISH COLUMBIA
f Statement of Registered Stock, Debentures, and Treasury Bills Outstanding and Unpaid as at March 31st, 1953, in Order of Maturity
Maturity
Date of Issue
Rate
%
Nature
Series
Amount
Outstanding
Sterling
Value
Interest
Payable
Place and Manner of Payment
Term,
Years
Denominations
Authority
June 29,1953-56
Feb. 15,1954-57
Feb. 1,1954-60
June 15,1953-60
June 15,1953-60
April 1,1953-61
May 15,1953-61
June 1,1953-62
Oct. 15, 1953-66
Sept.
Sept.
Oct.
Oct.
April
April
April
April
April
June-
Nov.
April
Aug.
June
Aug.
May
Aug.
Sept.
Sept.
Sept.
Sept.
Sept.
Nov.
Nov.
Nov.
Nov.
Dec.
April
Sept.
Dec.
Dec.
July
1, 1953
1, 1953
1, 1953
1. 1953
25, 1954
25, 1954
25, 1954
25, 1954
25,1954
30, 1954
20,1954
2, 1955
15, 1955
15, 1956
15, 1956
1, 1957-67
15, 1957
25, 1957
25, 1957
25, 1957
25, 1957
25, 1957
1, 1957
1,1957
1, 1957
1, 1957
1, 1957
1,1959
24, 1959
15,1960
15, 1960
15, 1962
\
June 15, 1964
June 15, 1964
July  1, 1964
Aug. 15, lyto
April 15, 1966
July 20, 1966
Nov. 15, 1966
Jan. 15, 1967
Feb. 1, 1967
May 15, 1967
June 15,1968
June 15,1968
ll§| 15> 1968
June 15,1968
July
July
Jan.
Dec.
Dec.
July
Aug.
Oct.
Oct.
Mar.
Sept.
Sept.
Oct.
Nov.
Aug.
Nov,
Nov,
Feb.
2,1968
2,1968
23, 1969
15, 1969
15, 1969
31, 1970
10, 1970
1,1971
1,1971
15, 1972
26, 1972
26, 1972
15, 1972
1, 1972
10, 1973
15,1973
15, 1973
1,1974
Aug. 15, 1976
Feb. 15,1977
July
July
1,1977
1, 1977
June 29, 1926
Feb. 15,1952
Feb. 1,1945
June 15,1950
June 15,1950
April 1, 1931
May 15, 1931
June 1,1942
Oct. 15, 1946
Sept. 1,
Sept. 1,
Oct.  1,
Oct.  1,
April 25
April 25
April 25
April 25
April 25
June 30
Nov. 20"
April 2
Aug. 15
June 15
Aug. 15
May  1
Aug. 15
Sept. 25
Sept. 25
Sept. 25
Sept. 25
Sept. 25
Nov.
Nov.
Nov.
Nov.
Dec.
April
Sept. 24
Dec. 15
Dec. 15
July 15
June 15
June 15
July  1
1933
1933
1928
1928
1929
1929
1929
1929
1929
1950
1934
1930
1951
1948
1951
1932
1951
1927
1927
1927
1927
1927
1927
1927
1927
1927
1927
1939
1929
1945
1945
1942
1949
1949
1949
Aug. 15, 1940
April 15, 1946
July 20, 1946
Nov.
Jan.
Feb.
May
June
June
June
15, 1946
15, 1947
1, 1947
15, 1947
15,1947
15, 1947
15,1950
June 15,1950
July
July
Jan.
Dec.
Dec.
July
Aug.
Oct.
Oct.
Mar.
Sept.
Sept.
Oct.
Nov.
Aug.
Nov.
Nov.
Feb.
2, 1947
2, 1948
23, 1929
15, 1949
15, 1949
31, 1948
10, 1948
1,1946
1, 1946
15, 1947
26, 1947
26, 1947
15, 1947
1, 1947
10, 1948
15, 1948
15, 1948
1, 1949
Aug.  15, 1951
Feb.   15,1952
3
3
2-
VA
2-
2Vi
41/2
4
31/2
2Va-
2Va
5
5
4V2
4V2
5
5
5
5
5
2i/4
5
4V2
3
2Ya
3
5
3
4V2
Wi
41/2
4V2
41/2
4V2
41/2
4V2
AV2
4
31/2
5
3
3
31/2
3
3
3
4
23/4
23/4
2?4
2?4
2Va
2¥a
23/4,
2%
3
3
234
3
4!/2
3
3
3
3
234
2?4
234
234
2?4
2?4
2?4
3
3
3
3
31/2
3%
Serial Debentures (1)
Serial Debentures (2)
Serial Debentures (3)
Serial Debentures (4)
Serial Debentures (5)
Serial Debentures (6)
Serial Debentures (7)
Serial Debentures (8)
Serial Debentures (9)
Sub-total, Serial
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Registered Stock
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Debentures
Total Registered Stock and Debentures.
July     1, 1947
July     1, 1947
25/s
Treasury Bills
Treasury Bills
EV
KE
HK
JW
JX
FY
FZ
GZ
HT
Debentures
GF
GG
FM
FN
FP
FQ
FR
FS
FT
JU
GH
FV
KA
JH
KB
KC
FA
FB
FC
FD
FE
FH
FI
FJ
FK
FL
GR
FU
HM
HO
HA
JP
JQ
JR
GT
HP
HQ
HU
HV
HW
HY
HZ
JB
JV
JY
JA
JI
FO
JS
JT
JJ
JK
HR
HS
HX
JC
JD
JE
JF
JL
JM
JN
JO
KD
KF
RA-D-6-30
RA-D-36-60
$720,000.00
6,000,000.00
1.589,000.00
2.000,000.00
9,200,000.00
1,095,000.00
1,530,000.00
6,000,000.00
2,800,000.00
$30,934,000.00
1,000,000.00
2,000,000.00
2,000,000.00
4,000,000.00
4,056,000.00
2,000,000.00
1,000,000.00
2,900,000.00
100,000.00
1,000,000.00
500,000.00
3,203,000.00
6,000,000.00
5,000,000.00
1,500,000.00
7,275,000.00
1,500,000.00
250,000.00
45,000.00
705,000.00
275,000.00
1,725,000.00
188,000.00
332,000.00
60,000.00
110,000.00
1,000,000.00
3,500,000.00
3,036,500.00
3,000,000.00
2,000,000.00
636,000.00
8,000,000.00
3,000,000.00
1,000,000.00
1,000,000.00
3,000,000.00
250,000.00
4,210,000.00
5,000,000.00
500,000.00
500,000.00
3,000,000.00
1,000,000.00
12,000,000.00
2,000,000.00
500,000.00
500,000.00
6,417,000.00
15,000,000.00
3,000,000.00
3,025,000.00
1,750,000.00
500,000.00
500,000.00
1,500,000.00
500,000.00
500,000.00
4,000,000.00
4,045,000.00
2,000,000.00
3,000,000.00
2,000,000.00
1,000,000.00
26,000,000.00
22,500,000.00
£    s. d.
Total Treasury Bills to Canadian Government..
$235,527,500.00
$6,951,825.60
14,628,872.25
$21,580,697.85
$257,108,197.85
1,500,000.0.0
29 J & D
15 F & A
1 F & A
15 J & D
15 J & D
1 A & O
15 M & N
1 J & D
15 A & O
1
M & S
1
M
& S
1
A
& O
1
A
& O
25 A & O
25
A & O
25
A
& O
25
A
& O
25
A
& O
30 J
& D
20 M & N
2 A & O
15 F & A
15 J & D
15 F & A
1 M & N
15 F & A
25 M & S
25 M & S
25 M & S
25 M & S
25 M & S
1 M & N
1 M & N
1 M & N
1 M & N
1 J & D
1 A & O
24 M & S
15 J & D
15 J & D
15 J & J
15 J & D
15 J & D
1 J & J
15 F & A
15 A & O
20 J & J
15 M & N
15 J & J
1 F & A
15 M & N
15 J & D
15 J & D
15 J & D
15 J & D
2 J & J
2 J & J
23 J & J
15 J & D
15 J & D
31 J & J
10 F
1 A
1 A
15 M
26 M
26 M
15 A
1
10
M
F
15 M
15 M
1 F
& A
& O
& O
& s
& S
& s
& O
& N
& A
& N
& N
& A
15 F & A
15 F & A
G.—C.B.C.—V., Vr., T., M., or N.Y.
L.M.—C.B.C.—V., Vr., W.:
L.M.—C.B.C.—V., Vr., W.
L.M.—C.B.C.—V., Vr., E.
M., Q., SU.
L.M.—C.B.C.—V., Vr., E.
M., Q., StJ.
G.—C.B.C.—V., Vr., T„ M
G.—C.B.C—V., Vr., T., M., or N.Y.
L.M.—C.B.C.—V., Vr., W., T., M., H., or
StJ.
L.M.—C.B.C.—V., Vr., W., T., or M.
T., M., or N.Y.
T., or M.
C, R., W., T.,
H., or StJ's.
C, R., W., T.,
H., or StJ's.
, or N.Y.
G.—C.B.C.
G.—C.B.C.
G.~C.B.C
G.—C.B.C.
G.—C.B.C
G.—C.B.C.
G.—C.B.C
G.—C.B.C
G.—C.B.C
L.M.—C.B
L.M.—C.B
G.—C.B.C
L.M.—C.B
L.M.—C.B
L.M.—C.B
£—C.B.C.-
—V,
—V.
—V.
,—V.
—V.
—V,
—V,
.—V.
.—V,
.a—:
.a—
—v.
.a—
c—
.a—
-L.
, Vr., W., T
, Vr., W., T
, Vr., T., M.
, Vr., T., M
, Vr., T., M
, Vr., T., M.
, Vr., T., M
,Vr.,T.,M.
, Vr., T., M.
N.Y.
V., Vr., W.,
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N.Y.
V., Vr., W.,
N.Y.
,,M.,orH.
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, or N.Y.
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or N.Y.
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, or N.Y.
, or N.Y.
T., M., or H.
, or N.Y.
T., or M.
L.M.-
G.—C
G.—C
G.—C
G.—C
G.—C,
G.—C
G.—C
G.—C,
G.—C,
G.—C,
L.M.-
G.—C.
L.M.-
L.M.-
L.M.-
L.M.—
L.M.
L.M.—
C.B
B.C.
B.C,
B.C
B.C,
B.C.
B.C.
B.C.
B.C,
B.C,
B.C.
C.B
B.C.
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C.B
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C.B.
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.c—:
,—V
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.—V.
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—V
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a
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c
N.Y.
, Vr., T., M.
, Vr., T., M
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, Vr., T., M
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V.
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V., Vr., W.,
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StJ.
V., Vr., W.,
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V., Vr., W.,
., or N.Y.
..orN.Y.
., or N.Y.
I or N.Y.
, or N.Y.
, or N.Y.
, or N.Y.
, or N.Y.
, or N.Y.
, or N.Y.
, or N.Y.
T., or M.
T.,orM.
, T„ M., H., or
T., or M.
T., or M.
T., or M.
L.M.—C.B.C—V., Vr., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., W., T., or M.
L.M.—C.B.C—V., Vr., E., C, R., W., T.,
M., Q., StJ., H., or StJ's.
L.M.—C.B.C—V., Vr., E., C, R., W., T.,
M., Q., StJ., H., or StJ's.
V., Vr., W., T., or M.
V.
, Vr., T., M., or N.Y.
V., Vr., W., T., or M.
V., Vr., W., T., or M.
V.,Vr.,W.,T., orM.
L.M.-
L.M.-
G.—C
L.M.-
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L.M.-
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C.B.C—
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B.C—V.
-C.B.C-
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-C.B.C—
-C.B.C-
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-C.B.C-
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-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C-
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
-V., Vr.
, W., T.
, W., T.
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, W., T.
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, or M.
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, or M.
, or M.
, or M.
, or M.
, or M.
, orM.
, orM.
, or M.
, orM.
, orM.
L.M.—C.B.C—N.Y.
L.M.—C.B.C—V., Vr., W., T., M., or N.Y.
L.M,
L.M,
-C.B.C.-
-C.B.C-
-O.
-O.
Serials
Serials
Serials
Serials
Serials
Serials
Serials
Serials
Serials
20
20
25
25
25
25
25
25
25
4
20
25
4
8
5
25-35
6
30
30
30
30
30
30
30
30
30
30
20
30
15
15
20
15
15
15
25
20
20
20
20
20
20
21
21
18
18
21
20
40
20
20
22
22
25
25
25
25
25
25
25
25
25
25
25
10-25
10-25
*$1,000
* 1,000
* 1,000
* 1,000, 50,000
* 1,000, 50,000
*500, 1,000
*500, 1,000
*500, 1,000,
10,000
*500, 1,000
*500, 1,000
*500, 1,000
* 1,000
* 1,000
* 1,000
* 1,000
*500, 1,000
*500, 1,000
* 1,000
* 1,000
v * 1,000
*500, 1,000
* 1,000
*500, 1,000
* 1,000
^I£100 and multiples
thereof
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
** $3,500,000
*500, 1,000
*500, 1,000
*500, 1,000
1,000
*500, 1,000
* 1,000
* 1,000, 5,000,
10,000, 50,000,
100,000
* 1,000
* 1,000
**J30,000,
220,000
* 1,000
*500, 1,000
* 1,000
* 1,000
*500, 1,000
* 1,000
*500, 1,000
*1,000 .
* 1,000
**200,000, 300,000
* 1,000
*500, 1,000
*500, 1,000
*25,000, 50,000,
100,000
* 10,000, 100,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000
* 1,000,000
* 1,000,000
* 1,000
•5,000, 10,000,
100,000
§* 1,000
11*1,000
Revenue Act, R.S.B.C. 1924, and Loan Act, 1921
(2nd Sess.)—O.C. 699.
Revenue Act, R.S.B.C. 1948—O.C. 332.
Revenue Act, R.S.B.C. 1936—O.C 97.
Trans-Canada Highways Act—O.C. 1257.
Highway Development Act—O.C. 1255.
Revenue Act, R.S.B.C 1924—O.C. 309.
Revenue Act, R.S.B.C. 1924—O.C. 704.
Revenue Act, R.S.B.C. 1936—O.C. 763.
Revenue Act, R.S.B.C. 1936—O.C 2330.
Loan Act, 1933-
Revenue Act, R,
Loan Act, 1927-
Revenue Act, R
Revenue Act, R.
Revenue Act, R
Revenue Act, R
Revenue Act, R.
Loan Act, 1921
Revenue Act, R
Revenue Act, R
Revenue Act, R,
Revenue Act, R.
Revenue Act, R
Revenue Act, R,
Revenue Act, R
-O.C. 1085.
.S.B.C 1924—O.C. 1087.
-O.C. 982.
.S.B.C 1924—O.C. 983.
.S.B.C 1924—O.C 630.
S.B.C 1924—O.C. 629.
S.B.C 1924—O.C. 688.
S.B.C 1924—O.C; 726.
(2nd Sess.)— O.C. 722.
.S.B.C 1948—O.C. 937.
.S.B.C 1924—O.C. 1437.
.S.B.C 1924—O.C. 384.
S.B.C 1948—O.C. 1937.
.S.B.C 1936—O.C. 1281.
S.B.C 1948—O.C. 1937.
.S.B.C 1924—O.C. 566.
Revenue Act, R.S.B.C. 1948—O.C. 1937.
University Loan Act, 1920—O.C. 967.
Loan Act, 1927—O.C. 996.
Loan Act, 1923—O.C. 969.
Loan Act, 1925—O.C. 970.
Loan Act, 1927—O.C. 971.
Loan Act, 1922—O.C. 1070.
Loan Act, 1924—O.C. 1071.
Loan Act, 1925—O.C. 1072.
Loan Act, 1927—O.C. 1073.
Loan Act, 1927—O.C. 1170.
Superannuation Fund Transfer Act, 1938-
Revenue Act, R.S.B.C. 1924—O.C. 1345.
Electric Power Act, 1945—O.C. 2166.
Electric Power Act, 1945—O.C. 70.
Revenue Act, R.S.B.C. 1936—O.C. 935.
-O.C. 880.
Revenue Act, R.S.B.C 1948-
Revenue Act, R.S.B.C 1948-
Loan Act, 1949—O.C 1419.
Revenue Act, R.S.B.C. 1936-
Loan Act, 1943—O.C. 580.
Loan Act, 1946—O.C. 1583.
-O.C. 1362.
-O.C 1394.
-O.C. 1138.
Revenue Act, R.S.B.C. 1936—O.C. 2671.
Electric Power Act, 1945—O.C. 82.
Loan Act, 1946—O.C. 173.
Loan Act, 1946—O.C. 830.
Electric Power Act, 1945—O.C. 1087.
Electric Power Act, 1945—O.C. 1381.
Revenue Act, R.S.B.C. 1948—O.C. 1253.
Revenue Act, R.S.B.C. 1948—O.C. 1473.
Loan Act, 1946—O.C. 1313.
Loan Act, 1946—O.C. 1443.
Revenue Act, R.S.B.C. 1924-^O.C 83.
Revenue Act, R.S.B.C. 1948—O.C. 2682.
Revenue Act, R.S.B.C. 1948—O.C. 258.
Electric Power Act, 1945—O.C. 1724.
Revenue Act, R.S.B.C 1936-
Loan Act, 1946—O.C. 2381.
Loan Act, 1943—O.C. 2380.
Revenue Act, R.S.B.C. 1936-
Loan Act, 1943—O.C. 1894.
Loan Act, 1946—O.C. 1895.
Revenue Act, R.S.B.C. 1936-
Revenue Act, R.S.B.C. 1936-
Revenue Act, R.S.B.C. 1936-
Revenue Act, R.S.B.C. 1936-
Revenue Act, R.S.B.C. 1936-
Revenue Act, R.S.B.C 1936-
-O.C 1849.
-O.C 562.
-O.C. 2079.
-O.C. 2259.
-O.C. 1848.
-O.C. 2596.
-O.C. 2649.
-O.C. 160.
Revenue Act, R.S.B.C 1948 and Highway Development Act—O.C. 1937.
Revenue Act, R.S.B.C. 1948 and Electric Power Act
—O.C. 332.
(1) Maturing annually:   $180,000, 1953-56.
(2) Maturing annually:   $1,500,000, 1954-57.
(3) Maturing annually:   $227,000, 1954-60.
(4) Maturing annually:   $250,000, 2%, 1953-54;   $250,000, 2Vi%, 1955-60.
(6) Maturing annually:   $122,000, 1953-58;   $121,000,  1959-61.
(7) Maturing annually:   $170,000, 1953-61.
(8) Maturing annually:   $600,000, 1953-62.
(5) Maturing
(9) Maturing
annually:   $1,150,000, 2%, 1953-54;   $1,150,000, 2^2%, 1955-60.
annually:   $200,000, 2Va%, 1953-56;  $200,000, 234%, 1957-66.
G.—In Gold.   L.M.—In Lawful Money.   C.B.C.—At The Canadian Bank of Commerce.    V.—Victoria.   Vr.—Vancouver.
StJ.—St. John.   H.—Halifax.   StJ's.—St. John's, Newfoundland.   L.—London, England.   N.Y.—New York, N.Y., U.S.A.
t Exclusive of matured securities, not presented for redemption, covered by earmarked deposits.
* Debentures may be obtained in fully registered form. ** Debentures in fully registered form. % Redeemable in whole or in part on three months' notice at par on May 1st, 1957, or any interest date thereafter at par and accrued
interest. % Callable as a whole or in part at any time at par and accrued interest. § Callable in whole or in part by lot on or after August 15th, 1961. II Callable as a whole on or after February 15th, 1962, at the following prices plus
accrued interest:   102% if redeemed on or before February 14th, 1966;   101V2% if redeemed thereafter and on or before February 14th, 1970;  10034% if redeemed thereafter and on or before February 14th, 1974;  100% if redeemed after February 14th,
1974.   This series is also redeemable in part, at par, for sinking fund purposes only, by lot, on August 15th, 1958, and any August 15th thereafter.
J. V. FISHER,
Deputy Minister of Finance.
E.—Edmonton.    C—Calgary.    R.—Regina.    W.—Winnipeg.    T.—Toronto.    O.—Ottawa.    M.—Montreal.    Q.—Quebec. PUBLIC ACCOUNTS, 1952-53
DD 23
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31, 1953—Continued
LIABILITIES—Continued
Highway Development Act'
Electric Power Act ":
Brought forward 	
Bonded Debt—Continued
Debentures—Continued
" Revenue Act," R.S.B.C. 1948, and
3V2 per cent, due Aug. 15, 1976
" Revenue Act," R.S.B.C. 1948, and
3% per cent, due Feb. 15, 1977	
" Trans-Canada Highways Act ":
2-2'/2 per cent, due lune 15, 1953-60
" Highway Development Act ":
2-2'/2 per cent, due lune 15, 1953-60
" Superannuation Fund Transfer Act, 1938
3!/2 per cent, due Apr. 1, 1959	
" Electric Power Act," 1945:
3 per cent, due Dec. 15, 1960  „
2% per cent, due Jan. 15, 1967	
2% per cent, due June 15, 1968	
3 per cent, due July 31, 1970	
Inscribed stock:
" Revenue Act, 1924," 5 per cent, due May 1, 1967..
$148,027,500.00
26
22
000,000.00
,500,000.00
,000,000.00
,200,000.00
,500,000.00
,000,000.00
,000,000.00
,000,000.00
,025,000.00
$228,252,500.00
7,275,000.00
$235,527,500.00
Sinking Funds (Deducted from Bonded Debt) :
Cash in chartered banks in Canada —	
Cash in banks in England (converted at $2.75 per £)
Investments—Bonds and debentures 	
Government of Canada
Par Value
$11,302,450.00
14,160,150.00
Rail and steamship companies (Government of Canada guaranty)	
Province of British Columbia  -       33,635,352.03
British Columbia Power Commission (Province of British Columbia guaranty) 520,000.00
Vancouver   and  Districts  Joint   Sewerage   and   Drainage   Board   (Province   of
British Columbia guaranty)    _
West Nicomen Dyking District  (Province of British Columbia guaranty)	
British Columbia municipalities —	
United Kingdom funding loan, £25,000
Note.—The above sinking fund includes deposits made by the
Province, together with interest, in respect of—
" Revenue Act," inscribed stock   	
" Electric Power Act "	
48,500.00
500.00
6,071.83
121,250.00
$2,518,060.22
4,499,365.93
$224,596.07
17,873.29
58,001,521.00
$58,243,990.36
Treasury Bills:
Government of Canada long-term serial:
Series RA-D6-30, interest free, 1953-77 	
Series RA-D36-60, interest 25/s%, 1953-77
$6,951,825.60
14,628,872.25
$21,580,697.85 DD 24 PUBLIC ACCOUNTS, 1952-53
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1953—Continued
LIABILITIES—Continued
Trust Deposits:
Contractors' deposits .
Closed School Trust Fund
Cemetery Tax Fund  _.
Intestate estate deposits 	
Official Guardian deposits ..
Suitors' Funds deposits 	
Surplus money from tax-sale deposits
Timber-sale deposits 	
$572,959.25
1,190.49
66,870.10
2,859,836.87
12,838.49
909,428.90
20,243.09
6,509,177.11
$10,952,544.30
Accounts Payable:
General current accounts      $17,802,063.22
Suspense accounts—permit and licence applications
Suspense  accounts—miscellaneous  	
Unclaimed debenture principal and interest 	
Unclaimed cheques and miscellaneous balances 	
Retention on construction contracts pending final certificates of completion
1,068,621.76
342,680.50
3,466.99
106,030.24
1,400,417.57
$20,723,280.28
Accrued Expenditure:
Interest on public debt .
$2,372,273.27
Special Project Funds—Unexpended Balances:
Beef Cattle Producers' Assistance Fund	
Conservation Fund  .- 	
Dog Tax Fund  — 	
Education re Proper Use of Alcohol Fund
Equipment Fund    	
Farmers' Land-clearing Assistance Fund —
Forest Development Fund ....	
Forest Reserve Account	
Forest Service Boat Account  	
Game Conservation Fund	
Grazing Range Improvement Fund _ 	
Hospital Construction Fund  _
Hospital Insurance Fund  	
Housing Act Fund 	
Industrial Development Fund _ _
Miscellaneous balances—special purposes
" Pound District Act "   	
Scaling Fund   	
Silviculture Fund     —	
University Endowment Lands Administration Account
$15,468.00
84,053.41
6,327.20
17,137.56
2,014,721.54
9,670.93
34,258.87
698,629.99
32,332.96
17,666.34
20,509.85
50,076.14
7,216,955.25
12,388.99
173,674.14
113,713.60
110.46
96,591.90
137,563.16
1,231,175.64
$11,983,025.93 PUBLIC ACCOUNTS, 1952-53 DD 25
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31, 1953—Continued
LIABILITIES—Continued
Reserves for Losses on Realization of Assets:
Advances to Special Project Funds:
Industrial Development Fund  _ _ $44,652.15
Agreements of sale, mortgages receivable, and properties held for sale:
" Soldiers' Land Act, 1918 ":
South Vancouver houses _  4,750.61
Southern Okanagan Project  _         1,955,531.65
Loans and advances:
Various dyking districts  _ _..    510,198.20
Land Settlement Board  _ _          3,500,000.00
•Pacific Great Eastern Railway Co   _ _        63,966,475.12
* This is not a valuation reserve, but only represents the credits
arising from accumulated interest charged against the advances to
the Pacific Great Eastern Railway Co.
$69,981,607.73
Deferred Revenue:
Conservation Fund credits held pending settlement of accounts   :  $102,853.41
Dyking district credits held pending settlement of accounts  38,731.02
Gain on investments sold, " Revenue Act," sec. 9  - 191,306.02
Government of Canada—Tax Rental Agreement, 1947    6,104,422.40
Purchasing Commission—credits arising from inventory adjustments on materials and supplies.  96,295.91
$6,533,608.76
Excess of Assets over Liabilities and Reserves:
1952
Apr. 1    By Balance       $134,400,805.56
1953
Mar. 31.   „ Interest on investment of sinking funds         1,766,670.24
„ " Fraser River (New Westminster)  Bridge Act, 1935 "   475,890.67
„ Current expenditure chargeable to asset and liability accounts:
Sinking funds         $7,541,678.93
Redemption of debentures          4,738,000.00
Repayment of Treasury bills       15,767,181.67
Recoverable expenditure  5,098.47
, Expenditure from  revenue  surplus appropriation  charged  to
asset accounts:
Roads, bridges, etc _   $3,624,709.90
Buildings and furnishings  27,727.82
Redemption of debentures    5,000,000.00
Redemption of Treasury bills _  10,925,259.20
28,051,959.07
, Adjustment in excess reserves:
Southern Okanagan Project     $99,391.01
Industrial Development Fund  1,471.00
Unemployment relief  287,895.82
, Increase in accounts receivable:
Timber royalties and stumpage _        $276,261.41
Land sales—principal  _  161,838.76
Assessed taxes
19,577,696.92
388,757.83
$29,674.10
4,450.39
)
472,051.57
Less decreases:
$506,176.06
34,124.49
Probate and succession duties	
*1R5 133 831 Rfi DD 26 PUBLIC ACCOUNTS,  1952-53
■
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1953—Continued
LIABILITIES—Continued
Excess of Assets over Liabilities and Reserves—Continued
Brought forward.....      $185,133,831.86
1953
Mar. 31. To   Refunds   of   recoverable   expenditure   credited   to   asset
accounts:
" Soldiers'    Land    Act,    1918" — Southern    Okanagan
Project _._   -         $99,391.01
" Electric Power Act "            343,794.70
"Dyking Assessments Adjustment Act, 1947 "  5,100.00
.    , Advances to municipalities—works relief   103.41
" Irrigation Assistance Loan Act " _  862.50
$449,251.62
. Loan expenditure not carried to asset accounts:
University buildings:
" British Columbia Loan Act, 1949 "—sec. 6 (g) .... $14,966.87
" British Columbia Loan Act, 1950 "—sec. 6 (6)  175,564.91
" British Columbia Loan Act, 1951 "—sec. 3  (c) .... 28,288.90
" British Columbia Loan Act, 1951 "—sec. 3 (d) .... 18,200.00
" British Columbia Loan Act, 1952 "—sec. 3 (fe) .... 173,489.68
• " British Columbia University Loan Act 1945 "  14,029.00
"Hospital Construction Act, 1950"—sec. 5, grants-in-aid 2,083,615.76
"Okanagan Flood-control Act"    266,722.74
" Housing Act "  120,000.00
 2,866,819.86
.Discount on debentures amortized   204,977.24
, Depreciation:
Bridges   - ..      $414,894.17
Ferries and ferry landings   65,310.60
Provincial buildings and furnishings           888,175.65
         1,368,380.42
," Hospital Construction Act, 1950"—sec. 6 (1)   (6)  315,430.18
, Write-offs authorized by Order in Council:
Conservation Fund, No. 1252 (1953)  $46,215.72
Okanagan Falls Irrigation District, No. 1586 (1952)   .... 231.00
  46,446.72
.."Electric Power Act," reversal of advance deposit, 1952...    31,562.51
Revenue Surplus (Appropriation) Account
1952
Apr. 1    By  Balance _-   $28,703,739.96      28,703,739.96
1953
Mar. 31   „ Excess of revenue over expenditure for the fiscal year ended
March 31, 1953          8,364,625.02
$37,068,364.98
To Expenditure:
" Revenue     Surplus     Appropriation   Act,
1944"—sec. 2 (c), public buildings....      $27,727.82
" Revenue     Surplus     Appropriation   Act,
1946 "—
Sec. 2 (a), roads, bridges, etc   1,008.82
Sec. 2 (6), hospitals.... -         57,743.47
" Revenue     Surplus     Appropriation   Act,
1947 "—Sec. 2 (a), roads, bridges, etc.        66,282.11
" Revenue     Surplus     Appropriation   Act,
1952 "—
Sec. 2 (a), redemption of debentures...   5,000,000.00
Sec. 2 (d), Northern Trans-Provincial
Highway     1,650,708.56
Sec. 2 (e), secondary roads -    1,907,719.23
Retirement of Treasury bills -   10,925,259.20
19,636,449.21
Balance, March 31,1953 (of which the sum of $3,915,604.06
has been appropriated by Statute for certain specific
purposes)    — $17,431,915.77 17,431,915.77
$33,986,608.51 $202,565,747.63
Balance, being excess of assets over liabilities and reserves at March
31, 1953  -       168,579,139.12
$202,565,747.63 $202,565,747.63 PUBLIC ACCOUNTS, 1952-53 DD 27
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31, 1953—Continued
LIABILITIES—Continued
Superannuation and Retirement Funds:
Civil Service Superannuation Fund  ._       $29,506,088.97
Retirement Fund ....   - - -        3,496,900.47
$33,002,989.44
Trust:
British Columbia Power Commission Sinking Fund  $691,823.83
British Columbia Power Commission Sinking Fund advance payments   308,517.95
Bond Redemption Accounts     36,433.30
Dominion-Provincial Works—Deferred Pay Account     472.00
Estates of insane persons -  601,867.99
Land Registry Assurance Fund           285,338.93
Merritt, City of:   Sinking Fund accounts   69,198.44
Port Moody, City of:   Sinking Fund accounts    83,628.63
Prince Rupert, City of:   Sinking Fund accounts   _. _, 1,526,740.12
Vancouver and Districts Joint Sewerage and Drainage Board:
Sinking Fund Accounts - - -  1,440,482.73
Capital Account      415,694.27
Wildwood Light, Water and Sewerage District Sinking Fund Accounts  12,113.65
Workmen's Compensation Board—Accident Fund _  1,112,952.49
6,585,264.33
Contingent Liabilities:
In addition to direct liabilities of the Province, the following securities as to both principal and interest have been
guaranteed by the Province:—
Guarantees Authorized      Outstanding
(1) Canadian Northern Pacific Railway Co. (due Apr. 2, 1950)*  $47,975,000.00 $23,076,156.52
(2) Vancouver and Districts Joint Sewerage and Drainage Board (due 1953-73)      9,788,333.33      5,831,045.27
(Sinking funds set aside in connection with $2,119,045.27 amounted to $1,440,482.73
as at March 31, 1953.    The balance of the amount guaranteed is made up of
instalment debentures.)
(3) West Nicomen Dyking District (due May 1, 1953) (sinking fund investments now
coyer $85,075.64)     90,000.00 87,000.00
(4) South Westminster Dyking District (due July 1, 1960)  (sinking fund investments
now cover $30,646.69)    ,. .'.  55,000.00 55,000.00
$57,908,333.33 $29,049,201.79
(5) Guarantees authorized pursuant to sec. 5, "Municipal Improvements Assistance Enabling Act,
1938 "  _ _     _        $987,315.48
(6) Certificates of loan pursuant to sec. 10 (3), "Municipal Superannuation Act, 1938," chap. 55...    $3,159,868.89
(7) Guarantees authorized pursuant to sec. 3, "Village Municipalities Assistance Act"..     $1,421,900.00
(8) Guarantees authorized pursuant to the "Dawson Creek Loan Act, 1944"  $43,755.05
(9) Guarantees authorized pursuant to sec. 53, "Electric Power Act"  (sinking fund investments
now cover $691,823.83)     $24,500,000.00
* While these securities have matured and funds have been provided for redemption, the guarantee has not yet been
legally discharged.   The outstanding securities are pledged to the Minister of Finance and Receiver-General of Canada.  PUBLIC ACCOUNTS, 1952-53
PROVINCE OF BRITISH COLUMBIA
DD 29
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED MARCH 31,  1953
Estimated
SERVICE
Received
$35,000.00
$45,000,
225,000.
250,000,
3,000
50,000,
950,000,
18,300,000,
70,000.
1,250,000.
300,000.
700,000.00
7,500,000
75,000
35,000.00
10,000.00
5,000.00
35,000.00
45,000.00
25,000.00
$29,873,000.00
$4,000.00
10,000.00
100.00
$14,100.00
$29,151.06
220,000.00
932,168.00
100,000.00
40,068,000.
650,000.
2,000,000.
1,200,000.
14,300,000.
600,000.
245,000.
2,050,000.
495,000.
100.
340,000,
90,000,
125,000.
1,400,000.00
75,000.00
750,000.00
31,500,000.00
15,000.00
$97,184,419.06
Department of Agriculture
Miscellaneous Receipts 	
Department of the Attorney-General
"Administration Act "—Fees, etc—
Companies Branch 	
Court Fees and Fines.. _	
Dog Licences..
Fire Marshal Act"—Fees, etc  	
" Game Act"—Fees and Licences	
" Government Liquor Act" 	
" Insurance Act"_ -—
Land Registry Fees -   —
Law Stamps — —	
" Motor-vehicle Act":
Registration Fees, etc	
Annual Licences:
Motor-vehicles (except Motor-cycles)
Chauffeurs 	
$1,257,437.15
8,361,902.43
65,457.50
" Moving Pictures Act"	
" Real-estate Agents' Licensing Act"
" Securities Act"	
Sheriffs' Fees.-   	
Trade Licences	
Miscellaneous Receipts-
Total..
Department of Education
Teachers' Certificates -	
Text-book Branch (net profits)..
Miscellaneous Receipts _	
Total.
Department of Finance
Government of Canada:
Annual Interest 	
Annual Subsidy .
Annual Grant per Capita 	
Annual Grant for Lands Conveyed.
Rental Fee for Leased Tax Fields-
$29,151.06
220,000.00
932,168.00
100,000.00
Percentage of Power Corporation Tax~
Amusements Tax  	
Fuel-oil Tax	
Gasoline Tax  —	
Interest—Miscellaneous..
Land Taxes:
Farm Land	
Improved Land  —
Timber Land  - 	
Tree-farm Land 	
"E. & N. Railway Belt Land Tax Act"
Wild Land _ - 	
Coal Land "A" and "B"_ 	
$236,627.43
1,892,151.36
588,821.78
418,395.59
119,777.94
111,926.38
Mining Tax.—.
Probate Fees._
Pari-mutuel Betting Tax..
Social Security and Municipal Aid Tax..
Trust Deposits Reverted to the Crown....
Carried forward..
$45,497.99
259,043.98
348,790.00
1,299.82
81,486.64
921,991.55
20,763,939.60
171,671.18
1,392,919.50
374,634.49
9,684,797.08
39,115.00
11,608.75
10,621.20
58,335.87
45,319.82
32,508.55
$4,475.00
82.71
$1,281,319.06
40,094,987.71
1,099,003.00
2,237,564.53
1,220,981.44
15,461,800.99
1,021,110.04
3,367,700.48
2,126,384.22
110,232.53
898,021.88
34,279,238.90
42,210.52
$30,142.46
34,243,581.00
4,557.71
$34,278,281.17 DD 30 PUBLIC ACCOUNTS, 1952-53
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED MARCH 31,  1953—Continued
Estimated
SERVICE
Received
$97,184,419.06
Unworked Cro
$34,278,281.17
65,000.00
Department of Finance—Continued
62,179.43
88,583.69
50,000.00
Total
$97,299,419.06
103,391,318.42
Department of Fisheries
$25,000.00
20,218.25
Marriage Licen
Vital Statistics
Department of Health and Welfare
$46,721.00
54,940.97
351.27
$45,000.00
40,000.00
200.00
Miscellaneous
Elevator Inspei
Trade-schools ]
Grazing Permil
Land Leases, R
Coal, Petroleur
$85,200.00
102,013.24
Department of Labour
$1,014.00
482.00
$1,000.00
300.00
Regulation Fees	
Total
$1,300.00
1,496.00
Department of Lands and Forests
$126,647.48
333,577.55
2,241,363.64
655,984.87
34,954.87
70,523.38
374,307.02
2,152,393.38
15,238,950.76
704,584.41
61,411.06
$100,000.00
200,000.00
1,000,000.00
350,000.00
40,000.00
Sale of Maps a
Timber Leases
Timber Licenc<
Timber Royalti
65,000.00
375,000.00
2,200,000.00
8,500,000.00
625,000.00
Water Rentals
Miscellaneous
Private Bills F«
Bureau of Min
Free Miners' C
Miners' Exami
Mining Receip
Miscellaneous
Regulated Are,
Queen's Printe
Miscellaneous
35,000.00
Total                                                          	
$13,490,000.00
21,994,698.42
Legislation
$500.00
120.00
Department of Mines
$62.00
53,377.25
542.00
158,061.28
$50.00
40,000.00
300.00
130,000.00
Total
$170,350.00
212,042.53
Department of Municipal Affairs
$3,872.70
495.95
$1,000.00
5,000.00
Total
$6,000.00
4,368.65
Department of the Provincial Secretary
r (net profits)  	
$133,587.00
2,078.26
$25,000.00
1,000.00
Total	
$26,000.00
135,663.26
$160,140,221.94 PUBLIC ACCOUNTS,  1952-53 DD 31
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED MARCH 31,  1953—Continued
Estimated
SERVICE
Received
$160,140,221.94
$450,000.00
" Public Utilities Act " and " Motor Carrier Act "
503,095.11
Department of Public Works
$5,000.00
8,856.81
Railway Department
$3,000.00
4,363.59
Department of Trade and Industry
$3,000.00
2,886.00
Refunds of Expenditure
Charged to Income:
$26,679.54
197,657.35
$629,763.30
476,349.60
$200,000.00
Royal Canadian Mounted Police (Equipment)   .
264,097.35
141,225.65
103.41
Advances to Municipalities—Works Relief  	
Charged to Loans:
300,000.00
$862.50
343,794.70
99,391.01
5,100.00
27,201.39
"Soldiers' Land Act, 1918" 	
Miscellaneous  *	
Total	
$500,000.00
1,106,112.90
$141,986,869.06
$161,765,536.33  PUBLIC ACCOUNTS,  1952-53
DD 33
Appropriation and Expenditure
Summary Showing Amounts Appropriated, Expended, Unexpended, and Overexpended
for the Fiscal Year Ended March 31, 1953
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT
Public Debt
Interest, Premium, and Exchange:
Main Estimates .	
Page EE 2
Sinking Funds:
Main Estimates ,
Page EE 2
Redemption of Debt: Page EE 2
Main Estimates   $4,045,681.67
Statutory      9,058,422.05
2   Legislation :
Main Estimates .
Statutory 	
3    Premier's Office:
Main Estimates .
Page EE 2
$205,800.00
1,726.37
Page EE 3
Department of Agriculture
4   Minister's Office:
Main Estimates _
Page EE 3
5    General Administration:
Main Estimates  _
6    Markets Branch:
Main Estimates .
7    Horticultural Branch:
Main Estimates 	
Page EE 4
Page EE 4
Page EE 4
8   Plant Pathology, Entomology, and Apiary Inspection:                                                                PageEE5
Main Estimates  — _ ~  ...
9   Live Stock Branch:
Main Estimates ....
Page EE 6
10   Field Crops and Seed Improvement Branch:
Page EE 7
Main Estimates    -  .	
11   Farmers' Institutes:
Main Estimates 	
Page EE 8
12   Women's Institutes:
Main Estimates 	
13   Soil Survey Branch:
Main Estimates	
Page EE 8
Page EE 8
14   Agricultural Development and Extension:
Page EE 9
Main Estimates    —	
Carried forward..
$7,311,698.50
7,197,928.93
$6,673,419.03
7,017,067.96
$638,279.47
180,860.97
13,104,103.72     13,104,103.72
"-
$27,613,731.15| $26,794,590.71      $819,140.44
I
$207,526,371   $207,526.37
$207,526.37
$207,526.37
$34,506.00|   $30,079.97
$34,506.00]   $30,079.97
$15,456.00]   $14,676.61
69,675.00]    67,877.60
I
$4,426.03
1,426.03
10,473.00
10,091,99
130,971.00    129,894.31
35,738.00)    36,034.09
I
$779.39
1,797.40
381.01
1,076.69
291,094.00]   284,598.46|    6,495.54
I
!
29,082.86
33,104.00
11,300.00]
15,965.00
11,189.49
16,124.06
4,021.14
110.51
30,805.00]    24,578,39
I
225,672.00
$870,253.00
205,069.70
$829,217.56
6,226.61
20,602.30
$41,490.59
$296.09
159.06
$455.15 DD 34
PUBLIC ACCOUNTS, 1952-53
No.
of                                      SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Agriculture—Continued
$870,253.00
$829,217.56
$41,490.59
$455.15
15   Agricultural Engineering and Land-clearing:
Page EE 10
24,572.00
15,710.00
10.00
25,000.00
12,000.00
30,000.00
22,000.00
28,000.00
5,000.00
22,500.00
26,000.00
31,860.17
3,550.00
1,200.00
750.00
21,257.38
13,807.02
*5,691.14
8,515.66
12,000.00
3,314.62
1,902.98
5,701.14
16,484.34
16   Boys'and Girls'Clubs:                               Page EE 10
17   Milk Board:                                                Page EE 11
18   Automobiles and Accessories:                   Page EE 11
19   Agricultural  Associations  and  Fairs—Buildings,
Grants, etc.:                                        Page EE 11
20   Grants:                                                        Page EE 11
30,000.00
14,439.38
28,012.30
337.07
18,631.70
26,000.00
31,860.17
3,550.00
887.45
425.25
21    Rebates on Stumping-powder:                   Page EE 11
7,560.62
 	
22    Subsidies on Agricultural Lime:              Page EE 12
12.30
23    Incidentals and Contingencies:                Page EE 12
4,662.93
3,868.30
24   Federal-Provincial Farm Labour Service:
Page EE 12
25   To Make Good Operating Deficit, Farmers' Land-
clearing Assistance Fund :                  Page EE 12
Statutory:                                                   Page EE 12
" Grasshopper-control Act ":
Main Estimates               -  $5,000.00
Statutory      26,860.17
" Horned Cattle Purchases Act ":
"Natural Products Marketing (B.C.) Act":
312.55
324.75
" Pound District Act ":
$1,118,405.17
$1,033,249.80
$85,622.82
$467.45
Department of the Attorney-General
26   Attorney-General's Office:                     Page EE 14
$20,407.00
82,111.00
48,078.00
43,336.00
$18,215.00
83,017.25
50,563.57
35,740.67
$2,192.00
27   General Administration:                            Page EE 14
$906.25
28   Companies Office:                                      Page EE 15
Main Estimates  $45,486.00
Supplementary Estimates  -     2,592.00
2,485.57
29   Insurance Office:                                      Page EE 15
7,595.33
Carried forward ._, —
$193,932.00
$187,536.49
$9,787.33
$3,391.82
> Credit. PUBLIC ACCOUNTS, 1952-
53
DD 35
No.
of                                      SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of the Attorney-General—Continued
$193,932.00
19,688.00
22,066.00
80,321.00
19,861.00
85,305.00
59,770.00
6,555.00
503,774.00
215,905.00
71,000.00
806,059.00
571,200.00
30,000.00
57,000.00
38,257.00
58,893.00
809,991.00
183,612.00
94,375.00
$187,536.49
17,996.12
20,892.02
78,571.90
16,700.58
85,749.00
54,295.47
6,513.80
485,273.84
217,367.55
65,153.33
854,152.80
$9,787.33
1,691.88
1,173.98
1,749.10
3,160.42
$3,391.82
30 Securities Office:                                       Page EE 15
Main Estimates	
31 " Credit Unions Act ":                             Page EE 16
-      -
32   " Fire Marshal Act ":                               Page EE 16
33   Censor of Moving Pictures:                     PageEE 16
34    Sheriffs' Offices:                                          PageEE 17
Main Estimates   $83,708.00
Supplementary Estimates        1,597.00
35    Official Administrator:                              Page EE 18
5,474.53
41.20
18,500.16
36   Official Guardian:                                     PageEE 18
Main Estimates  $6,279.00
37   Land Registry Offices:                                PageEE 18
Main Estimates    $487,979.00
Supplementary Estimates        15,795.00
38   Supreme and County Courts:                  PageEE21
Main Estimates    - $208,469.00
Supplementary Estimates          7,436.00
1,462.55
39   Official Stenographers :                              Page EE 23
5,846.67
40   Motor-vehicle Branch :                              Page EE 23
Main Estimates   	
48,093.80
3,053.66
41 Policing by Royal Canadian Mounted Police:
Page EE 26
Main Estimates   —   „
42 Sundry Incidental Police Expense:        Page EE 26
565,434.63
33,053.66
42,704.20
32,440.16
56,880.43
863,627.75
148,824.63
97,366.39
5,765.37
43    Doukhobor  Research  and  Consultative Committee:                                                            PageEE 26
14,295.80
5,816.84
2,012.57
44   Corrections Office:                                     Page EE 27
Main Estimates	
45    Nelson Gaol:                                                 Page EE 27
Main Estimates  - __	
46   Oakalla Prison Farm:                                PageEE 28
Main Estimates  ___  $749,991.00
47   Unit for Young Offenders, Oakalla Prison Farm:
PageEE 31
Main Estimates  	
34,787.37
48   Women's Gaol:                                          Page EE 32
Main Estimates     ..        $74,375.00
Supplementary  Estimates       20,000.00
2,991.39
$3,927,564.00
$3,930,534.75
$110,103.22
$113,073.97 DD 36
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of the Attorney-General—Continued
Brought forward	
49   Prince George Women's Gaol:
Main Estimates  —	
Supplementary Estimates
Page EE 33
.. $77,403.00
..      6,120.00
50   Prince George Men's Gaol:
Main Estimates  	
Supplementary Estimates
51   Kamloops Gaol:
Main Estimates .
Page EE 34
... $38,935.00
1,000.00
Page EE 34
52   New Haven:
Main Estimates .
Supplementary Estimates .
Page EE 35
.. $95,131.00
..     3,000.00
53   Probation Office:
Main Estimates ...
Page EE 36
54   Game Branch:
Main Estimates .
Supplementary Estimates
Page EE 36
$716,558.00
19,920.00
55   Destruction of Predatory Animals and Birds:
Page EE 43
Main Estimates   	
56   Promotion of Uniformity of Legislation:
Page EE 44
Main Estimates   	
57   Administration of Justice:
Main Estimates  	
Page EE 44
58    Crown Prosecutor's Office, Vancouver:
Main Estimates 	
Page EE 45
59   Coroners'Inquests and Inquiries: PageEE46
Main Estimates  $30,000.00
Supplementary Estimates         5,000.00
'60   Narcotic Drug Treatment:
Main Estimates   .	
Page EE 46
61   Constitutional Litigation and General Law Costs:
Page EE 46
Main Estimates    	
62   Magistrates' Convention:
Main Estimates 	
Page EE 46
63   Law Libraries—Furniture and Equipment:
Page EE 46
Main Estimates  i	
64   Incidentals and Contingencies:
Main Estimates 	
Page EE 46
65   In Aid of Removal of Discriminatory Freight and
Express Rates : Page EE 46
Main Estimates   	
Statutory:
" County Courts Act ";
Main Estimates	
Page EE 47
Carried forward..
$3,927,564.00
83,523.00
39,935.00
37,738.00
98,131.00
68,683.00
736,478.00
150,792.00
$3,930,534.75
76,509.82
31,362.74
32,345.53
96,205.39
65,233.71
718,851.90
133,989.95
750.00       503.91
259,000.00]
12,309.00
35,000.00
50,000.00
20,000.00
7,500.00
2,100.00
10,000.00
10,000.00
16,000.00
$5,565,503.00
215,950.15
12,609.30
38,654.06
$110,103.22
7,013.18
8,572.26
5,392.47
1,925.61
3,449.29
17,626.10
16,802.05
246.09
43,049.85
$113,073.97
1,316.34
I
10,152.33
968.85]
4,252.70
7,157.47
$5,391,598.30
9,847.67
7,500.001.
1,131.15
5,747.30
2,842.53
14,999.40    1,000.60
$290,933.03
300.30
3,654.06
$117,028.33 PUBLIC ACCOUNTS, 1952-53
DD 37
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of the Attorney-General—Continued
Brought forward  	
Statutory—Continued
" Court of Appeal Act ":
Main Estimates	
' Game Act'
Statutory _
" Government Liquor Act ":
Statutory 	
' Magistrates Act ":
Main Estimates	
Statutory 	
" Supreme Court Act'
Main Estimates 	
Statutory    	
$16,000.00
4,157.00
$8,500.00
69.62
Special Warrants: PageEE47
Nos. 3, 11, 16, 28, and 30.   Extraordinary expenses
in Connection with Doukhobor Disturbances	
No. 9,   Expenses of New Traffic Branch	
No. 52. Honorarium to the Commissioners Appointed under " Public Inquiries Act" Relative to
Spirituous Liquors    	
Department of Education
66    Minister's Office:
Main Estimates ..
Supplementary Estimates .
Page EE 48
.. $14,736.00
156.00
67
General Administration:
Main Estimates	
Supplementary Estimates .
Page EE 48
$111,949.00
5,186.00
68   Division of Curriculum:
Main Estimates 	
Supplementary Estimates
Page EE 48
.. $15,564.00
62.00
69   Inspection of Schools:
Main Estimates ,
Supplementary Estimates
Page EE 49
. $301,456.00
35,243.00
70   Educational Reference and School Service:
Page EE 50
Main Estimates   $22,954.00
Supplementary Estimates         537.00
71 Tests, Standards, and Research: PageEE 50
Main Estimates _ _  $23,310.00
Supplementary Estimates „       1,160.00
72 Educational and Vocational Guidance:
Page EE 51
Main Estimates -  $12,590.00
Supplementary  Estimates          884.00
Carried forward.	
$5,565,503.00
$5,391,598.30
5,500.00 5,499.84
I
17,666.34| 17,666.34
$290,933.03
.16
$117,028.33
30,000.00
20,157.00
30,000.00
20,157.00
1,569.62] 8,569.62
210,000.00 190,728.73
10,000.00
I
4,200.00
$5,871,595.96
4,200.00
$5,668,419.83
19,271.27
10,000.00
$320,204.46
$117,028.33
14,892.00]        $15,208.29
I
117,135.00
15,626.00
336,699.00
23,491.00
24,470.00
13,474.00
109,013.31
15,082.27
335,690.83
18,129.86
22,090.39
10,506.93
$316.29
$8,121.69
1,008.17
5,361.14
2,379.61
2,967.07
$545,787.00|       $525,721.:
$20,381.41
$316.29 DD 38
PUBLIC ACCOUNTS, 1952-53
No.
of
Vote
SERVICE
Total
Appropriation
CURRENT ACCOUNT—Continued
Department of Education—Continued
Brought forward	
73   Summer Schools and Teacher-training for Special
Certificates: Page EE 51
Main Estimates   $45,584.00
Supplementary Estimates   _         808.00
74   School Radio Broadcasts:
Main Estimates 	
Supplementary Estimates ,
75   Visual Education:
Main Estimates _
Page EE 51
.. $29,880.00
289.00
Supplementary Estimates
76    Industrial Education:
Main Estimates 	
Page EE 52
.. $60,754.00
__      1,368.00
Page EE 52
77    Adult Education:
Main Estimates _
Supplementary Estimates
Page EE 53
$430,875.00
3,126.00
78   High School and Senior Matriculation Examinations : Page EE 57
Main Estimates   $32,600.00
Supplementary Estimates       6,000.00
79   High Correspondence School:
Main Estimates 	
Page EE 57
80   Elementary Correspondence School:
Main Estimates	
Page EE 58
81   Vancouver Normal School:
Main Estimates 	
Supplementary  Estimates
82   Victoria Normal School:
Main Estimates  	
Supplementary  Estimates
Page EE 58
$108,108.00
7,136.00
83    School for the Deaf and the Blind:
Main Estimates _ —
Page EE 59
.. $60,389.00
..     4,639.00
Page EE 60
84    Provincial Library:
Main Estimates ....
Supplementary Estimates
85   Provincial Archives:
Main Estimates	
Supplementary Estimates
Page EE 62
$101,210.00
3,433.00
Page EE 62
.. $41,106.00
951.00
86   Public Library Commission:
Main Estimates  	
Supplementary Estimates ....
Page EE 63
$218,130.00
4,111.00
87   Provincial Museum:
Main Estimates 	
Supplementary Estimates
Text-book Branch:
Main Estimates ...
Page EE 64
.. $59,718.00
_      2,238.00
Page EE 65
Carried forward-
$545,787.00
46,392.00
30,169.00
62,122.00
107,245.00
434,001.00
38,600.00
174,209.00
75,279.00
65,028.00
233,837.00
104,643.00
42,057.00
222,241.00
61,956.00
10.00
Expended
$525,721.8
46,181.32
29,598.75
59,207.88
84,628.01
370,600.23
38,557.29
163,554.66
72,751.42
113,871.69
60,670.06
220,921.88
102,335.25
41,266.77
216,739.60
59,174.78
10.00
Unexpended
$20,381.41
210.68
570.25
2,914.12
22,616.99
63,400.77
10,654.34
2,527.58
1,372.31
4,357.94
12,915.12
2,307.75
790.23
5,501.40
2,781.22
Over-
expended
$316.29
$2,358,820,001    $2,205,791.47|     $153,344,821 $316.29 PUBLIC ACCOUNTS,  1952-53
DD 39
No.
of                                     SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Education—Continued
$2,358,820.00
225,000.00
9,055,000.00
4,448,629.46
995,000.00
100,000.00
1,504,000.00
5,000.00
15,000.00
1,000.00
20,000.00
2,200,000.00
70,839.00
30,000.00
10.00
15,175.00
104,197.94
8,650.00
10,000.00
72,116.48
$2,205,791.47
224,915.40
8,999,148.65
4,408,937.58
994,996.46
99,993.69
1,455,178.19
4,600.00
14,996.42
137.90
19,363.23
2,200,000.00
70,839.00
$153,344.82
84.60
55,851.35
$316.29
89   Free Text-books, Maps, etc.:                    PageEE66
90   Basic and Supplementary Grants :           Page EE 66
Main Estimates .....   $9,000,000.00
91    Special Aid to Rural Areas :                      Page EE 67
Main Estimates   $3,200,000.00
Special Warrant No. 8 ..     1,248,629.46
39,691.88
3.54
6.31
48,821.81
400.00
92   Conveyances :                                                  Page EE 67
Main Estimates  $910,000.00
Supplementary Estimates         85,000.00
93   Essential New Equipment:                      Page EE 68
94   Teachers' Superannuation Fund 6% :      Page EE 68
Main Estimates  .                        $1,292,000.00
Supplementary Estimates        212,000.00
95   Special Aid to School Districts :            Page EE 68
96   Education of Soldiers' Dependent Children:
Page EE 68
3.58
862.10
636.77
97    Board of Reference:                                    Page EE 68
98   Incidentals, Grants, and Contingencies:
Page EE 68
99   University of British Columbia:             Page EE 68
100    University Endowment Lands:                  Page EE 68
101    Special Grant to Victoria College:        Page EE 68
30,000.00
*250,S89.64
11,432.34
104,197.94
Statutory :                                                      Page EE 69
" Public    Schools   Act"    and    " Public    Libraries
Act "—Advances:
250,899.64
3,742.66
" Public   Schools   Act "—Assessment   Equalization
Board:
" Public Schools Act"—Loss on Text-book Branch
Operations:
Special Warrants:                                      PageEE69
8,650.00
10,000.00
	
No. 4.   High School Driver-training Project...	
No. 15.   Additional Grant to University of British
72,116.48
$21,238,437.88
$20,684,405.11
$554,349.06
$316.29
* Credit. DD
40                                              PUBLIC ACCOUNTS,  1952-
53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
102
103
104
105
106
107
108
109
110
111
112
113
114
115
CURRENT ACCOUNT—Continued
Department of Education—Continued
$21,238,437.88
36,000.00
40,000.00
$20,684,405.11
31,306.74
$554,349.06
4,693.26
40,000.00
$316.29
Special Warrants—Continued
No. 17.   School and Teacherage at Allison Pass	
No.  33.   Construction of a Civil Defence Centre
underneath the Proposed Auditorium to Be Built
at the Mount Newton High School, Saanich	
Department of Finance
Minister's Office:                                      PageEE70
Main Estimates . ~~ $8,200.00
Supplementary Estimates    5,000.00
$21,314,437.88
$20,715,711.85
$399,042.32
$316.29
$13,200.00
102,690.00
258,930.00
18,550.00
342,300.00
440,570.00
13,445.00
10.00
$11,776.67
103,558.28
252,759.19
24,507.99
328,845.17
435,497.63
2,824.59
$1,423.33
General Administration:                            Page EE 70
$868.28
Controlling and Audit Branch:              PageEE71
Main Estimates     - $256,930.00
6,170.81
Agent-General's Office and B.C. House, London,
England :                                                  Page EE 72
Main Estimates    -  $12,800.00
3,937.99
Surveyor of Taxes Branch:                      PageEE72
Main Estimates   $331,300.00
Supplementary Estimates .       11,000.00
13,454.83
5,072.37
10,620.41
10.00
Social Security and Municipal Aid Tax Branch:
Page EE 74
Main Estimates               $439,870.00
	
Supplementary Estimates             700.00
Housing Commissioner :                              Page EE 75
Mechanical Tabulation Branch:             PageEE76
Probate and Succession Duties Branch:
Page EE 76
27,400.00
203,000.00
10.00
26,137.98
186,933.25
1,262.02
16,066.75
10.00
10.00
	
Purchasing Commission:                           PageEE77
Main Estimates    $195,500.00
Supplementary Estimates         7,500.00
Langford Warehouse :                                  Page EE 78
Office Furniture and Equipment:          PageEE78
10.00
Automobiles and Accessories:                 PageEE 79
10.00
1,316,050.00
22.56
1,244,607.83
12.56
Government Agents, etc. :                         Page EE 80
Main Estimates    $1,264,150.00
71,442.17
$2,736,175.00
$2,617,471.14
$125,542.69
$6,838.83
1 PUBLIC ACCOUNTS, 1952-53
DD 41
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Finance—Continued
Brought forward. —	
116   Postal Branch:
Main Estimates
Page EE 93
117   Printing Public Accounts, Estimates, Revenue
Receipts, Bonds, Cheques, etc. :        Page EE 93
Main Estimates _ 	
118   Incidentals and Contingencies:
Main Estimates    -	
Supplementary Estimates .
Page EE 93
_ $20,000.00
..     5,000.00
119a "Dyking Assessments Adjustment Act,  1905"—
Arrears in Dyking Assessments on Lands Reverted to the Crown :                          Page EE 93
Supplementary Estimates  	
Statutory : Page EE 93
" Municipalities Aid Act "—Motor-vehicle Licences:
Main Estimates  $2,245,000.00
Statutory        310,498.71
' Municipalities   Aid   Act "— Social   Security   and
Municipal Aid Tax:
Main Estimates  $10,350,000.00
Statutory          931,247.09
' Amusements Tax Act "—Payment on Account of
Hospital Construction Fund:
Main Estimates _  $1,520,000.00
Statutory  11,002.93
' Highway Development Act "—Payment Equal to
3-cents-per-gallon Gasoline Tax:
Main Estimates    $4,125,000.00
Statutory         268,550.37
' Supreme Court Act "—Interest on Suitors' Fund
Deposits:
Main Estimates _  $3,000.00
Statutory         703.73
' Civil  Service  Superannuation Act "—Interest on
Superannuation and Retirement Funds:
Main Estimates     $610,000.00
Statutory        36,082.61
' Official Guardian Act "—Interest on Deposits:
Statutory  __ _ _.
"Unclaimed Money Deposits Act":
Statutory  	
' Flood Relief Act "
Statutory  	
' Municipal Superannuation Act'
Statutory	
' Water Act'
Statutory ....
'Electric Power Act":
Statutory 	
Carried forward-
$2,736,175.00
252,380.00
$2,617,471.14
211,336.09
30,000.00 16,223.751 13,776.25
25,000.00 17,978.35
1,893.39
2,555,498.71
11,281,247.09
1,531,002.93
4,393,550.37
646,082.61
273.98
6,331.91
6,437.61
121,614.16
69,197.37
53,833.93
$23,714,222.79
1,893.39
2,555,498.71
11,281,247.09
1,531,002.93
4,393,550.37
646,082.61
273.98
6,331.91
6,437.61
121,614.16
69,197.37
53,833.93]
$125,542.69
41,043.91
$6,838.83
I
"i-
7,021.65
$23,533,677.12|     $187,384.50
$6,838.83 DD 42
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Finance—Continued
Brought forward. 	
Statutory—Continued
" University    Endowment    Lands    Administration
Act ":
Statutory  _ _ 	
" Revenue Act ":
Statutory   	
Special Warrants : Page EE 95
No. 2.   To Authorize Payment of Subsidy Received
from   Government   of  Canada   to   Pacific  Great
Eastern Railway
Nos. 10, 24, and 39. Survey of Organization and
Methods in Various Departments of Government
No. 14. Special Counsel in Connection with
Dominion-Provincial Tax Agreement  	
Department of Fisheries
119   Minister's Office:
Main Estimates
Page EE 98
120   General Administration:
Main Estimates  	
Page EE 98
Department of Health and Welfare
121    Minister's Office:
Main Estimates _
Page EE 98
122   Per Diem Grants under Sec 4 of " Hospital Act ":
Page EE 98
Main Estimates __  $1,500,000.00
Statutory   33,061.20
123    Accounting Division:
Main Estimates 	
Page EE 99
124   Subsidy to Hospital Insurance Service: Page EE 99
Main Estimates   	
125    Provincial Infirmaries:
Main Estimates 	
Supplementary Estimates .
Page EE HI
_ $497,858.00
..      16,000.00
Public Health Branch
126    General Services:
Main Estimates ...
Page EE 115
127   Cancer Control (Including Grants):   PageEE 116
Main Estimates     ....
128   Grants re Public Health Service, Metropolitan
Areas: PageEE 116
Main Estimates     _
129   Grants in Aid of Arthritis Control:    PageEE 116
Main Estimates 	
130   Grants in Aid of Paraplegic Control:  PageEE 116
Main Estimates    	
Carried forward..
$23,714,222.79
$23,533,677.12
$187,384.50
$6,838.83
I
336,756.98] 336,756.98
I
I
90.00] 90.00
I
403,500.00|	
I
40,000.00| 36,611.90
I
2,000.00| 2,000.00
$24,496,569.77] $23,909,136.00
$850.00
38,400.00
$408.50
37,611.83
$39,250.00] $38,020.33
$23,839.00
1,533,061.20
112,144.00
4,686,990.00
513,858.00
172,699.00,
200,000.00
192,000.00
90,000.00
45,000.00
$7,569,591.20
$22,881.37
1,533,061.20
102,742.33
4,686,990.00
403,500.00
3,388.10
$594,272.60
$441.50
788.17
 1-
$ 1,229.671.
$957.63
9,401.67
460,593.62| 53,264.38
148,060.23
180,581.19
180,235.04
90,000.00
45,000.00
24,638.77
19,418.81
11,764.96
$7,450,144.98|     $119,446.22]
 I I
$6,838.83 PUBLIC ACCOUNTS, 1952-53
DD 43
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Health and Welfare—Continued
Public Health Branch—Continued
Brought forward-	
131    Crippled Children (Federal Programme):
PageEE 116
Main Estimates  	
132   Professional Training (Federal Programme) :
PageEE 116
Main Estimates   	
133   Public Health Research (Federal Programme):
PageEE 117
Main Estimates _	
134   Health Survey (Federal Programme) : Page EE 117
Main Estimates  	
135   General Public Health (Federal Programme):
PageEE 117
Main Estimates ._ 	
136   Grants re Local Health Services Building Construction:                                           PageEE 119
Main Estimates    _	
137   Local Health Services:
Main Estimates  	
PageEE 119
138    Division of Laboratories:
Main Estimates  	
Page EE 124
139   Division of Vital Statistics:
Main Estimates 	
Page EE 125
140    Division of Venereal Disease Control:
Page EE 126
Main Estimates
141    Venereal Disease Control (Federal Programme) :
Page EE 128
Main Estimates    	
Division of Tuberculosis Control
142   Central Office, District Nursing and Social
Service: Page EE 128
Main Estimates   $114,802.00
Supplementary Estimates    425.00
143    Travelling Clinics:
Main Estimates 	
Page EE 130
144   In-patient Care and Stationary Clinics :
Page EE 130
Main Estimates     $2,863,919.00
Supplementary Estimates          37,592.00
145   Tuberculosis Control (Federal Programme) :
Page EE 140
Main Estimates _ _ _	
Social Welfare Branch
146   Office of the Deputy Minister:
Main Estimates	
Page EE 141
$7,569,591.20
10.00
$7,450,144.98
10.00
10.00
10.00
10.00
50,000.00
664,173.00
224,690.00
214,750.00
160,911.00
10.00
78,779.00
20,454.95
606,053.47
212,468.32
206,934.81
2,901,511.00|      2,664,497.41
10.00
13,832.00
13,493.96
Carried forward..
$11,993,534,201 $11,459,971.12
$119,446.22
10.00
10.00
10.00
10.00
10.00
29,545.05
58,119.53
12,221.68
7,815.19
111,541.48 49,369.52
10.00
110,663.49 4,563.51
I
63,718.25 15,060.75
237,013.59
10.00
338.04
$533,563.08 DD 44
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Health and Welfare—Continued
Social Welfare Branch—Continued
Brought forward   	
147   Director of Welfare and Family Division:
Page EE 141
Main Estimates 	
148   Field Service:
Main Estimates
Page EE 142
149   Medical Services:
Main Estimates ..
Page EE 145
150   Burial of Indigents:
Main Estimates 	
Page EE 145
151    " Residence and Responsibility Act "—Administration:                                                        PageEE 146
Main Estimates  	
152   Social Allowances (Including Grants) :
Page EE 147
Main Estimates    $4,743,000.00
Special Warrant No. 5        200,000.00
153   Supplementary Mothers' Allowances  for Social
Allowance Cases: Page EE 147
Main Estimates    	
154   Administration and Operation of Sanatorium, Project, and Pavilion for Japanese at New Denver:
Page EE 147
Main Estimates  -   	
155   Medical Services, Drugs, etc.:
Main Estimates   	
Special Warrant No. 7
Page EE 147
$1,696,700.00
230,000.00
156   Hospitalization of Social Assistance Cases:
Page EE 150
Main Estimates     —
Child Welfare Division
157   Administration:
Main Estimates
Page EE 151
158    Maintenance of Dependent Children and Grants
to Homes: Page EE 151
Main Estimates    $1,032,800.00
Supplementary Estimates  —         58,500.00
159   Jewish Overseas Children:
Main Estimates 	
Page EE 151
160   Provincial Home, Kamloops:
Main Estimates 	
Page EE 152
161    Industrial School for Boys:
Main Estimates  	
Supplementary Estimates
Special Warrant No. 26 ...
162   Industrial School for Girls:
Main Estimates  	
Page EE 153
_ $232,245.00
.. 25,800.00
..      11,711.00
Page EE 154
Carried forward..
$11,993,534.20
42,851.00
$11,459,971.12
38,714.95
1,264,488.00       1,081,330.67
42,548.00 43,839.28
20,000.00 16,810.35
1,500.00
4,943,000.00       4,608,177.74
155,000.00
150,000.00
1,926,700.00
3,365,600.00
53,276.00
1,431.95
150,576.85
55,233.60
1,648,966.07
3,560,296.40
53,197.86
1,091,300.00|      1,086,518.32
I
10.00]
*328.49
118,050.00| 80,556.95
269,756.00| 221,728.56
I
I
65,032.00 66,474.14
$533,563.08
4,136.05
182,957.33
3,189.65
68.05
334,822.26
4,423.15
94,766.40
277,733.93
78.14
4,781.68
338.49
37,493.05
48,027.44
$1,291.28
194,696.40
1,442.14
$25,502,645.20] $24,173,696.32] $1,526,378.70    $197,429.82
 I I  I
* Credit. PUBLIC ACCOUNTS, 1952-53
DD 45
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Health and Welfare—Continued
Social Welfare Branch—Continued
Brought forward  	
163   Cost-of-living Bonus Paid to Recipients of Old-age
Assistance,  Universal  Old-age  Security,  and
Blind Persons' Allowances: PageEE 155
Main Estimates  	
Statutory: Page EE 155
" Old-age Assistance Act " and " Blind Persons' Allowances Act ":
Main Estimates   $1,913,410.00
Statutory  13,421.54
' Mothers' Allowances Act ":
Main Estimates 	
' Hospital Insurance Act Inquiry Act ":
Statutory   	
Department of Labour
164   Minister's Office:
Main Estimates _
Page EE 157
165   General Administration:
Main Estimates  	
Page EE 157
166   Board of Industrial Relations:
Main Estimates   	
Page EE 158
167   Factories Inspection:
Main Estimates	
Page EE 158
168   Apprenticeship Branch:
Main Estimates 	
Page EE 158
169 Trade-schools Regulation Branch:       Page EE 159
Main Estimates  I	
170 Industrial Arbitration and Conciliation Branch:
Page EE 159
Main Estimates   __ _ $114,931.00
Supplementary Estimates          8,000.00
,171    Labour Relations Board:
Main Estimates 	
Page EE 160
'■ Indian Inquiries Act ":
Main Estimates  —	
Page EE 160
173    Rentals Control Office:
Main Estimates	
Page EE 160
174   Automobiles and Accessories:
Main Estimates	
Page EE 161
Special Warrants:                                    PageEE 161
No. 21. Holding of Vote under " Industrial Conciliation and Arbitration Act "    	
No. 31. Holding of Vote under " Industrial Conciliation and Arbitration Act
No. 40. Costs of United Steel Workers of America
under Order of Mandamus against Labour Relations Board _._
$25,502,645.20
4,369,000.0a1
1,926,831.54
I
I
268,584.00
3,260.77
$24,173,696.32
3,676,910.59
1,926,831.54'
260,876.26
3,260.77'
$1,526,378.70
692,089.41
$197,429.82
7,707.74
$32,070,321.51
$30,041,575.48
$2,226,175.85
$197,429.82
$19,608.00| $18,366.34
190,056.00
15,266.00
28,796.00
182,688.43
11,534.52
25,814.16
24,636.00| 20,797.32]
4,574.00
122,931.00
. ..        I
48,416.00':
16,625.00
59,847.00
5,200.00
3,700.24
127,899.58
I
!
42,250.18
7,884.50
50,286.10
3,983.63
$1,241.66
7,367.57
3,731.48
2,981.84
3,838.68
873.76
$4,968.58
3,011.52| 3,011.52
651.80
980.20
$540,598.52|
	
651.80
980.20
6,165.82
8,740.50
9,560.90
1,216.37
$499,848.52
$45,718.58
$4,968.58 DD 46
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Lands and Forests
Page EE 161
175   Minister's Office:
Main Estimates ..
Lands Service
176   General Administration:
Main Estimates 	
Page EE 162
177   Accounting Division:
Main Estimates 	
PageEE 162
178   Lands Branch:
Main Estimates
Page EE 163
179   Inspection Division:
Main Estimates —	
Page EE 163
180   Land Settlement Board:
Main Estimates  _
Page EE 164
181   Land Utilization Research and Survey:
Page EE 164
Main Estimates
182   Coal, Petroleum, and Natural Gas Control:
Page EE 165
Main Estimates    $96,287.00
Special Warrant No. 13        12,000.00
183   Dyking Commission:
Main Estimates	
Page EE 166
Surveys and Mapping Branch
184   Administration:
Main Estimates
Page EE 166
185    Spfcial Commitments:
Main Estimates -
Page EE 167
186   Legal Surveys Division:
Main Estimates 	
Page EE 167
187    Geographic Division:
Main Estimates 	
Page EE 168
188   Topographic Division:
Main Estimates —	
Page EE 169
189   Ant Survey Division:
Main Estimates 	
Page EE 170
190   Water Rights Branch:
Main Estimates	
Page EE 171
191   Hydraulic Surveys:
Main Estimates	
Page EE 172
192   Fraser River Basin Board:
Main Estimates 	
Page EE 173
193   B.C. Hydrometric Stream-gaugino:        Page EE 173
Main Estimates 	
194   Peanut Lake Drainage:
Main Estimates 	
Page EE 173
195   Grant:     British   Columbia   Natural   Resources
Conference: Page EE 173
Main Estimates	
Carried forward..
$15,486.00
110,455.00
66,735.00
$13,645.41
100,749.48
53,214.42
121,248.00] 107,469.32
78,276.00] 74,255.40]
16,382.00
94,885.00
108,287.00
18,311.00
214,475.00|
I
I
60,000.00|
I
I
163,462.00|
I
I
128,133.00|
278,573.00|
294,026.00
262,569.00
83,210.00
137,500.00
10,000.00
5,000.00
1,500.00
$2,268,513.00
9,451.69
87,381.39
62,800.28
12,545.55
172,658.54
68,413.78
151,559.24
116,445.04|
285,931.54
312,038.25
239,338.08
99,492.39
63,199.85
10,000.00
5,000.00
1,500.00
$1,840.59
9,705.52
13,520.58
13,778.68
4,020.60
6,930.31
7,503.61
45,486.72
5,765.45
41,816.46
11,902.76
11,687.96
$2,047,089.65
23,230.92
74,300.15
$271,490.31
$8,413.78
7,358.54
18,012.23
16,282.39
$50,066.96 PUBLIC ACCOUNTS, 1952-53
DD 47
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Lands and Forests—-Continued
Lands Service—Continued
Brought forward 	
196   " Soldiers' Land Act " (Southern Okanagan Lands
Project) : Page EE 173
Main Estimates    i	
197   Recoverable   Expenditure—" Soldiers'   Land   Act,
1918": PageEE 173
Main Estimates	
Forest Service
198   Salaries:
Main Estimates
199   Expenses:
Main Estimates
Page EE 173
Page EE 179
200   Reforestation and Forest Nursery:     PageEE 184
Main Estimates 	
201   Provincial Parks:
Main Estimates ..
Statutory Estimate 	
Statutory Addition	
Page EE 186
- $855,988.00
6,000.00
3,397.35
202   Forest Management:
Main Estimates 	
Page EE 189
203   Forest Research:
Main Estimates .
Page EE 190
204   Public Relations (Forest):
Main Estimates 	
PageEE 191
205   Forest Ranger School:
Main Estimates 	
Page EE 191
206   Forest Protection Fund:
Main Estimates 	
Supplementary Estimates
Page EE 192
$2,000,000.00
477,000.00
207 Grant to Canadian Forestry Association:
Page EE 192
Main Estimates 	
208 Office Furniture and Equipment:        PageEE 192
Main Estimates   	
209   Rentals:
Main Estimates
Supplementary Estimates
210   Boys' Training Camps:
Main Estimates 	
Page EE 192
  $49,100.00
....    16,500.00
Page EE 192
Statutory: Page EE 193
" Forest Act "—Forest Reserve Account:
Main Estimates  $321,000.00
Statutory         192,038.27
' Grazing Act "—Range Improvement:
Main Estimates 	
'Municipal Act":
Statutory  . _
$2,268,513.00
42,315.00
100.00
2,107,570.00
1,265,240.00
460,510.00
865,385.35
192,970.00
95,120.00
90,000.00
60,340.00
2,477,000.00
5,000.00
79,740.00
65,600.00
150,000.00
513,038.27
48,000.00
1,580.00
$2,047,089.65
42,315.00
98.47
1,965,420.94
1,101,203.28
447,914.06
874,704.69
127,550.15
81,012.92
97,855.49
55,385.09
2,000,000.00
5,000.00
76,574.50
56,306.72
121,224.97
513,038.27
1,580.00
$271,490.31
1.53
142,149.06
164,036.72
12,595.94
65,419.85
14,107.08
4,954.91
477,000.00
3,165.50
9,293.28
28,775.03
48,000.00
$50,066.96
9,319.34
7,855.49
Carried forward..
$10,788,021.62
$9,614,274.20
$1,240,989.21
$67,241.79 DD 48
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Lands and Forests—Continued
Brought forward 	
Special Warrants: PageEE 193
No. 6.   Control of Flood Conditions in Okanagan
Valley
No. 12.   Erosion of Fraser River Banks	
No. 35.   Casing and Capping Wells at Tulameen..
No. 41.    Payment re Judgment	
$10,788,021.62
550,000.00
5,000.00
6,000.00
5,000.00
$11,354,021.62
Department of Mines
211    Minister's Office:
Main Estimates ...
PageEE 211
212   General Administration:
Main Estimates 	
Supplementary Estimates ...
213   Mineralogical Branch:
Main Estimates 	
Supplementary Estimates
214   Analytical and Assay Branch:
Main Estimates 	
PageEE 211
.... $91,471.00
....     4,227.00
Page EE 213
_ $150,269.00
4,730.00
Supplementary Estimates
215    Inspection Branch:.
Main Estimates 	
Page EE 212
.... $48,166.00
....     3,380.00
Supplementary Estimates
216    Grants:
Main Estimates
Page EE 212
_ $119,453.00
7,517.00
Page EE 213
217    Grants in Aid of Mining Roads and Trails:
Page EE 213
Main Estimates      	
218    Grub-staking Prospectors:
Main Estimates 	
Page EE 213
219   Subsidy re Explosives:
Main Estimates 	
Page EE 214
220   Interprovincial Committee on Mining:
Page EE 214
Main Estimates
221   Incidentals and Contingencies:
Main Estimates |	
Page EE 214
222   Advertising in Weekly Newspapers:     PageEE214
Main Estimates 	
Statutory:
" Iron and Steel Bounties Act'
Main Estimates i 	
Page EE 214
' Metalliferous Mines Regulation Act'
Statutory     .	
Department of Municipal Affairs
223   Minister's Office:
Main Estimates —
Page EE 214
$9,614,274.20
4,698.18
5,852.58
5,000.00
$1,240,989.21
550,000.00
301.82
147.42
$9,629,824.96
$1,791,438.45
$7,792.00
95,698.00
154,999.00
51,546.00
126,970.00
11,100.00
40,000.00
500.00
3,000.00
3,900.00
3,500.00
20,000.00
2,236.221
$2,813.44
89,836.05
149,333.32
49,941.02
111,844.10
10,800.00
325,000.001 294,030.44
I
18,772.28
250.14
1,526.14
1,390.82
$4,978.56
5,861.95
5,665.68
1,604.98
15,125.90
300.00
30,969.56
21,227.72
249.86
1,473.86
2,509.18
3,500.00
20,000.00
2,236.22
$846,241.22]       $752,773.97
 1	
$1,250.00 $1,202.79
Carried forward..
$1,250.00| $1,202.79
$93,467.25
$47.21
$47.21
$67,241.79
$67,241.79 PUBLIC ACCOUNTS,  1952-53
DD 49
No.
of                                     SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Municipal Affairs—Continued
$1,250.00
85,601.00
51,679.00
10,800.00
52,314.30
$1,202.79
80,311.44
44,776.49
10,800.00
$47.21
5,289.56
6,902.51
224   General Administration:                        PageEE214
Main Estimates                               $83,601.00
Supplementary Estimates   ..                  2,000.00
225    Regional Planning Division:                  PageEE 215
226   Grants:                                                      PageEE 215
Main Estimates                    $5,800.00
Special Warrant No. 27     5,000.00
Special Warrants:                                    PageEE215
Nos. 23, 32, 36, 37, 38, 42, 43, 44, 45, 46, 47, 48,
49, and 50.    Reimbursement of Taxes re Incorpo-
52,314.30
$201,644.30
$189,405.02
$12,239.28
Department of the Provincial Secretary
227   Minister's Office:                                      PageEE 217
$11,620.00
47,521.00
175,000.00
10.00
$11,407.35
47,187.24
173,251.02
$212.65
333.76
1,748.98
10.00
3,026.66
228    General Administration:                          PageEE 217
Main Estimates       —  $46,921.00
229    Grants to Children's Homes, Convalescent Homes,
and Homes for the Aged, etc. :       Page EE 217
230   Construction  in  Respect  of  Provincial  Mental
Hospitals, Tuberculosis Hospitals, etc.
Page EE 217
231    Civil Service Commission:                        PageEE 218
Main Estimates    $120,956.00
128,750.00
12,000.00
10.00
58,500.00
1,778,390.45
85,000.00
20.00
125,723.34
11,999.01
9.99
54,757.29
1,778,390.45
Supplementary Estimates           7,794.00
232   Grants re Civil Service—Gratuities:   PageEE218
Main Estimates      $6,000.00
.99
Special Warrant No. 29      6,000.00
233    Superannuation Branch:                           PageEE 218
.01
3,742.71
234   Grants re Retiring Allowances:           Page EE 219
235    " Civil   Service   Superannuation   Act "—Government Contributions:                          PageEE 219
Main Estimates  $1,320,000.00
Statutory              8,390.45
236   " Teachers' Pensions Act "—Allowances :
Page EE 219
82,018.50
2,981.50
20.00
237    Queen's Printer:                                         PageEE 220
Main Estimates  $10.00
Supplementary Estimates     10.00
$2,296,821.45
$2,284,744.19
$12,077.26 DD 50
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
CURRENT ACCOUNT—Continued
Department of the Provincial Secretary—Continued
Brought forward-   	
238   Government House:
Main Estimates 	
Supplementary Estimates
Page EE 222
.... $14,286.00
....      1,000.00
239    Assessment on  Class   13   (The  Crown),   "Workmen's Compensation Act": PageEE 222
Main Estimates    $360,000.00
Supplementary Estimates      160,000.00
240    Civil Service Schedule Bond:
Main Estimates  	
Page EE 222
241    Contingencies,   Incidentals,   Entertainments,
Grants, etc. Page EE 222
Main Estimates ..._ $30,000.00
Supplementary Estimates         1,000.00
242   In Aid of Resident Physicians, Medical Aid, etc.:
Page EE 222
Main Estimates 	
243    B.C.  Provincial Government Employees' Medical
Services: Page EE 223
Main Estimates   	
244   Grants to Charitable and Other Associations:
Page EE 223
Main Estimates   	
245    Collections Office:
Main Estimates 	
Page EE 223
246   Farms :
Main Estimates
Page EE 223
Provincial Mental Health Services
247    Headquarters :
Main Estimates
Supplementary Estimates ...
Page EE 226
.... $90,398.00
....     2,000.00
248    Preventive Services:
Main Estimates —
Supplementary Estimates
249    Provincial Mental Hospitals:
Main Estimates  —
Supplementary Estimates 	
Page EE 227
.. $113,075.00
1,500.00
Page EE 228
$6,223,922.00
67,000.00
250   Mental Health Care (Federal Programme) :
Page EE 236
Main Estimates	
251   Homes for the Aged: PageEE237
Main Estimates      $1,016,666.00
Supplementary Estimates     14,000.00
252   Civil Defence:
Main Estimates
Page EE 240
Carried forward .
Total
Appropriation
Expended
$2,296,821.45
15,286.00
520,000.00
11,500.00
31,000.00
33,000.00]
10,000.00],
95,000.00]
15,430.00]
30.00|
92,398.00]
114,575.00
$2,284,744.19
16,334.82
520,000.00
10,590.24
29,773.83
Unexpended
I
15,522.40
"116,013.04
91,440.1
99,213.55
6,290,922.00|      5,805,245.83
10.00
1,030,666.00] 812,149.13
I
I
150,000.00] 71,143.30
-
$12,077.26
909.76
1,226.17
Over-
expended
17,281.46| 15,718.54
I
10,000.00
736.19
116,043.04
15,361.45
485,676.17
10.00
218,516.87
I
78,856.70]
$1,048.82
92.40
 1 1	
$10,706,638.45|    $9,751,690.40|     $956,089.27|       $1,141.22
' Credit. PUBLIC ACCOUNTS,  1952-53
DD 51
No.
of                                     SERVICE
Vote
Total
Appropriation
Expended
Unexpended      e°™^
CURRENT ACCOUNT— Continued
Department of the Provincial Secretary—Continued
$10,706,638.45
100,000.00
4,200.00
787,500.22
19,197.80
74,000.00
35,000.00
10,000.00
166,162.00
200,000.00
$9,751,690.40
100,000.00
4,200.00
$956,089.27
$1,141.22
252A Grant in Aid of Flood-devastated Areas in Europe:
Page EE 240
Statutory:                                                 Page EE 240
" An Act to provide for the Payment of an Allowance to F. A. Pauline ":
" Provincial Elections Act ":
Main Estimates               _                 ..      $56,137.00
787,500.22
..
Statutory   __     731,363.22
" Public Inquiries Act ":
Main Estimates      $1,000.00
Statutory    _..~        18,197.80
19,197.80
" Civil Service Superannuation Act ":
70,954.56
27,338.00
10,000.00
50,390.72
200,000.00
3,045.44
7,662.00
" Civil Service Act," Sec. 69:
Special Warrants:                                    Page EE 243
No. 22.   Grant to Canadian Branch of the Common-
No. 34.    Civil Defence  .  	
115.771.28
No. 51.   Grant to British Empire Games (1954) Ltd.
  1  -
$12,102,698.47
$11,021,271.70
$1,082,567.99]       $1,141.22
Public Utilities Commission
Statutory:                                                     Page EE 243
"Public Utilities Act ":
$88,788.00
253,629.00
$75,899.56
242,363.38
$12,888.44
11 265.62
"Motor Carrier Act":
$342,417.00
$318,262.94
$24,154.06
Department of Public Works
253    Minister's Office:                                             Page EE 245
Main Estimates    $10,815.00
Supplementary Estimates          5,350.00
$16,165.00
1,406,279.00
592,661.00
69,788.00
1,866,868.00
$14,626.37
1,283,940.72
532,004.08
69,706.99
1,701,605.01
$1,538.63
122 338 28
254   General Administration :                        Page EE 245
Main Estimates                          $1,338,279.00
Supplementary Estimates           68,000.00
255    Maintenance   of   Parliament   Buildings   and
Grounds :                                                Page EE 249
Main Estimates      $571,661.00
60,656.92
Supplementary Estimates       21,000.00
256   Government House (Maintenance):    PageEE251
Main Estimates     $68,263.00
81.01
165,262.99
257   Maintenance and Repairs to Government Buildings  (except Parliament Buildings and Government House) :                                Page EE 252
Main Estimates    $1,778,868.00
Supplementary Estimates                88,000.00
$3,951,761.00
$3,601,883.17
S349.877.83
1 DD 52
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Public Works—Continued
Brought forward 	
258   Rental and Maintenance of  Offices, Buildings,
and Grounds : Page EE 256
Main   Estimates    _   	
259   Roads, Bridges, Ferries, Wharves, etc. :   Page EE 258
Main Estimates   $9,490,500.00
Supplementary Estimates        509,500.00
260   Maintenance of Fraser River (New Westminster)
Bridge: Page EE 302
Main Estimates    $50,000.00
Supplementary Estimates  _    26,000.00
261   Snow-removal:
Main Estimates
Supplementary Estimates
Page EE 302
$1,000,000.00
751,000.00
262   Local Highways within Municipal Limits:
Page EE 304
Main Estimates  	
263    Grants to Cities with Population in Excess of
15,000: PageEE 305
Main Estimates   	
264   Highway Signs:
Main Estimates
Supplementary Estimates
265   Research and Testing Services:
Main Estimates 	
Page EE 305
_ $140,000.00
1,325.00
Page EE 305
266   Gravel-crushing :
Main Estimates
Page EE 305
267   Grants to Engineering Associations :   Page EE 306
Main Estimates  — — 	
268   Dewdney Dyking Commission—Grant: Page EE 306
Main Estimates 	
269   Steam-boiler Inspection:
Main Estimates 	
Page EE 306
$10.00
Supplementary Estimates     7,670.00
270   Electrical Energy Inspection:
Main Estimates 	
Page EE 307
.... $46,574.00
Supplementary Estimates       7,925.00
Special Warrants: Page EE 309
No. 19. Compensation to Claude C. and Kriena J.
King for Damages to Property during Installation
of Sewage System at Home for Aged, Terrace	
No. 20. Repairs to Outpost Hospital at Telegraph
Creek       	
No.   25.    Acquisition   of  Creek  Right-of-way  and
Channel Construction, Penticton  	
$3,951,761.00
10.00
10,000,000.00
1,751,000.00
75,000.00
40,000.00
141,325.00
5,000.00
10.00
1,000.00
2,500.00
I
7,680.00
54,499.00
2,500.00
522.70
43,289.88
$16,152,097.58
$3,601,883.17
681.34
9,873,692.53
76,000.00 64,511.10
1,540,390.05
74,677.28
39,675.00
141,016.26
4,930.03
*37.77
800.00
2,500.00
11,369.76
12,617.49
2,500.00
522.70
2,500.00
I
$15,374,*229.54
$349,877.83
$671.34
126,307.47
11,488.90
210,609.95
322.72
325.00
308.74
69.97
47.17
200.00
3,689.76
41,881.51
40,789.88
$782,229.14
I
$4,361.10
* Credit. PUBLIC ACCOUNTS,  1952-53
DD 53
No.
of                                     SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Railway Department
271   Minister's Office:                                    PageEE 310
$600.00
52,517.00
7,000.00
$5,519.45
48,606.73
6,429.62
$4,919.45
272   General Administration:                        PageEE 310
Main Estimates                      $46,117.00
3,910.27
570.38
Special Warrants:                                    PageEE310
No. 18.   To Provide for Salary of Deputy Minister
$60,117.00
$60,555.80
$4,480.65
$4,919.45
Department of Trade and Industry
273   Minister's Office:                                    PageEE 311
Main Estimates   _  $5,526.00
$5,730.00
16,171.00
238,621.00
162,582.00
59,120.00
54,099.00
150,000.00
$5,366.61
17,388.12
201,030.43
150,929.22
44,233.74
47,480.42
150,000.00
$363.39
274   General Administration:                        PageEE311
Main Estimates                     —.   $14,871.00
$1,217.12
275   British Columbia Government Travel Bureau:
PageEE 311
Main Estimates                                $235,871.00
37,590.57
11,652.78
14,886.26
6,618.58
Supplementary Estimates  —       2,750.00
276   Bureau of Economics and Statistics:   PageEE 312
Main Estimates      $153,700.00
277   Trade Commissioner's Office:                PageEE313
278   Regional Development Division:           PageEE 314
Main Estimates                    —.   -        $51,699.00
279    Grant:   British Columbia Research Council:
Page EE 314
$686,323.00
$616,428.54
$71,111.58
$1,217.12
Capital Expenditure Out of Revenue
280   Grants in Aid of Construction and Equipment of
Public Schools:                                    PageEE 315
$6,500,000.00
$6,500,000.00 DD 54
PUBLIC ACCOUNTS,  1952-53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
RECAPITULATION
Public Debt:
Interest, Premium, and Exchange 	
Sinking Funds   	
Redemption of Debt  	
Legislation _   	
Premier's Office	
Department of Agriculture 	
Department of the Attorney-General .
Department of Education	
Department of Finance 	
Department of Fisheries .
Department of Health and Welfare
Department of Labour 	
Department of Lands and Forests _
Department of Mines
Department of Municipal Affairs 	
Department of the Provincial Secretary   _.
" Public Utilities Act " and " Motor Carrier Act'
Department of Public Works   	
Railway Department .
Department of Trade and Industry 	
Capital Expenditure Out of Revenue ...
Totals, fiscal year 1952-53 .	
$7,311.
7,197.
13,104.
207,
34.
1,118.
5,871.
21,314.
24,496.
39.
32,070.
540,
11,354.
846.
201,
12,102,
342,
16,152,
60
686
6,500,
698.50
928.93
103.72
526.37
506.00
405.17
595.96
437.88
569.77
250.00
,321.51
598.52
021.62
241.22
,644.30]
.698.47J
417.00J
097.58 j
,117.00]
,323.00]
,000.00]
$6,673,
7,017,
13,104,
207,
30,
1,033,
5,668
20,715,
23,909
38
30,041
499
9,629
752
189
11,021
318
15,374
60
616
6,500
419.03
067.96
103.72
526.37
079.97
249.80
419.83
,711.85]
,136.00|
,020.33 j
,575.48
,848.52
,824.96
,773.97
405.02
271.70
,262.94
,229.54
555.80
,428.54
,000.00
$638,279.47
180,860.97
4,426.03
85,622.82
320,204.46
599,042.32
594,272.60
1,229.67
2,226,175.85
45,718.58
1,791,438.45
93,467.25
12,239.28
1,082,567.99
24,154.06
782,229.14
4,480.65
71,111.58
$161,552,502.52|$153,400,911.33|
       I I
467.45
117,028.33
316.29
6,838.83
197,429.82
4,968.58
67,241.79
1,141.22
4,361.10
4,919.45
1,217.12
1,557,521.17    $405,929.98
I

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