Open Collections

BC Sessional Papers

PUBLIC ACCOUNTS FISCAL YEAR ENDED MARCH 31, 1958 PERIOD FROM APRIL 1, 1957, TO MARCH 31, 1958 British Columbia. Legislative Assembly 1959

Item Metadata

Download

Media
bcsessional-1.0355416.pdf
Metadata
JSON: bcsessional-1.0355416.json
JSON-LD: bcsessional-1.0355416-ld.json
RDF/XML (Pretty): bcsessional-1.0355416-rdf.xml
RDF/JSON: bcsessional-1.0355416-rdf.json
Turtle: bcsessional-1.0355416-turtle.txt
N-Triples: bcsessional-1.0355416-rdf-ntriples.txt
Original Record: bcsessional-1.0355416-source.json
Full Text
bcsessional-1.0355416-fulltext.txt
Citation
bcsessional-1.0355416.ris

Full Text

 PROVINCE OF BRITISH COLUMBIA
PUBLIC ACCOUNTS
FISCAL YEAR ENDED MARCH 31, 1958
PERIOD FROM APRIL 1, 1957, TO MARCH 31, 1958
Printed by Don McDiarmid, Printer to the Queen's Most Excellent Majesty
in right of the Province of British Columbia.
1958  To the Honourable Frank Mackenzie Ross, C.M.G., M.C., LL.D.,
Lieutenant-Governor of the Province oj 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, 1958.
W. A. C. BENNETT,
Minister of Finance.
Department of Finance,
Victoria, B.C., September 30, 1958. Victoria, B.C., September 30, 1958.
The Honourable W. A. C. Bennett,
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, 1958.
Respectfully submitted.
C. J. FERBER, C.A.,
Comptroller-General. PUBLIC ACCOUNTS,  1957/58 E 5
Order of Public Accounts
Main Statements : Ref. No.
Balance-sheet as at March 31, 1958     E 6-7
Revenue and Expenditure (Current Account, Summary by Departments)  for the
Fiscal Year Ended March 31, 1958      E 8-9
Cash Receipts and Payments  (Consolidated Revenue Fund)   for the Fiscal Year
Ended March 31, 1958  E 10-11
Source and Application of Funds for the Fiscal Year Ended March 31, 1958       E 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, 1958  E 14-17
Supplementary Statements:
Details of Assets, Liabilities, Surplus, and Revenue Surplus Appropriation Accounts E 19-29
Details of Revenue E 30-32
Details of Appropriation and Expenditure E 33-54
Details of Expenditure:
Current Account, Including Capital Expenditure out of Income       1-117
Capital Account  118
Revenue Surplus Appropriation Account  119
Special Project Funds:
Beef Cattle Producers' Assistance Fund  —      10
Conservation Fund     „       88
Dog Tax Fund _       23
Equipment Fund        ..    _ 70
Forest Development Fund         88
Game Conservation Fund „_         — 110
Grazing:   Range Improvement Fund        88
Highway Development Fund          51
Hospital Construction Fund       51
Housing Act Fund ._     „     51
Industrial Development Fund    72
" Pound District Act "   .     _~  10
Scaling  Fund    j . -—-  . .   87
University Endowment Lands Administration Account     —   80
Summary of Detailed Expenditure  121
Schedule of Indemnities and Mileage Paid to Members of Legislature  122
Schedule of Salaries, Wages, and Travelling Expenses by Departments  123-262
Schedule of Payments to Municipalities, School Districts, Hospitals, Individuals, Firms,
and Corporations for Supplies or Services Rendered, Including Grants 263-299
Securities Deposited with the Government pursuant to Various Acts  300
Financial Statements of Boards, Commissions, and Government Enterprises Not Otherwise Shown in the Public Accounts:
British Columbia Liquor Control Board   302-305
British Columbia Power Commission       306-307
Land Settlement Board     308-309
British Columbia Toll Highways and Bridges Authority   310-311
Pacific Great Eastern Railway Company   312-313
Workmen's Compensation Board         314-316
Index to Details of Revenue and Expenditure  317-331 E 6
PUBLIC ACCOUNTS,  1957/58
ASSETS
PROVINCE OF
BALANCE-SHEET
Ref. No.
General:
E 19     Cash on Hand and in Banks
E 19
E 19
E 20
E 20
E 20
E 21
E 21
E 21
Investments
j" Par value 1958, $34,538,402..
| Par value 1957, $64,444,653..
Accounts and Taxes Receivable	
Loans and Advances	
E 20     Agreements of Sale, Mortgages Receivable, and Properties
Held for Sale	
Supplies and Equipment	
Deferred Charges—discount on debentures-
Advances to Special Project Funds	
Pacific Great Eastern Railway Company	
Fixed Assets 	
Superannuation and Retirement Funds:
E 21      Cash in Banks	
_ „, f Par value 1958, $51,387,336...
E 21      Investments   j Par value ml> mA52fiin._
1958 1957
$3,483,293.21 $6,880,981.70
34,491,236.53
64,286,265.86
10,119,788.14 9,392,845.38
47,296,709.80 46,272,282.11
2,454,575.46 2,471,016.10
4,224,494.05 193,210.91
816,920.70 1,296,878.66
5,083,653.33 7,662,551.14
65,290,900.00 65,290,900.00
399,577,762.37 338,961,479.91
$572,839,333.59 $542,708,411.77
3,376,588.83
52,540,168.19
3,111,089.70
47,246,471.24
Trust:
E 22      Miscellaneous Cash and Investments..
20,072,998.34   15,041,798.20
$648,829,088.95 $608,107,770.91 PUBLIC ACCOUNTS,  1957/58
E 7
BRITISH COLUMBIA
AS AT MARCH 31,  1958
Page
Ref. No.
General:
E 22     Bonded Debt
LIABILITIES
~ •;,. T .  , .       ,      ,     ( Par value 1958, $97,290,299..
E 23 iess smkmg funds j Par vaIue 1957j $74,975,4x9:
1958 1957
$165,488,500.00 $181,672,500.00
88,173,242.95
72,328,588.89
$77,315,257.05 $109,343,911.11
17,867,092.76 18,634,199.57
400,000.00 600,000.00
12,371,380.74 13,105,966.36
25,662,103.76 20,614,445.71
1,471,351.47 1,690,565.83
1,656,585.52 2,388,888.49
3,710,142.80 3,742,514.55
141,584.43 7,174,719.46
432,243,835.06 365,413,200.69
$572,839,333.59 $542,708,411.77
Superannuation and Retirement Funds:
E 27      Civil Service Superannuation Fund       49,143,524.88 43,409,519.64
E 27      Retirement Fund          6,600,151.57 6,852,366.84
E 27      Members of Legislative Assembly Superannuation Account            173,080.57 95,674.46
E 23 Treasury Bills—Government of Canada, long-term serial..
E 23      Treasury Bills—temporary financing	
E 24     Trust Deposits 	
E 24     Accounts Payable 	
E 24     Accrued Expenditure—interest on public debt	
E 24      Special Project Funds—unexpended balances	
E 25      Reserves for Losses on Realization of Assets	
E 25      Deferred Revenue 	
E 26     Excess of Assets over Liabilities and Reserves..
Trust:
E 27      Miscellaneous Trust Deposits..
20,072,998.34        15,041,798.20
$648,829,088.95    $608,107,770.91
E 27      Contingent Liabilities (Net)   $385,163,986.98    $241,334,638.58
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, 1958, and is in
accordance with the books of the Province.
C. J. FERBER, C.A.,
Comptroller-General. E 8 PUBLIC ACCOUNTS,  1957/58
PROVINCE OF
SUMMARY OF REVENUE AND
FOR THE FISCAL YEAR
REVENUE
Page
Ref. No. 1958 1957
E 30      Property Taxes   $6,320,942.52 $6,006,589.80
E 30      Sales, Hospital Construction Aid, and Pari-mutuel Taxes.. 117,443,004.29 113,638,245.64
E 30      Federal Tax Rental Agreement  58,983,000.00 56,213,236.90
E 31      Privileges,   Licences,   and  Natural   Resources  Taxes   or
Royalties    58,971,745.21 60,616,273.47
E 31      Land Sales and Service Fees  2,948,824.80 2,897,581.14
E 31      Fines and Penalties  768,578.81 667,999.02
E 31      Interest, Discount, Premium, and Exchange  1,221,074.92 1,850,783.83
E 31      Contributions from Other Governments  2,606,775.06 2,696,589.06
E 31      Contributions from Government Enterprises  26,898,588.50 25,132,186.22
e 31      Miscellaneous Revenue  651,399.00 559,817.35
E 32      Non-revenue and Surplus Receipts  510,444.62 504,489.92
$277,324,377.73    $270,783,792.35
Current Account Revenue over Expenditure, brought down    $51,779,572.54     $69,728,636.51
E 32     Transfer from Deferred Revenue—final settlement, Tax
Rental Agreement, 1947         6,104,422.40 —
Net Expenditure over Revenue, carried to Revenue Surplus
Appropriation Account (page E 26) for the fiscal
years ended March 31, 1958 and 1957       27,937,422.41 8,187,494.12
$85,821,417.35      $77,916,130.63
* Exclusive of Capital Account, Revenue Surplus Appropriation Account, and Special Funds.    Complete consolidation shown on pages E 14-17. PUBLIC ACCOUNTS,  1957/58
E9
BRITISH COLUMBIA
EXPENDITURE BY DEPARTMENTS*
ENDED MARCH 31, 1958
EXPENDITURE
91
92
104
105
108
108
112
113
Page
Ref. No.
1
3
3
10
23
32
51
66
70
72        Department of Industrial Development, Trade, and Commerce   	
75        Department of Labour 	
Public 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 Highways 	
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 Recreation and Conservation
Hospital Insurance Service	
Current Account Revenue over Expenditure, carried down
1958
$11,221,587.35
345,550.48
59,592.98
1,834,331.46
9,395,382.00
49,945,187.21
37,955,390.34
28,876,984.52
17,429,914.70
644,533.69
817,203.63
11,403,954.61
756,092.08
162,215.17
14,592,227.83
292,827.44
3,503,739.32
62,171.65
2,171,110.59
34,074,808.14
$225,544,805.19
51,779,572.54
1957
$14,343,996.25
335,201.48
33,967.66
1,685,064.31
8,435,445.29
45,887,673.06
24,885,871.36
34,709.35
28,206,807.79
17,424,108.37
524,
11,837
755,
168
13,818
296
3,448.
53.
841
28,038
359.85
310.73
107.69
120.75
174.00
538.83
453.33
897.69
533.04
815.01
$201,055,
69,728,
155.84
636.51
$277,324,377.73    $270,783,792.35
H7        Capital Expenditure out of Income     $62,640,180.80      $62,916,130.63
in       Capital Expenditure out of Income, applied to Supplemen
tary Sinking Fund
117        Net loss on sale of investments (sec. 9).
21,104,422.00
2,076,814.55
15,000,000.00
$85,821,417.35      $77,916,130.63 E 10 PUBLIC ACCOUNTS,  1957/58
PROVINCE OF
CONSOLIDATED
Statement of Receipts and Payments
NET RECEIPTS
Page Current Account     Capital Account Total
Ref. No.
E 8      Revenue as scheduled in Statement of Revenue and Expenditure  $277,324,377.73 — $277,324,377.73
Deduct items included but not represented
by cash received:
Increase in accounts and taxes receivable 568,423.34 — 568,423.34
Accrued interest on public debt   219,214.36 — 219,214.36
Current revenue receipts   $276,536,740.03 — $276,536,740.03
Decrease in investments       29,795,029.33 — 29,795,029.33
Special Project Funds, decrease in advances 54,591.28 — 54,591.28
$306,386,360.64 — $306,386,360.64
Cash on hand and in banks at beginning of
period, April 1, 1957        6,566,654.13     $314,327.57       6,880,981.70
$312,953,014.77     $314,327.57 $313,267,342.34 PUBLIC ACCOUNTS,  1957/58
E 11
BRITISH COLUMBIA
REVENUE FUND
for the Fiscal Year Ended March 31, 1958
Page
Ref. No.
NET PAYMENTS
Current Account     Capital Account
Total
E 9      Expenditure as scheduled departmentally in
Statement of Revenue and Expenditure.. $225,544,805.19
E 9      Capital Expenditure out of Income  62,640,180.80
E 9      Supplementary Sinking Fund  21,104,422.00
Gross loss on sale of investments  3,005,527.18
$312,294,935.17
Deduct items included but not represented
by cash payments:
Increase in accounts payable	
5,047,658.05
Current expenditure payments	
Decrease in trust deposits	
Special Project Funds:
Net disbursements in excess of receipts.
Increase in loans and advances	
E 26    Revenue Surplus Appropriation Account
U8    Capital Account 	
Other payments:
Increase in supplies and equipment	
$307,247,277.12
734,585.62
732,302.97
774,885.04
3,624.36
$312,294,935.17
5,047,658.05
$259,364.28
32,009.74    —
$307,247,277.12
734,585.62
732,302.97
774,885.04
3,624.36
259,364.28
32,009.74
E 19 Cash on hand and in banks at end of period,
March 31, 1958	
$309,524,684.85  $259,364.28 $309,784,049.13
3,428,329.92   54,963.29   3,483,293.21
$312,953,014.77  $314,327.57 $313,267,342.34 E 12
PUBLIC ACCOUNTS,  1957/58
PROVINCE OF BRITISH COLUMBIA
STATEMENT OF SOURCE AND APPLICATION OF FUNDS
FOR THE FISCAL YEAR ENDED MARCH 31,  1958
APPLICATION OF FUNDS:
Applied to excess of Expenditure over Revenue for the year ended March 31, 1958 (page E 8) ...
Add non-cash items credited:
Debt interest      	
r'X
Deferred credits taken to revenue:
Tax Rental Agreement, 1947, final payment-
Gain on investments sold  — „
Capital Expenditure   (page  118)
expenditure under Revenue Surplus Appropriation Acts (page E 26)..
increase of loans and advances  	
increase in supplies and equipment .
$27,937,422.41
219,214.36
6,104,422.40
928,712.63
$35,189,771.80
259,364.28
3,624.36
774,885.04
32,009.74
$36,259,655.22
FUNDS APPLIED IN EXCESS OF FUNDS RECEIVED, accounted for by a decrease in current
position as shown below:
(a) Current Account   -    $36,000,290.94
(6) Capital Account funds         259,364.28
$36,259,655.22    $36,259,655.22
STATEMENT SHOWING CHANGES IN CURRENT ASSETS
CURRENT ASSETS:
Cash    	
Investments   	
Accounts receivable 	
Non-cash adjustments
Advances to Special Project Funds..
Non-cash  adjustments  	
AND LIABILITIES
1958 1957
$3,483,293.21 $6,880,981.70
34,491,236.53 64,286,265.86
10,119,788.14 9,392,845.38
5,083,653.33
7,662,551.14
Differences
$3,397,688.49
29,795,029.33
$726,942.76
2,524,306.53
158,519.42
2,578,897.81
CURRENT LIABILITIES:
Trust deposits 	
Accounts payable   	
Special Project Funds—unexpended balances
12,371,380.74      13,105,966.36 734,585.62
25,662,103.76     20,614,445.71 —
1,656,585.52       2,388,888.49 732,302.97
5,047,658.05
$4,718,137.88    $40,977,793.10
NET DECREASE IN CURRENT POSITION, to account for funds applied in excess of
funds received as shown above      	
36,259,655.22
$40,977,793.10   $40,977,793.10  E  14
PUBLIC ACCOUNTS,  1957/58
PROVINCE OF
REVENUE BY SOURCE
Taxes :
Property-
Sales:
Amusements and admissions..
Social services _ 	
Motor-fuel and fuel-oil..
Insurance premiums __ _
Sundry _ 	
Federal Tax Rental Agreement-
Privileges, Licences, and Permits :
Liquor control and regulation	
Motor-vehicle licences and permits .
Natural resources:
Fish and game  _„
Lands and forests 	
Minerals  	
Water resources-
Other.-  	
Sales and Services :
Ferry tolls	
Sundry	
Fines and Penalties .
Interest, Discount, Premium, and Exchange-
Contributions from Other Governments:
Grants-in-aid and shared-cost contributions-
Subsidies  -
Percentage of power corporation tax-
Contributions from Government Enterprises :
Net profit, Liquor Control Board  	
Miscellaneous :
Hospital insurance premiums..
Other-   	
Non-revenue Receipts :
Refund of previous years' expenditure-
Repayment of advances 	
Transfer from deferred revenue, final settlement,
Tax Rental Agreement, 1947	
Sundry. ._ 	
1954
$5,602,628.99
STATEMENT OF REVENUE BY SOURCE
1955 1956 1957 1958
$6,692,757.09        $5,738,081.69       $6,146,101.47        $6,463,390.95
3,336,957.96 3,075,842.48
35,466,768.64 155,178,473.68
18,362,477.08 19,974,770.19
60,224.32 69,704.38
43,516,016.03 46,051,964.19
2,976,733.22 2,527,518.72
68,306,722.83 85,132,489.10
22,866,679.04 25,978,237.82
56,389.83 71,088.97
45,392,813.56 56,213,236.90
2,723,384.07
87,244,382.86
27,475,237.36
£2,238,610.58
65,432.81
58,983,000.00
302,676.71 213,467.69 358,047.93 402,305.59 428,209.81
10,337,454.21 10,567,717.21        12,730,848.90        14,194,438.83 14,685,519.08
1,090,817.66
18,557,171.13
4,395,725.35
756,796.70
1,611,967.85
509,095.66
5,495,992.72
386,163.69
2,382,145.78
10,793,927.76
1,281,319.06
852,670.00
1,036,125.27
21,048,011.19
3,508,447.49
861,722.42
1,762,376.54
542,535.30
5,404,846.33
403,905.54
2,420,110.92
11,161,289.32
1,281,319.06
1,811,718.00
1,087,206.04
27,834,532.78
§8,558,543.90
819,937.95
1,828,750.78
589,655.25
6,135,914.44
490,325.32
2,467,221.24
13,564,726.13
1,281,319.06
2,421,955.00
1,188,021.67
34,212,970.23
9,200,862.59
1,105,418.63
1,941,530.56
697,279.06
6,696,116.47
668,827.09
3,067,318.17
18,429,304.12
1,281,319.06
1,415,270.00
1,317,820.96
32,302,692.72
6,747,858.21
1,273,583.36
1,893,922.02
793,202.28
7,502,897.58
769,332.53
2,703,856.32
29,337,558.36
1,281,319.06
1,325,456.00
20,957,717.74 20,889,440.01        22,268,981.71 24,677,384.92 26,444.306.90
14,149,261.38 II — — —
306,656.50 208,824.43 198,192.34 268,338.32 716,323.44
324,407.60 55,984.21 80,858.33 108,675.72 338,462.04
751,669.57 767,033.37 702,501.57 893,893.95 1,269,901.40
_ — — — 6,104,422.40
22,466.12 23,654.81 7,740.72 5,923.97 4,266.04
Carried forward.-
$201,611,176.21    $215,012,041.12    $248,765,101.70   $296,523,871.93    $322,434,348.34
* Consolidation of Current, Capital, Revenue Surplus Appropriation Accounts, and
Special Funds on a gross functional basis by fiscal years.
t Social services tax rate raised from 3 to 5 per cent, effective April 1, 1954.
% " Insurance Premiums Tax Act, 1957."
§ " Petroleum and Natural Gas Act, 1954."
II Premium collections discontinued April 1, 1954. PUBLIC ACCOUNTS,  1957/58 E 15
BRITISH COLUMBIA
AND EXPENDITURE BY FUNCTION*
EXPENDITURE BY FUNCTION 1954 1955 1956 1957 1958
General Government:
Administrative:
General    $3,747,015.15 $3,793,522.45 $4,172,790.22 $4,551,274.16 $5,058,920.96
Employees' benefits_   2,046,707.47 2,188,927.06 2,236,201.37 2,466,787.05 3,046,387.67
Construction  and maintenance  of public
buildings   1,307,398.76 1,178,797.62 1,883,329.57 2,765,069.13 2,994,673.03
Legislative:
Elections  703,082.55 68,795.86 140,016.68 743,258.00 155,363.87
Legislative   Assembly    and    Government
House—   486,885.17 337,592.77 433,798.51 484,482.47 749,270.80
Research, planning, and statistics   189,255.87 218,460.92 243,061.36 270,847.18 128,509.76
Other     12,321.96 — — — —
Protection of Persons and Property:
Law enforcement     961,549.15 1,078,317.51 1,030,837.43 1,101,498.68 1,449,567.46
Corrections:
Juvenile delinquents    1,336,826.18 1,134,116.09 830,445.32 1,359,387.32 2,062,380.92
Other offenders  2,346,573.13 3,233,964.82 4,001,851.15 5,436,445.99 6,028,716.95
Police protection  987,273.66 1,098,656.57 1,207,826.29 1,216,071.95 1,512,799.32
Registration, regulation, inspection, trusteeship.. 2,356,670.36 2,996,416.38 3,295,926.75 2,773,812.04 3,373,696.82
Transportation and Communications :
Highways, roads, and bridges   33,947,681.35 33,454,753.77 40,995,899.98 80,365,346.53 88,789,164.45
Railways  49,712.13 51,742.79 51,362.43 56,190.74 65,779.40
Waterways, ferries, docks, and wharves _ 1,190,087.23 1,246,355.51 1,672,451.24 2,198,724.10 2,110,780.32
Health and Social Welfare:
Health:
Administration    575,821.20 619,543.71 691,538.62 849,337.31 1,007,723.66
Public health—     2,994,450.58 4,228,909.66 4,022,430.08 4,651,569.55 4,852,127.88
Medical, dental, and allied services   2,141,252.41 2,384,188.96 2,724,150.28 2,800,498.90 3,007,248.54
Hospital care:
General administration    1,688,781.67 619,149.33 412,519.67 459,133.55 494,430.87
Provincial Mental Hospitals  9,474,345.87 9,863,620.48 11,181,111.41 11,639,687.78 12,625,947.30
Provincial Tuberculosis Hospitals  3,967,522.17 3,658,062.74 3,448,584.58 3,306,374.78 2,959,944.99
Payments for services and grants-in-aid  26,838,375.24 30,155,970.76 30,548,404.15 32,008,041.37 38,214,433.63
Provincial Infirmaries—    689,866.95 1,234,858.49 1,028,540.09 975,610.41 999,692.61
Social welfare:
Aid to aged persons..   9,307,067.42 11,425,018.47 11,022,427.07 13,972,954.23 15,047,543.12
Aid to blind persons.    — 332,360.55 420,615.60 353,172.64 388,688.56 453,009.56
Social assistance.— _   5,144,665.36 6,680,650.26 7,317,159.75 7,833,558.95 8,806,032.49
Mothers' allowances    451,865.50 401,442.76 334,698.03 321,342.76 282^383.05
Child welfare  —   1,328,818.94 2,041,384.01 2,360,852.02 2,251,518.36 2,295,737.40
Labour   relations,   industrial   conciliation
and arbitration  372,707.06 374,926.11 357,235.29 378,971.29 449,448.79
General administration   1,288,844.67 1,307,453.46 1,387,870.61 1,270,989.34 1,428,246.20
Recreational and Cultural Services :
Archives, art galleries, museum, and libraries— 412,408.90 444,905.37 417,959.46 640,049.87 547,638.14
Parks, beaches, and other recreational areas  724,980.46 787,167.88 756,907.22 1,827,217.01 2,358,472.84
Physical culture   86,999.74 33,773.33 118,196.45 98,222.46 100,149.32
Centennial celebrations  .'.  — — — — 1,793,160.33
Other     26,875.71 161,686.89 67,319.92 259,732.39 294,595.54
Carried forward   $119,517,050.52    $128,923,748.39    $140,546,875.64   $191,722,694.21    $215,543,977.99 E 16
REVENUE BY SOURCE
Brought forward  .
PUBLIC ACCOUNTS,  1957/58
STATEMENT OF REVENUE BY SOURCE AND
1954 1955 1956 1957 1958
-  $201,611,176.21    $215,012,041.12   $248,765,101.70   $296,523,871.93    $322,434,348.34
TOTAL GROSS REVENUE BY SOURCE.-
$201,611,176.21    $215,012,041.12   $248,765,101.70   $296,523,871.93    $322,434,348.34
RECONCILIATION:
Expenditure over revenue, Current Account	
Expenditure from Revenue Surplus Appropriation Account	
Expenditure from Capital Account (borrowed
funds)	
Special Project Funds (including Hospital Insurance Fund): Expenditures in excess of
revenue and Government contributions	
608,811.35 20,178.39 22,647.08
1,887,486.31 547,664.00 1,062,988.48
8,187,494.12       27,937,422.41
8,240.75 3,624.36
709,121.39 259,364.28
6,378,739.95 1,343,921.04        2,134,111.93
668,004.95
$204,107,473.87   $221,958,623.46   $251,194,658.30   $307,562,840.12   $351,302,764.34 PUBLIC ACCOUNTS,  1957/58
E 17
EXPENDITURE BY FUNCTION—Continued
EXPENDITURE BY FUNCTION
Brought forward	
Education :
Schools operated by local authorities:
Grants, operating schools	
Aids and services	
Universities, colleges, and normal schools-
Education of the handicapped	
Superannuation and pensions	
General administration  	
1954 1955 1956 1957 1958
$119,517,050.52    $128,923,748.39    $140,546,875.64   $191,722,694.21    $215,543,977.99
16,325,358.10
1,616,413.98
3,291,565.43
269,867.09
1,709,701.37
161,921.62
18,903,144.71
1,753,301.01
3,491,186.99
282,157.02
1,903,528.02
222,316.72
♦40,321,059.07
1,743,950.67
4,361,500.63
684,547.29
2,091,990.54
357,193.10
36,786,432.11
1,956,244.18
6,027,414.75
819,408.34
2,342,752.62
458,499.21
39,788,367.58
2,342,595.91
6,689,278.38
400,076.47
2,747,715.27
533,696.67
Natural Resources and Primary Industries:
Fish and game-
Forests. 	
Lands—settlement and agriculture..
Minerals and mines .—	
Water resources  _
Other  	
Trade and Industrial Development. 	
Local Government Planning and Development
915,729.34
8,904,248.93
2,930,662.15
1,197,519.04
410,268.73
1,198,536.70
560,312.48
122,412.58
903,060.03
9,555,160.81
2,590,885.18
1,178,576.76
274,418.67
925,146.35
595,406.06
125,861.87
959,483.19
10,064,186.73
2,877,612.24
1,151,053.47
300,329.03
750,139.91
587,739.34
137,656.72
998,891.62
12,230,182.55
3,554,274.70
1,342,572.99
464,707.54
1,024,325.44
703,550.34
150,194.22
1,110,021.81
13,634,574.08
3,947,381.29
1,292,990.07
736,239.01
1,102,733.50
748,502.44
256,366.77
Debt Charges :
Bank charges and commission	
Debenture discount amortized 	
Debt retirement  	
Interest:
Bonded debt and Treasury biUs..
Other	
Contributions to Other Governments :
Municipal share, social services tax and motor-
vehicle revenue 	
Grants in aid of local government..
Other  _ _.	
Contributions to Government Enterprises:
Advance to Pacific Great Eastern Railway-
Advance to B.C. Power Commission	
Subsidy to Toll Highways and Bridges Authority
Other Expenditure:
Civil Defence  _ 	
Housing
University Endowment Lands.
Flood relief 	
Home-owner's subsidy 	
Sundry  	
Non-expense and Surplus Payments :
Advances   	
Refunds of hospital insurance premiums	
Loss on sale of investments, sec. 9, " Revenue
Act".-     	
TOTAL   GROSS   EXPENDITURE   BY    FUNC-
12,382.76
193,150.98
12,659,637.83
8,127,364.22
892,837.62
14,253,320.48
16,656.26
3,650,000.00
323,470.12
327,022.21
471,678.72
2,912.83
47,849.93
400,675.45
12,658.13
187,436.36
12,540,949.08
7,303,319.80
940,295.51
t5,500,000.00
1,001.48
2,418,000.00
187,500.00
445,231.91
219,133.61
294,797.19
243,072.40
26,229.69
211,539.45
3,887,136.23
10,270.54
200,883.37
12,272,131.13
6,844,324.35
1,014,012.98
+7,261,629.65
100,218.18
287,500.00
472,207.78
49,956.93
215,208.22
1,143,199.56
14,459.37
750,152.20
10,324.54
174,535.45
26,622,409.96
6,493,540.57
1,142,831.16
9,427,661.71
23,995.48
632,727.23
448,685.17
15,300.79
226,524.95
781,916.42
24,489.49
8,289.11
479,957.96
30,332,000.74
5,887,925.21
1,111,379.36
11,020,303.32
14,243.43
1,457,184.00
435,443.61
12,657.88
227,413.03
79,383.83
t6,765,320.99
8,063.37
955,752.38 511,866.71
— 2,076,814.55
TION-
$200,510,527.67    $206,406,199.43    $237,571,471.83   $307,562,840.12    $351,302,764.34
RECONCILIATION:
Revenue over expenditure, Current Account-         3,409,714.18        15,552,424.03        13,623,186.47
Special Project Funds (including Hospital In
surance Fund): Revenue and Government
contributions in excess of expenditures	
187,232.02
$204,107,473.87    $221,958,623.46    $251,194,658.30   $307,562,840.12    $351,302,764.34
* " Public Schools Act Amendment Act, 1955.'
t " Municipalities Aid Act, 1955."
t " Provincial Home-owner Grant Act," 1957.  PUBLIC ACCOUNTS,  1957/58
E 19
PROVINCE OF BRITISH COLUMBIA
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958
ASSETS
Cash on Hand and in Banks:
Cash in chartered banks in Canada   	
Cash in chartered bank in Canada (loan funds)
Cash in banks in England (converted at $2.7314 per £)
Investments :
" Revenue Act,'
sec. 9 (at cost)
Government of Canada bonds       	
Government of Canada Treasury bills    	
Canadian National Railways (Government of Canada guaranty).
Province of British Columbia bonds   —  	
School district bonds (B.C. guaranty)      	
Pacific Great Eastern Railway bonds (B.C. guaranty) 	
Pacific Great Eastern Railway notes (B.C. guaranty) 	
British Columbia Toll Highways and Bridges Authority notes (B.C. guaranty)..
$3,389,993.81
54,963.29
38,336.11
$3,483,293.21
$33,794,299.03
Par Value
$12,000.00
4,000,000.00
2,775,000.00
627,000.00
289,000.00
10,000.00
14,025,402.13
12,100,000.00
$33,838,402.13
' Supreme Court Act " (at cost)          	
Government of Canada bonds     _         $350,000.00
Canadian National Railways (Government of Canada guaranty)    350,000.00
$700,000.00
696,937.50
$34,491,236.53
Accounts and Taxes Receivable:
Government of Canada:
Shared-cost agreements    	
Deposit re postal meter 	
Other Provinces     	
British Columbia municipalities:
Medical services and child welfare maintenance
•Other:
Property taxes     	
Social services tax   	
Logging tax   ._. 	
Probate fees  _ 	
Timber royalty and stumpage and grazing fees .
Student-aid loans .    	
Teacher-training loans     	
Sundry    	
* Not taken into revenue until received.
Record purposes only.
$2
515,952.10
625.00
24,687.85
143,277.51
,409,806.03
626,723.30
86,223.02
16,144.63
,779,584.01
259,205.37
144,565.11
112,994.21
$10,119,788.14 E 20 PUBLIC ACCOUNTS,  1957/58
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
ASSETS—Continued
Loans and Advances:
British Columbia municipalities:
Municipal works (unemployment relief)
Municipal Superannuation Fund - 	
Corporation of District of Kent -	
Dyking districts and hospitals:
Various dyking districts _ _	
Various water and irrigation districts
Various co-operative associations 	
Various hospitals  	
Boards and Commissions:
British Columbia Power Commission
Land Settlement Board 	
Liquor Control Board   	
Miscellaneous   	
Other:
Queen's Printer Operating Account
Text-book Branch  	
University Endowment Lands Administration Account .
Miscellaneous   	
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.
Agreements of Sale, Mortgages Receivable, and Properties Held for Sale:
Receivables
" Soldiers' Land Act, 1918 ":
South Vancouver houses
Southern Okanagan project
♦General land sales  	
$4,953.65
55,699.34
536,187.03
Property
$1,603.80
1,856,131.64
$127,109.51
28,792.16
11,000.00
598,819.13
790,828.61
81,831.63
5,000.00
27,794,021.57
3,074,102.50
8,477,083.27
30,000.00
514,625.37
1,123,064.18
4,184,937.34
455,494.53
$47,296,709.80
Total
$6,557.45
1,911,830.98
536,187.03
$596,840.02      $1,857,735.44
•Not taken into revenue until received.
Record purposes only.
Supplies and Equipment:
Purchasing Commission:
Langford warehouse
Gaol and Game Branch supplies _.
Department of Highways equipment and machinery  _. —
Note.—No record is made on the books of the Province of materials and equipment other than
bulk purchases made under sec. 14, " Purchasing Commission Act," and Department of Highways
equipment initially purchased from funds advanced under various Loan Acts.
$2,454,575.46
$204,529.32
18,993.73
4,000,971.00
$4,224,494.05
Deferred Charges:
Discount on debentures
$816,920.70 PUBLIC ACCOUNTS,  1957/58
E 21
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
ASSETS—Continued
Advances to Special Project Funds:
Conservation Fund (" Water Act," R.S.B.C 1936) _  $899,856.28
Forest Development Fund ("Forest Act Amendment Act, 1948 ")   _        3,755,977.97
Industrial Development Fund (" Department of Industries Act ")     218,326.29
Scaling Fund ("Forest Act," R.S.B.C. 1948)     209,492.79
Note.—The above advances are represented as follows:—
Accounts receivable   	
Materials and supplies 	
Forest-development roads
Land and buildings 	
Unexpended balances	
$801,440.75
21,987.87
3,727,435.12
37,829.07
494,960.52
$5,083,653.33
Pacific Great Eastern Railway Co.:
Par value of 652,909 shares at $100 each
$65,290,900.00
Fixed Assets:
•Highways      _ _ 	
Bridges _     	
Wharves     _   _ _	
Ferries and ferry-landings 	
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.
Gross
Depreciation
Net
$304,358,522.36
—
$304,358,522.36
51,446,177.65
$12,859,864.56
38,586,313.09
203,250.60
203,240.60
10.00
5,424.980.75
964,356.15
4,460,624.60
70,165,063.15
18,766,460.91
51,398,602.24
773,690.08
—
773,690.08
$432,371,684.59    $32,793,922.22
$399,577,762.37
Superannuation and Retirement Funds:
Superannuation Fund:*
Cash in chartered banks in Canada  	
Investments—bonds and debentures at book value .
Government of Canada _ —	
Canadian Northern Railway (Government of Canada guaranty) .
Province of British Columbia  	
Province of Manitoba  —  	
Ontario Municipal Improvement Corporation  (Province of Ontario guaranty)         —
Ontario Hydro-electric Power Commission (Province of Ontario guaranty)
British Columbia Power Commission (Province of British Columbia guaranty)
British Columbia Toll Highways and Bridges Authority (Province of British
Columbia  guaranty)   _.    	
Pacific Great Eastern Railway Co. (Province of British CoIumb:a guaranty)
GreaW Vanco'.iver Sewerage and Drainage District   (Province of British
Columbia guaranty)  	
British Columbia municipalities (Province of British Columbia guaranty)
British Columbia school districts (Province of British Columbia guaranty)
Par Value
$51,000.00
468,720 00
1,218,500.00
92,000.00
2,750.000 00
228 500 00
4,286,000.00
19,910 000.00
1,986,000.00
47,000.00
519,916.26
14,945,400.00
$46,503,036.26
$1.529,54S.26
47,613,976.62
Retirement Fund:*
Cash in chartered banks of Canada .
Investments—bonds and debentures at book value .
Province of Br'tish Columbia
British Columbia Power Commission (Province of British Columbia guaranty)       _          	
Greater Vancouver Sewerage and Drainage District (Province of British
Columbia guaranty)    	
British Columbia school districts (Province of British Columbia guaranty)
Waterworks districts   	
Par Vahie
$12,500.00
1,057,000.00
93.000 00
3,712 000.00
9,800.00
$4,884,300.00
1.6-n.O6O.00
4,926,191.57
Members of the Legislative Assembly Superannuation Account:
Cash in chartered banks in Canada 	
173,080.57
$55,916,757.02
• The difference between investments at par and book value at March 31, 1958, totalling $1,152,831.93, is fully
covered by sec. 7, " Civil Service Superannuation Act Amendment Act, 1958," effective April 1, 1958. E 22 PUBLIC ACCOUNTS,  1957/58
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
ASSETS—Continued
Trust:
Cash in chartered banks in Canada	
Cash in banks in England (converted at $2.661.4)..
Investments in direct or guaranteed obligations of the Government of Canada or the Provinces (par
value, $13,781,521.38)        	
Note.—The above section is grouped for convenience.   Each individual
trust is kept as a separate entity for administration purposes.
$6,818,560.66
19,968.75
13,234,468.93
$20,072,998.34
LIABILITIES
Bonded Debt:
Debentures (for details as to terms of issue, etc., see E 28):
Loan Act, 1943, 2% per cent, due Apr.   15, 1966 	
1943, 23/4
1943, 2%
1946, 234
1946, 2?4
1946, 234
1946, 234
1946, 2?4
1946, 2%
1946, 3
1949,3
Sept. 26, 1972-
Oct. 1, 1971-
July 20, 1966...
Oct. 1, 1971...
Feb. 1, 1967-
May 15, 1967..
July 2, 1968...
Sept. 26, 1972..
July 2, 1968..
July 1, 1964...
1 Revenue Act," R.S.B.C. 1924:
4 per cent, due May 15, 1958-61 _
iVi per cent, due Jan. 23, 1969	
4>/2 per cent, due Apr. 1, 1958-61 _.
5 per cent, due Sept. 24, 1959	
'Revenue Act," R.S.B.C. 1936:
4 per cent, due Aug. 15, 1965	
3'/2 per cent, due June 1, 1958-62 _
3V4 per cent, due July 15, 1962 	
3 per cent, due Feb. 1, 1959-60	
2V4-234 per cent, due Oct. 15, 1958-66.
234 per cent, due Nov. 15, 1966	
234 per cent, due Mar. 15, 1972	
2% per cent, due Oct. 15, 1972 	
234 per cent, due Nov. 1, 1972 _	
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..
3 per cent, due June 15, 1968...
Carried forward  	
$3,000,000.00
500,000.00
500,000.00
250,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
500,000.00
1,000,000.00
680,000.00
6,417,000.00
485,000.00
3,036,500.00
1,000,000.00
3,000,000.00
636,000.00
454,000.00
1,800,000.00
4,210,000.00
1,500,000.00
4,000,000.00
4,045,000.00
1,750,000.00
2,000,000.00
5,000,000.00
1,000,000.00
11,000,000.00
18,000,000.00
14,000,000.00
$92,263,500.00 PUBLIC ACCOUNTS,  1957/58 E 23
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
LIABILITIES—Continued
Brought forward  —- - —     $92,263,500.00
Bonded Debt—Continued
Debentures—Continued
"Revenue Act," R.S.B.C. 1948, and "Highway Development Act":
3Y2 per cent, due Aug. 15, 1976  _ - -      26,000,000.00
"Revenue Act," R.S.B.C. 1948, and "Electric Power Act":
35/8 per cent, due Feb. 15, 1977— — - _      22,500,000.00
"Trans-Canada Highways Act ":
2-2Vi per cent, due June 15, 1958-60      750,000.00
" Highway Development Act ":
2-2V4 per cent, due June 15, 1958-60          3,450,000.00
" Superannuation Fund Transfer Act, 1938 ":
3V5 per cent, due Apr. 1, 1959— _ -          3,500,000.00
" Electric Power Act," 1945:
3 per cent, due Dec. 15, 1960 - - _        5,000,000.00
2?4 per cent, due Jan. 15, 1967     _ —       5,000,000.00
234 per cent, due June 15, 1968   _ _ — _.       4,000,000.00
3 per cent, due July 31, 1970         3,025,000.00
$165,488,500.00
Sinking Funds (Deducted from Bonded Debt) :
Sinking fund balance, April 1, 1957.. _  $72,328,588.89
Add interest earnings (page E25).—  2,663,760.13
Add current instalments (page 2).  5,541,471.93
Add supplementary instalment (page 117)  21,104,422.00
$101,638,242.95
Less debentures redeemed (page 2)—   — 13,465,000.00
Sinking fund balance, March 31, 1958       $88,173,242.95
Investments—bonds and debentures         _     $88,527,385.05
Par Value
Government of Canada      $70,000.00
Railway companies  (Government of Canada guaranty)  2,332,320.00
Province of British Columbia _  68,747,500.00
Province of Manitoba - . — _    4,833,000.00
Province of Ontario _ _ - -   _  35,000.00
Ontario Hydro-electric Power Commission (Province of Ontario guaranty)  2,812,000.00
Ontario Municipal Improvement Corporation (Province of Ontario guaranty) 7,250,000.00
University of Toronto (Province of Ontario guaranty)  _  11,500,000.00
Quebec Hydro-electric  Commission   (Province of Quebec  guaranty).  60,000.00
British  Columbia  municipalities _      4,621.29
$97,644,441.29
Less bank overdraft   _ _  354,142.10
Note.—The above sinking fund includes deposits made by the
Province, together with interest, in respect of—
" Electric Power Act "  -        $9,017,312.89
$88,173,242.95
Treasury Bills:
Government of Canada long-term serial:
Series RA-D9-30, interest free,  1958-77        $5,561,460.50
Series RA-D39-60, interest 2yB%, 1958-77—   _       12,305,632.26
$17,867,092.76
Other:
Maturing June 22, 1958, interest free ____. -  100,000.00
Maturing April 15, 1958-60, interest free    300,000.00
$18,267,092.76 E 24 PUBLIC ACCOUNTS,  1957/58
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
LIABILITIES—Continued
Trust Deposits:
Boys' Industrial School Inmates' Trust Account
Contractors' deposits  _	
Closed School Trust Fund _ _ „ 	
Cemetery Tax Fund  _ 	
Intestate estate deposits
Official Committee  ...
Official Guardian deposits .
Provincial Home Trust Account	
Provincial Infirmary Trust Account 	
Public Services Medical Plan Account
Suitors' Funds deposits  	
Timber-sale deposits     	
$1,135.50
196,435.19
4,398.67
60,736.58
3,597,171.45
1,129,568.08
6,323.72
24,083.41
197,859.01
212,524.01
1,225,680.25
5,715,464.87
Accrued Expenditure:
Interest on public debt .
Special Project Funds—Unexpended Balances:
Beef Cattle Producers' Assistance Fund 	
Conservation Fund 	
Dog Tax Fund    	
Grazing Range Improvement Fund
Industrial Development Fund	
Miscellaneous balances—special purposes .
" Pound District Act"   _	
$12,371,380.74
Accounts Payable:
General current accounts   _   - _  $19,494,579.78
Suspense accounts—permit and licence applications — „.  1,140,868.28
Suspense  accounts—miscellaneous      _    734,444.90
Unclaimed debenture principal and interest        17,401.38
Unclaimed cheques and miscellaneous balances  _ _     - 80,920.89
Retention on construction contracts pending final certificates of completion  4,193,888.53
University Endowment Lands Administration Account
$25,662,103.76
$1,471,351.47
$49,339.55
104,970.51
7,384.68
28,679.60
180,497.22
27,047.94
166.15
1,258,499.87
$1,656,585.52 PUBLIC ACCOUNTS,  1957/58
E 25
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
LIABILITIES—Continued
Reserves for Losses on Realization of Assets:
Advances to Special Project Funds:   Industrial Development Fund    	
Agreements of sale, mortgages receivable, and properties held for sale:  " Soldiers' Land Act, 1918 ":
South Vancouver houses  -  	
Southern Okanagan project	
Loans and advances:
Various dyking districts 	
Land Settlement Board	
Materials and supplies:   Gaol and Game Branch supplies .
$37,829.07
5,462.96
1,911,820.98
435,169.05
1,300,867.01
18,993.73
$3,710,142.80
Deferred Revenue:
Conservation Fund credits held pending settlement of accounts
Dyking district credits held pending settlement of accounts 	
$102,853.41
38,731.02
$141,584.43
Excess of Assets over Liabilities and Reserves:
1957
Apr. 1. By Balance   	
1958
Mar. 31. „  Interest on investment of sinking funds ..
Current expenditure chargeable to asset and liability accounts:
Sinking funds 	
Redemption of debentures 	
Repayment of Treasury bills    	
Sundry advances 	
Advance to University Endowment Lands Account .
$26,645,893.93
2,719,000.00
967,106.81
93,423.82
1,000,000.00
Expenditure from " Capital out of Income " appropriations now charged to
asset accounts:
Buildings and furnishings         $7,715,735.55
Highways, bridges, and ferries       55,229,040.26
Advances to Forest Development Fund         1,530,282.10
$365,413,200.69
2,663,760.13
31,425,424.56
64,475,057.91
penditure from revenue surplus appropriation charged to asset accounts:
 ..,, —              3,624.36
justment in excess reserves:
$2,205.56
3,778.66
5,984.22
rease in accounts receivable:
$448,857.08
86,223.02
Social service tax   —   _	
63,467.50
55,926.18
Probate fees _ _ _	
1,680.17
$656,153.95
Less decreases:
Timber royalty and stumpage and grazing fees
$489,845.49
7,789.04
12,849.91
510,484.44
Carried forward 	
   $464,132,721.38
• Taken on to records for first time. E 26 PUBLIC ACCOUNTS,  1957/58
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
LIABILITIES—Continued
Excess of Assets over Liabilities and Reserves—Continued
Brought forward   _    $464,132,721.38
1958
Mar. 31. To Refunds of recoverable expenditure credited to asset accounts:
" Soldiers' Land Act, 1918 "—Southern Okanagan project $3,778.66
! " Electric Power Act ":
Refunds of expenditure   $425,677.38
Vote 1, Public Debt _     349,333.33
775,010.71
" Dyking Assessments Adjustment Act, 1947 "    5,100.00
Advances to municipalities—works relief and superannuation    _    126.04
" Irrigation Assistance Loan Act " - — 30,065.21
Pitt Meadows Dyking District _ —  609.16
Sundry advances     8,092.19
$822,781.97
Loan expenditure not carried to asset accounts:   University buildings:
" British Columbia Loan Act, 1952 "—sec. 3 (c) -  208,152.48
Discount on debentures amortized    479,957.96
Depreciation:
Bridges  _           $718,835.80
Ferries and ferry-landings  — _ _  104,631.43
Provincial buildings and furnishings          1,559,862.28
         2,383,329.51
„ Write-offs authorized by Order in Council:   Conservation Fund, No. 938/58 53,617.63
Revenue Surplus (Appropriation) Account
1957
Apr. 1. By Balance — _ - —    $41,169,868.76     41,169,868.76
1958
Mar. 31. To Excess of expenditure over revenue for the
fiscal year ended March 31, 1958      $27,937,422.41
,, Expenditure:    " Revenue Surplus Appropriation Act,  1947" — sec. 2  (a), roads,
bridges, etc     3,624.36
      27,941,046.77
Balance, March 31, 1958 (of which the sum of $252,102.13 has
been appropriated by Statute for certain specific purposes)    $13,228,821.99 13,228,821.99
$45,117,708.31 $477,361,543.37
Balance, being excess of assets over liabilities and reserves at March 31, 1958    432,243,835.06 —
$477,361,543.37 $477,361,543.37 PUBLIC ACCOUNTS,  1957/58 E 27
SCHEDULES TO BALANCE-SHEET AS AT MARCH 31,  1958—Continued
LIABILITIES—Continued
Superannuation and Retirement Funds:
Civil Service Superannuation Fund	
Retirement Fund 	
Members of Legislative Assembly Superannuation Account .
$49,143,524.88
6,600,151.57
173,080.57
$55,916,757.02
Trust:
British Columbia Power Commission Sinking Fund .
British Columbia Power Commission Sinking Fund advance payments
British Columbia Toll Highways and Bridges Authority Sinking Fund
Bond Redemption Accounts - _    	
Celgar Development Co. Ltd. Trust Account	
Kaiser Aluminum & Chemical Co. Ltd. Trust Account	
Land Registry Assurance Fund   	
North West Power Industries Ltd. Trust Account
Pacific Great Eastern Railway Sinking Fund _	
Port Moody, City of:   Sinking Fund Accounts 	
Greater Vancouver Sewerage and Drainage District Sinking Fund Accounts .
Wildwood Light, Water and Sewerage District Sinking Fund Accounts	
Workmen's Compensation Board—Accident Fund  _	
Wenner-Gren British Columbia Development Co. Ltd. Trust Account
,283,525.51
,487,327.28
,477,541.76
90,968.75
500,000.00
130,601.60
339,813.83
,500,023.96
244,303.11
30,006.33
,865,788.03
21,817.13
,601,281.05
500,000.00
$20,072,998.34
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
(1) Greater Vancouver Sewerage and Drainage District (due 1958-77)..
Sinking fund investments   	
Net Outstanding
$7,846,500.00
1,865,788.03
(Sinking funds set aside in connection with $2,043,500 as at March 31st, 1958.   The balance of
the amount guaranteed is made up of serial instalment debentures.)
(2)  South Westminster Dyking District (due July 1, 1960) .
Sinking fund investments   _	
$55,000.00
48,777.08
(3) Guarantees authorized pursuant to sec. 5, "Municipal Improvements Assistance Enabling Act,
1938"   _    	
(4) Certificates of loan pursuant to sec. 10 (3), "Municipal Superannuation Act, 1938," chap. 55
(5) Guarantees authorized pursuant to sec. 3, " Village Municipalities Assistance Act "	
(6) Guarantees authorized pursuant to sec. 53, " Electric Power Act "
Sinking fund investments  	
$154,300,000.00
5,283,525.51
(7) Guarantees authorized  pursuant to  " Public Schools Construction Act,  1953," and
School Act " (repayable serially).  _ -
(8) Guarantees authorized pursuant to sec. 17, "Pacific Great Eastern Construction
Loan Act, 1954 "   _	
Sinking funds .  —	
Public
88,525,402.13
1,244,303.11
$5,980,711.97
6,222.92
486,733.40
2,696,660.97
7,556,000.00
149,016,474.49
73,735,400.00
(9) Guarantees   authorized   pursuant   to   sec.   28,
Authority Act "  	
Sinking funds	
' Toll   Highways   and   Bridges
$58,925,000.00
4,477,541.76
(10) Guarantees authorized pursuant to sec. 12, " Improvement Districts Assistance Loan Act '
(11) Guarantees authorized pursuant to sec. 5, "Distress Area Assistance Act" „	
87,281,099.02
54,447,458.24
3,620,200.00
337,025.97
$385,163,986.98 E 28
PUBLIC ACCOUNTS,  1957/58
PROVINCE OF
f Statement of Debentures and Treasury Bills Outstanding
Maturity
Date of Issue
Rate
%
Nature
Series
Amount
Outstanding
Interest
Payable
Feb.     1, 1959-60
Feb.
1, 1945
3
Serial Debentures (1)
HK
$454,000.00
1F&A
June  15, 1958-60
June
15, 1950
2'/2
Serial Debentures (2)
JW
750,000.00
15J&D
June 15,1958-60
June
15, 1950
2>/2
Serial Debentures (3)
JX
3,450,000.00
15J&D
April   1, 1958-61
April
1, 1931
41/2
Serial Debentures (4)
FY
485,000.00
IA&O
May   15, 1958-61
May
15, 1931
4
Serial Debentures (5)
FZ
680,000.00
15M&N
June    1, 1958-62
June
1, 1942
3Yz
Serial Debentures (6)
GZ
3,000,000.00
1 J&D
Oct.   15, 1958-66
Oct.
15, 1946
2i/4-
2?4
Serial Debentures (7)             HT
Sub-total, Serial Debentures _.
1,800,000.00
15 A&O
$10,619,000.00
April  1, 1959
Apri
1, 1939
3'/2
Debentures
GR
3,500,000.00
1 A&O
Sept. 24, 1959
Sept.
24, 1929
5
Debentures
FU
3,036.500.00
24M&S
Dec.   15, 1960
Dec.
15, 1945
3
Debentures
HM
3,000.000.00
15.T&D
Dec.   15, 1960
Dec.
15, 1945
3
Debentures
HO
2,000.000.00
15J&D
July   15, 1962
July
15, 1942
3V2
Debentures
HA
636,000.00
15J&J
June  15,1964
June
15. 1949
3
Debentures
JP
8,000.000.00
15 J&D
June  15,1964
June
15, 1949
3
Debentures
JO
3,000.000.00
15J&D
July     1, 1964
July
1, 1949
3
Debentures
JR
1,000,000.00
1 J&J
Aug.  15, 1965
Aug.
15, 1940
4
Debentures
GT
1,000.000.00
15F&A
April 15, 1966
Anril 15, 1946
2?4
Debentures
HP
3,000.000.00
15 A &O
July   20, 1966
July
20, 1946
23/4
Debentures
HQ
250,000.00
20J&J
Nov. 15, 1966
Nov.
15, 1946
234
Debentures
HU
4.7.10.000.00
15M&N
Jan.   15, 1967
Jan.
15, 1947
234
Debentures
HV
5,000 000 00
15 J&J
Feb.    1, 1967
Feb.
1, 1947
2?4
Debentures
HW
500.000.00
1F&A
May  15, 1967
Mav
15, 1947
2?4
Debentures
HY
500.000.00
15M&N
June  15,1968
June
15, 1947
2?4
Debentures
HZ
3,000.000.00
15 J & D
June  15,1968
June
15, 1947
2?4
Debentures
JB
1.000.000.00
15 J&D
June  15, 1968
June
15,1950
3
Debentures
JV
12,000,000.00
15 J&D
June  15, 1968
June
15, 1950
3
Debentures
JY
2,000,000.00
15J&D
July     2, 1968
July
2, 1947
234
Debentures
.TA
500.000.00
2J&J
July    2, 1968
July
2, 1948
3
Debentures
JI
500.010.00
2J&J
Jan.   23,1969
Jan.
23, 1929
4"/2
Debentures
FO
6.417.000.00
23 J&J
Dec.   15, 1969
Dec.
15, 1949
3
Debentures
JS
15.ooo.onn.00
15 J&D
Dec.  15, 1969
Dec.
15. 1949
3
Debentures
JT
3.noo.nno.no
15 J&D
July   31, 1970
July
31, 1948
3
Debentures
JJ
3,025,000.00
31 J&J
Aug. 10, 1970
Aug.
10, 1948
3
Debentures
JK
1,750.000.00
10F&A
Oct.     1, 1971
Oct.
1, 1946
23/4
Debentures
HR
500,000.00
1 A&O
Oct.     1, 1971
Oct.
1, 1946
234
Debentures
HS
500,000.00
1 A&O
Mar. 15, 1972
Mar.
15, 1947
2 ?4
Debentures
HX
1,500.000.00
15 M & S
Sept. 26, 1972
Sent.
26. 1947
2?4
Debentures
JC
500.000.00
26M&S
Sept. 26, 1972
Sent.
26. 1947
234
Debentures
JD
500.000.00
76M&S
Oct.   15, 1972
Oct.
15,1947
234
Debentures
JE
4,000.000.00
15A&0
Nov.    1, 1972
Nov.
1. 1947
234
Debentures
JF
4.045.000.00
1 M&N
Aug. 10, 1973
AUT.
10. 1948
3
Debentures
JL
2,000,000.00
.10F&A
Nov. 15, 1973
^ov.
15. 1948
3
Debentures
JM
3,000,000.00
15 M&N
Nov. 15, 1973
Nov.
15, 1948
3
Debentures
JN
2,000.000.00
15 M & N
Feb.    1, 1974
Feb.
1, 1949
3
Debentures
JO
1,000,000.00
1 F&A
Aug. 15, 1976
Aug.
15, 1951
3!/2
Debentures
KD
26,000,000.00
15F&A
Feb.   15, 1977
Feb.
July
15.1952
1. 1947
3%
Debentures
Total, Debentui
Treasury Bills
0
es           	
22,500,000.00
15F&A
$165,488,500.00
RA-D-9-30
July     1, 1957-77
$5,561,460.50
July     1, 1957-77
July     1, 1947
Total Treasur
Other Treasui
2%
y Bills to
y Bills
Treasury Bills
Canadian Government,
RA-D-39-60
12,305,632.26
	
$17,867,092.76
$400,000.00
$183,755,592.76
(1) Maturing annually:   $227,000, 1959-60. (2) Maturing annually:   $250,000, 214%,  1958-60.
(5) Maturing annually:   $170,000, 1958-61. (6) Maturing annually:   $600,000, 1958-62. (7) Maturing
G.—In Gold. L.M.—In Lawful Money.    C.B.C.—At The Canadian Bank of Commerce.    V.—Victoria.    Vr.—
Q.—Quebec.   StJ.—St. John.   H.—Halifax.   StJ's.—St. John's, Newfoundland.   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,
on or after August 15th, 1961. li Callable as a whole on or after February 15th, 1962, at the following prices
or before February 14th, 1970;   10034% if redeemed thereafter and on or before February 14th, 1974;   100% if redeemed
August 15th, 1958, and any August 15th thereafter. PUBLIC ACCOUNTS,  1957/58
E 29
BRITISH COLUMBIA
and Unpaid as at March 31st, 1958, in Order of Maturity
Place and Manner of Payment
Term,
Years
Denominations
Authority
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., SU., H., or StJ's.
L.M.—C.B.C—V., Vr., E., C, R., W., T.,
M., Q., StJ., H., or StJ's.
G.—C.B.C—V., Vr., T., M., or N.Y.
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.
L.M.—C.B.C—V.
G.—C.B.C—V., Vr., T., M., or N.Y.
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., M., H., or
St.J.
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., 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—
L.M.—C.B.C.
L.M.—C.B.C
L.M.—C.B.C
L.M.—C.B.C.
L.M.—C.B.C
L.M.—C.B.C
L.M.—C.B.C.—}/
L.M.—C.B.C
L.M.—C.B.C—
G.—C.B.C—V
L.M.—C.B.C-
L.M.—C.B.C-
L.M.—C.B.C.-
V., Vr.,
V., Vr.,
V., Vr.,
V., Vr.,
V., Vr.,
■V., Vr.,
■V., Vr.,
M., 0.,
Vr.
M., Q,
V., Vr..
V.
, Vr., T.
V„ Vr.,
V., Vr.,
V., Vr.,
W., T., or M.
W., T., or M.
W., T., or M.
W., T., or M.
W., T., or M.
W., T., or M.
E., C,R.,W..T.,
StJ., H.. or StJ's.
E., C. R, W..T.,
StJ., H., or StJ's.
W., T., or M.
, M.. or N.Y.
W., T., or M.
W., T., or M.
W., T., or M.
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
L.M.-
-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C-
-C.B.C.-
-C.B.C-
-C.B.C.-
-C.B.C-
-C.B.C.-
-C.B.C.-
-C.B.C-
-C.B.C-
V., Vr., W.
V., Vr., W.
■V., Vr.,W.
V., Vr„W.
V., Vr., W.
■V., Vr., W.
V., Vr., W.
V., Vr., W.
V., Vr., W.
V., Vr., W.
V., Vr., W.
V., Vr., W.
, T., or M.
, T., orM.
, T., or M.
, T., or M.
,T., orM.
, T., or M.
, T„ or M.
, T., or M.
, T., or M.
, T., or M.
, T., or M.
, T., or M.
L.M.—C.B.C—1
L.M.—C.B.C—'
N.Y.
V., Vr.,W., T., M., or N.Y.
L.M.—C.B.C—O.
L.M.—C.B.C—O.
Serials
Serials
Serials
Serials
Serials
Serials
Serials
20
30
15
15
20
15
15
15
25
20
20
20
20
20
20
21
21
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, 50,000
•1,000, 50,000
•500, 1,000
•500, 1,000
•500, 1,000,
10,000
•500, 1,000
•*t3,50O,0OO
•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
•* 130.000,
220.000
•1,000
•500, 1.000
•1,000
•1,000
•500. 1.000
•i.ooo
•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. 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.
Superannuation Fund Transfer Act, 1938—
O.C. 880.
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.
Revenue Act, R.S.B.C. 1948—O.C. 1362.
Revenue Act. R.S B.C. 1948—O.C. 1394.
Loan Act, 1949—O.C. 1419.
Revenue Act, R.S.B.C. 1936—O.C. 1138.
Loan Act, 1943—O.C. 580.
Loan Act, 1946—O.C. 1583.
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. S3.
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
Loan Act, 1946-
Loan Act. 1943-
Revenue Act. R
Loan Act, 1943-
Loan Act. 194<-
Revenue Act. R
Revenue Act, R
Revenue Act. R.
Revenue Act. R
Revenue Act. R
Revenue Act, R.
SBC. 1936—O.C.
-O.C. 23R1.
-O.C. 2380.
SBC. 1936—O.C.
-O.C. 1R94.
-O.C. 1895.
S B.C. 1936—O.C.
SRC. 1936—OC.
SBC. 1936—O C.
SBC. 19"!fi—O C.
SBC. 1936—O.C.
S.B.C 1936—O.C.
1849.
562.
2079.
2759.
1«48.
2S96.
2649.
160.
Revenue Act. R.S.B.C. 1<>4R and Highway
Development Act—O.C. 1937.
Revenne Act. R.S B.C. 1948 and Electric
Power Act—O.C. 332.   I
I : (
(3) Maturing annually:   $1,150,000, 2Vj%, 1958-60. (4) Maturing annually:   $122,000, 1958;   $121,000, 1959-61.
annually:   $200,000, 2%%, 1958-66.
Vancouver.   E.—Edmonton.    C.—Calgary.   R.—Regina.    W.—Winnipeg.    T.—Toronto.    O.—Ottawa.    M.—Montreal.
t Callable as a whole or in part at any time at par and accrued interest. § Callable in whole or in part by lot
plus accrued interest:   102% if redeemed on or before February 14th, 1966;   101%% if redeemed thereafter and on
after February 14th, 1974.    This series is also redeemable in part, at par, for sinking fund purposes only, by lot, on
G. S. BRYSON,
Deputy Minister of Finance. E 30
PUBLIC ACCOUNTS,  1957/58
PROVINCE OF BRITISH COLUMBIA
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED MARCH 31,  1958
Estimated
SERVICE
RECEIVED
$265,000.00
Property Taxes
Land Taxes, General:
$273,020.35
2,805,017.56
143,030.22
100,100.80
$3,321,168.93
2,999,773.59
2,750,000.00
148 000 00
Wild land
95,000.00
Coal Land "A" and "B"	
Land Taxes, Forest:
600 000 00
$722,380.92
579,118.52
161,293.83
1,060,884.36
476,095.96
450 000 00
80 000 00
750 000 00
" E. & N. Railway Belt Land Tax Act "	
500 000.00
Total, Property Taxes - -
$5,638,000.00
$1,572,235.91
1,151,148.16
87,244,382.86
25,808,941.69
1,666,295.67
$6,320,942.52
Sales, Hospital Construction Aid,
and pari-mutuel taxes
$1,400,000.00
1,000,000.00
86,250,000.00
24,400,000.00
1,900,000.00
Total, Sales, Hospital Construction Aid, and
$114,950,000.00
117,443,004.29
Federal Tax-rental Agreement
Canada direct (net) _ _	
Privileges, Licences, and Natural Resources
Taxes or Royalties
Motor-vehicle Licences and Permits:
$59,370,537.00
58,983,000.00
$13,997,654.00
687,865.08
$14,685,519.08
1,317,820.96
31,070,316.33
6,744,869.43
1,273,583.36
$13,000,000.00
760,000.00
Natural Resources:
1,150,000.00
80,000.00
Lands and Forests:
$69,784.95
497,399.16
2,136,672.03
93,145.91
362,308.43
1,862,322.20
26,048,683.65
450,000.00
3,500,000.00
90,000.00
375,000.00
2,100,000.00
26,000,000.00
Minerals:
Coal, petroleum, and natural-gas leases and
3,000,000.00
$4,530,726.57
62,572.35
178,542.62
1,903,048.64
69,979.25
60,000.00
200,000.00
3,000.000.00
65,000.00
Free miners' certificates      _   	
Mining receipts, general	
Unworked Crown-granted mineral claims
Water Resources:
Water rentals and recording fees	
Other:
1,100,000.00
40,000.00
$47,448.08
347,534.42
83,937.77
18,274.00
129,728.41
2,238,610.58
400,000.00
90,000.00
25,000.00
" Fire Marshal Act "—Fees, etc  	
125,000.00
2,100,000.00 PUBLIC ACCOUNTS,  1957/58 E 31
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED  MARCH  31,   1958—Continued
Estimated
SERVICE
Received
$500,000.00
Privileges, Licences, and Natural Resources
Taxes or Royalties—Continued
Other—Continued
$521,819.05
51,787.29
54,928.24
7,004.55
191,489.00
15,440.75
12,418.00
45,361.39
113,854.52
$3,879,636.05
45,000.00
50,000.00
7 000.00
150,000.00
12,000.00
10,000.00
45,000.00
75,000.00
Trade licences	
Total,   Privileges,   Licences,   Natural   Resources Taxes or Royalties -
Land Sales and Service Fees
Sales:
$58,604,000.00
$58,971,745.21
$542,719.02
46,371.83
$589,090.85
2,359,733.95
$500,000.00
50,000.00
Sale of maps and air photos	
Services:
50,000.00
2,000,000.00
$41,527.07
2,149,440.02
95,553.71
73,213.15
100,000.00
70,000.00
Total, Land Sales and Service Fees	
Fines and Penalties
$2,770,000.00
2,948,824.80
$500,000.00
768,578.81
Interest, Discount, Premium, and Exchange
$1,400,000.00
1,221,074.92
Contributions from Other Governments
(Canada)
$29,151.06
220,000.00
932,168.00
100,000.00
1,325,456.00
$29,151.00
220,000.00
932,168.00
100,000.00
1 500,000.00
Total,  Contributions  from  Other  Govern-
$2 781,309.00
2,606,775.06
CONTRIBUTIONS FROM GOVERNMENT ENTERPRISES
Net profit,  Government Liquor  Board   (including
$26,872,515.91
26,072.59
$23,750,000.00
50,000.00
Total, Contributions from Government En-
$23,800,000.00
26,898,588.50
MlSCELLANEOUS
Miscellaneous revenue    	
NON-REVENUE AND SURPLUS RECEIPTS
Refunds of Previous Year's Expenditure:
Charged to Income-
$28,537.06
126.04
8,092.19
8,458.92
30,065.21
609.16
$400,000.00
651,399.00
$75,888.58
Provincial Home Trust Account	
Advances to water and irrigation districts
$50,000.00 E 32 PUBLIC ACCOUNTS,  1957/58
DETAILS OF REVENUE FOR THE FISCAL YEAR ENDED  MARCH 31,   1958—Continued
Estimated
SERVICE
Received
Non-revenue and Surplus Receipts—Continued
Refunds of Previous Year's Expenditure—Continued
Charged to Loans:
" Soldiers' Land Act, 1918 "     	
$3,778.66
425,677.38
5,100.00
$434,556.04
" Dyking    Assessments    Adjustment    Act,
1947 "	
$375,000.00
Total, Non-revenue and Surplus Receipts
$425,000.00
$510,444.62
$270,638,856.00
$277,324,377.73
6,104,422.00
Transferred  from  Deferred  Revenue  Final  Settlement, Tax-rental Agreement, 1947	
6,104,422.40
$276,743,278.00
$783,428,800.13 PUBLIC ACCOUNTS,  1957/58
E 33
Appropriation and Expenditure
Summary Showing Amounts Appropriated, Expended, Unexpended, and Overexpended
for the Fiscal Year Ended March 31, 1958
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
1
CURRENT ACCOUNT
Public Debt
Interest, Premium, and Exchange:
Page 2
$4,581,969.00
4,823,302.00
2,086,107.00
$4,312,178.85
4,823,301.69
2,086,106.81
$269,790.15
.31
.19
Sinking Funds:
Page 2
Redemption of Debt:
Page 2
Legislation :
Page 3
41,400.00
9,400.00
$11,491,378.00
$11,221,587.35
$269,790.65
2
$350,800.00
$345,550.48
$5,249.52
Premier's Office:
Page 3
3
$41,506.00
19,000.00
$40,646.84
18,946.14
$859.16
53.86
4
Office of Economic Adviser and
Co-ordinator of Provincial Finances :
Page 3
Department of Agriculture
Minister's Office:
Page 3
$60,506.00
$59,592.98
$913.02
5
$22,112.00
82,625.00
72,360.00
150,856.00
19,134.00
16,150.00
18,033.00
360,862.00
55,804.00
36,262.00
53,988.00
10,390.00
13.840.00
$14,238.87
69,443.98
46,269.86
147,129.88
18,578.23
16,372.43
15,923.86
345,815.17
55,183.44
44,637.72
53,191.57
10,317.75
13,273.06
$7,873.13
13,181.02
6
General Administration :
Page 3
7
Markets and Statistics Branch:
Page 4
26,090.14
3,726.12
555.77
8
Horticultural Branch:
Page 4
9
Plant Pathology Branch:
Page 4
10
Entomology Branch:
Page 4
$222.43
11
Apiary Branch:
Page 5
2,109.14
15,046.83
12
Live Stock Branch :
Page 5
13
Dairy Branch :
Page 5
620.56
796.43
14
15
Poultry Branch :
Main Estimates 1 	
Field Crops and Seed Improvement Branch:
Page 5
Page 6
8,375.72
16
Farmers' Institutes :
Page 6
72.25
17
Women's Institutes:
Main Estimates .—.	
Page 6
566.94 E 34
PUBLIC ACCOUNTS,  1957/58
No.
of                                          SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Agriculture—Continued
18    Soil Survey Branch:                                             Page 6
$57,686.00
228,371.00
49,032.00
16,746.00
10,630.00
13,894.00
23,683.00
61,630.00
76,000.00
25,000.00
60,000.00
18,000.00
47,500.00
15,000.00
228,000.00
16,000.00
200.00
5,297.28
1,004.21
34,000.00
4,742.34
1.200.00
$46,900.08
215,365.02
30,521.91
16,594.16
10,603.75
13,611.67
52,592.03
$10,785.92
13,005.98
18,510.09
151.84
26.25
19   Agricultural Development and Extension:   Page 6
20   Agricultural Engineering:
Page 7
21   4-H Clubs:
Page 7
22   Land Settlement Board:
Page 7
23    Dyking Commission:
Page 7
282.33
24   Southern Okanagan Lands Project:
Page 8
$28,909.03
25   Milk Board:
Page 8
54,993.95
70,932.14
6,394.01
57,960.00
16,541.26
48,939.13
8,733.41
146,374.68
2,196.44
187.93
5,297.28
1,004.21
9,679.97
4,742.34
6,636.05
5,067.86
18,605.99
2,040.00
26   Temporary Assistance :
Page 8
27   Motor-vehicles and Accessories:
Page 8
28   Grants and Subsidies:
Page 8
29   Rebates on Stumping-powder :
Page 8
1,458.74
30   Subsidies on Agricultural Lime:
Page 8
$37,500.00
10,000.00
Supplementary Estimates —	
1,439.13
31   Federal-Provincial Farm Labour Service :
Page 8
6,266.59
81,625.32
32   Farmers' Land-clearing Assistance :
Page 9
33    Farmers' Domestic Water Assistance:
Page 9
13,803.56
12.07
34   "Soldiers' Land Act, 1918 "—Houses,
South Vancouver :
Page 9
35   Investigation of Doukhobor Lands :
Page 9
$1,000.00
4,297.28
36   " Pound District Act ":
Page 9
$750.00
254.21
Statutory _	
37   " Grasshopper-control Act ":
Page 9
24,320.03
37a " Horned Cattle Purchases Act ":
Page 9
$1,000.00
3,742.34
38    "Natural Products Marketing (B.C.) Act
Main Estimates 	
':   Page 9
1,082.99
117.01 PUBLIC ACCOUNTS,  1957/58
E 35
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Agriculture—Continued
Statutory:                                                          Page 9
" Soil Conservation Act " ._  	
Special Warrants: Pages 9-10
No. 6. Compensation payable to Barkwills Limited
to cover losses arising from Oriental fruit-moth
eradication programme on the Barkwill orchard ..
No. 8. Additional advance to Milk Board to enable
carrying-out of provisions of section 24 (6) of
General Order No. 1, passed by Milk Board
under "Milk Industry Act"	
Nos. 10, 13, 20, and 21: Grants to various agricultural exhibition and fair associations to assist in
improvement of fair grounds and erection of
buildings   	
Nos. 15 and 17. Repayable advances re construction of potato-warehouses under the "Canada-
British Columbia Potato-warehouse Construction
Assistance Act"    	
Department of the Attorney-General
39   Attorney-General's Office:
Main Estimates  	
Page 10
40   General Administration: Page 10
Main Estimates         $109,231.00
Supplementary Estimates  _          3,400.00
41    Companies Office:
Ma*'n Estimates	
Supplementary Estimates
42    Insurance and Real Estate Office:
Main Estimates _  	
Page 11
$70,412.00
1,800.00
Page 11
43    Securities Office:
Main Estimates .
Page 11
44   " Credit Unions Act ":
Main Estimates	
Page 11
45   " Fire Marshal Act ":
Main Estimates 	
46   Censor of Moving Pictures:
Main Estimates —	
Page 11
Page 12
47    Sheriffs' Offices:
Main Estimates _
Page 12
48    Official Administrator:
Main Estimates   _
Page 12
49    Official Committee:
Main Estimates 	
Page 13
50   Official Guardian : Page 13
Main Estimates    $7,520.00
Supplementary Estimates       1,800.00
51
Land Registry Offices:
Page 14
52
Supreme and County Courts:
Page 18
53
Official Stenographers :
Main Estimates	
Page 16
$895.00
$895.00
13,700.00 13,700.00
10,000.00
34,000.00
105,000.00
$2,069,626.83
$25,964.00
112,631.00
72,212.00
54,650.00
21,578.00|
35,035.00
102,792.00
20,291.00
159,322.00
69,166.00
45,332.00
9,320.00
619,501.00
270,994.00
126,226.00
10,000.00
34,000.00
104,112.281
$887.72
fl,834,331.46|     $274,241.68
$24,048,781
110,130.931
I
74,924.091
46,292.58
21,159.93
I
32,052.49
94,461.811
I
I
18,477.31|
I
109,907.20|
63,391.57
37,740.831
8,748.74
597,053.87
272,529.66
128,878.21
fl.915.22
2,500.07
I
8,357.42
418.07]
I
I
2,982.51j
8,330.19
1,813.69
49,414.80
5,774.43
7,591.17
571.26
22,447.13
$38,946.31
$2,712.09
1,535.66
2,652.21 E 36
PUBLIC ACCOUNTS,  1957/58
No.
of                                          SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Contin
Department of the Attorney-General-
54   Motor-vehicle Branch:
ted
—Continued
Page 16
... $912,448.00
._      86,000.00
$998,448.00
1,310,844.00
38,500.00
192,500.00
77,012.00
68,070.00
1,873,905.00
140,840.00
186,945.00
87,886.00
210,090.00
55,481.00
115,594.00
985,471.00
86,731.00
415,060.00
169,288.00
332,300.00
$906,073.56
1,310,843.69
48,952.57
153,806.69
61,646.73
70,575.43
2,142,611.95
129,460.38
185,191.57
78,040.29
192,944.00
50,307.96
107,330.61
813,903.59
95,753.74
427,325.57
186,470.01
352,287.93
$92,374.44
.31
55   Policing by Royal Canadian Mounte
Main Estimates   	
o Police:
Page 16
$1,193,851.00
116,993.00
$10,452.57
56   Sundry Incidental Police Expenses:
Main Estimates  .__  _	
Page 16
$36,500.00
2,000.00
57   Doukhobor Affairs:
Page 16
$167,500.00
25,000.00
38,693.31
15,365.27
Supplementary   Estimates	
58   Corrections Office:
Page 17
59   Nelson Gaol:
Page 17
2,505.43
60    Oakalla Prison Farm:
Page 17
$1,723,905.00
150,000.00
Supplementary Estimates	
268,706.95
61   Unit for Young Offenders:
Page 18
11,379.62
1,753.43
9,845.71
17,146.00
62   Women's Gaol:
Page 18
... $174,945.00
12,000.00
63 Prince George Women's Gaol:
Main Estimates	
64 Prince George Men's Gaol:
Page 19
Page 19
	
65    Kamloops Gaol:
Page 19
5,173.04
8,263.39
171,567.41
66   New Haven:
Page 20
67   Haney Correctional Institution:
Page 20
68   Rehabilitation Forest Camp:
Page 21
.... $78,731.00
Supplementary Estimates 	
8,000.00
9,022.74
69   Pre-release Forest Camps:
Main  Estimates	
Page 21
$355,060.00
25,000.00
35,000.00
Special Warrant No. 9 	
12,265.57
17,182.01
70   Probation Office:
Page 21
71   Administration of Justice:
Main Estimates	
Supplementary Estimates  	
Page 22
... $322,300.00
10,000.00
19,987.93 PUBLIC ACCOUNTS,  1957/58
E 37
No.
of                                           SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of the Attorney-General—Continued
72    Crown Prosecutor's Office:                           Page 22
$12,790.00
1,500.00
48,000.00
138,033.00
75,000.00
45,000.00
10,000.00
9,000.00
10,000.00
8,000.00
12,500.00
15,000.00
53,262.50
8,312.68
35,609.55
$10,955.23
939.15
58,747.17
101,066.86
74,448.00
43,020.14
9,347.56
6,776.76
5,531.72
7,124.76
12,416.23
14,499.42
53,262.50
8,312.68
$1,834.77
560.85
36,966.14
552.00
1,979.86
652.44
2,223.24
4,468.28
875.24
73   Promotion of Uniformity of Legislation:    Page 22
74   Coroners' Inquests and Inquiries :               Page 22
Main Estimates      — —  $45,000.00
Supplementary Estimates            3,000.00
$10,747.17
75 Narcotic Drug Treatment:                              Page 22
Main Estimates      —    .
76 Alcoholic Treatment:                                      Page 22
77   Constitutional Litigation and General Law Costs:
Page 22
Main Estimates    $15,000.00
Supplementary Estimates        30,000.00
78   Magistrates' Conference :                                Page 23
79   Incidentals and Contingencies:                    Page 23
80   In Aid of Removal of Discriminatory Freight and
Express Rates :                                          Page 23
81   " Court of Appeal Act ":                              Page 23
Main Estimates   _._   $7,500.00
82   " Supreme Court Act ":                                 Page 23
83.77
500.58
83   " County Courts Act ":                                Page 23
84    " Magistrates Act ":                                                 Page 23
Main Estimates       $40,000.00
Supplementary Estimates          5,000.00
Statutory     - -                   8,262.50
Special Warrants :                                              Page 23
No.   11.    Reimbursement of moneys contained in
exhibits missing from Vancouver Court Registry
of the Supreme Court of British Columbia 	
No. 38.     Refund of commission collected by Official
Administrator re estate of James Thomson, in
35,609.55
$9,571,986.73
$9,395,382.00
$534,375.06
$357,770.33
Department of Education
85   Minister's Office:                                           Page 24
$21,132.00
67,544.00
$20,883.19
65,516.71
$248.81
2,027.29
86   General Administration :                               Page 24
Main Estimates     —.. $66,344.00
Supplementary Estimates .        1,200.00 E 38
PUBLIC ACCOUNTS,  1957/58
No.
of                                          SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Education—Continued
87   Curriculum Branch:                                       Page 24
Main Estimates     —_        $68,247.00
$68,547.00
124,098.00
170,399.00
77,111.00
92,233.00
59,834.00
41,038.00
154,959.00
70,262.00
230,010.00
631,437.00
271,878.00
25,750.00
94,203.00
54,616.00
356,675.00
39,830,000.00
2,599,578.54
$63,353.22
102,462.73
182,150.42
72,293.05
90,565.21
54,417.70
36,941.92
144,293.05
62,483.66
119,115.78
608,293.40
266,569.97
13,381.50
87,676.50
48,087.93
484,669.99
39,738,367.58
2,599,578.54
$5,193.78
21,635.27
Supplementary Estimates   _         300.00
88    Adult Education Branch :                                Page 25
89    High Correspondence School:                         Page 25
Main  Estimates ~ ..  $164,469.00
$11,751.42
90   Elementary Correspondence School:           Page 26
4,817.95
1,667.79
5,416.30
4,096.08
10,665.95
7,778.34
110,894.22
23,143.60
5,308.03
12,368.50
6,526.50
6,528.07
91    Provincial Library:                                            Page 26
92    Central Microfilm Bureau:                            Page 26
Main Estimates —         $57,098.00
Supplementary Estimates        2,736.00
93    Provincial Archives :                                          Page 26
94   Public Library Commission:                            Page 27
95   Provincial Museum:                                        Page 27
96   Text-book Branch :                                              Page 28
Main Estimates           $10.00
Supplementary Estimates  _._  230,000.00
97    Inspection of Schools and School Services:
Page 28
98    Jericho Hill School:                                         Page 29
Main  Estimates    -   $266,678.00
Supplementary Estimates  _       5,200.00
99   Teacher Education and Recruitment:         Page 29
100   Teacher Registration and Examinations:     Page 29
Main  Estimates       $79,998.00
Supplementary   Estimates         14,205.00
101    Finance Branch:                                                 Page 29
102   Federal-Provincial Training Programmes:    Page 31
Ma:n  Estimates           - ..   . $306,700.00
Supplementary Estimates        49,975.00
127,994.99
103   Grants toward Cost of Education:             Page 31
Main Estimates  ,  $38,900,000.00
Supplementary  Estimates  — _..        930,000.00
91,632.42
104    Teachers' Superannuation Fund 6%:           Page 31
Main Estimates   —   $2,400,000.00
Statutory ...- _       199,578.54 PUBLIC ACCOUNTS,  1957/58
E 39
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
105
CURRENT ACCOUNT— Continued
Department of Education—Continued
Special Aid to School Districts :                   Page 31
$50,000.00
72,000.00
20,000.00
170,612.00
550,000.00
3,925,000.00
238,500.00
78,831.00
22,500.00
46,000.00
89,000.00
10.00
61,000.00
12,500.00
$50,000.00
106
Night-school Grants:                                     Page 31
52,346.75
19,990.93
170,612.00
$19,653.25
9.07
107
Education of Soldiers' Dependent Children and
Expenses:                                                   Page 31
108
Library and Library Association Grants:    Page 31
Main  Estimates _.  $160,000.00
Supplementary Estimates        10,612.00
109
Free Text-books, Maps, etc. :                          Page 32
549,973.38
3,925,000.00
238,500.00
78,831.00
26.62
110
Grant to University of British Columbia:    Page 32
111
Grant to Victoria College:                           Page 32
112
University Endowment Lands:                    Page 32
113
Incidentals, Grants, and Contingencies :    Page 32
20,806.36
33,080.75
55,068.96
*180,455.93
58,906.14
11,424.82
1,693.64
114
Temporary Assistance:                                   Page 32
12,919.25
33,931.04
180,465.93
2,093.86
1,075.18
115
Student-aid Loans and Teacher-training Loans:
Page 32
116
Advances re Rural School and Library Taxes:
Page 32
Special Warrants :                                           Page 32
No.   3.    Provision   of   additional   funds   over   and
above  amounts provided  re capital expenditure
for  buildings,  College of Education,  Vancouver
No. 5.   Investigation of the Hoxey treatment for
cancer by the University of British Columbia
Department of Finance
Minister's Office:                                               Page 33
	
$50,377,257.54
$49,945,187.21
$571,816.74
$139,746.41
117
$5,212.00
103,284.00
307,941.00
10.00
$5,341.48
$129.48
118
General Administration :                                  Page 33
104,841.89
294,478.81
1,557.89
119
Controlling and Audit Branch:                     Page 33
$13,462.19
10.00
29,893.84
9,996.32
120
Mechanical Tabulation Branch:                    Page 33
121
Consumption and Amusements Taxation Branch:
Page 34
649,649.00
283,187.00
619,755.16
273,190.68
122
Real Property Taxation Branch:                   Page 34
* Credit. E 40
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropriation
Expended     j  Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Finance—Continued
123    Income Taxation:
Page 35
124
"Assessment Equalization Act":
Page 35
125
Housing Commissioner:
Page 35
126
Purchasing Commission :
Page 35
127
Langford Warehouse:
Page 36
128
Office Furniture and Equipment:
Page 36
129
Motor-vehicles and Accessories:
Page 36
130
Postal Branch:
Page 36
131
Government Agents, etc. :
Page 48
132
Courts of Revision :
Page 48
133
Assessment Appeal Board:
Page 48
134
Printing   Public   Accounts,   Revenue
Bonds, etc.:
Receipts,
Page 49
135
Temporary Assistance :
Page 49
136
Incidentals and Contingencies :
Page 49
137
"Civil Service Superannuation Act":
Main Estimates  I  — 	
Page 49
138    " Dyking Assessment Adjustments Act, 1905 ":
Page 49
Main Estimates     	
139    Grants in Am of Local Government: Page 49
Main Estimates   $11,000,000.00
Statutory   20,303.32
140    "Supreme Court Act" (Sec. 33):
Main Estimates  , 	
Page 49
141    Salary Contingencies :
Main Estimates ...
Page 49
142   Home-owners' Subsidy:
Main Estimates	
Page 49
142a "Flood Relief Act":
Supplementary Estimates
Page 49
142b Interest on Official Guardian Deposits :      Page 49
Supplementary Estimates .	
142c "Municipal Superannuation Act":
Supplementary Estimates 	
Page 49
$64,934.00
172,605.00
7,775.00
244,842.00
10.00
10.00
10.00
359,198.00
1,452,880.00
9,000.00
15,500.00
27,500.00
130,000.00
35,000.00
940.000.00
1,500.00
11,020,303.32
10,875.00
142d "Unclaimed Money Deposits Act"
Supplementary Estimates  —
Page 50
100,000.00
500.00
100,000.00'
2,000.001
$53,790.46
103,422.93
677.55
238,804.03
1,643.18
*254.50
320,737.72
1,413,865.93
14,370.38
17,174.47
26,515.90
126,514.12
17,704.84
864,844.59
1,250.69
11,020,303.32
10,448.05
250.000.00! 34,399.83
7,490,000.00     6,765,320.99
79,383.83
$11,143.54
69,182.07
7,097.45
6,037.97
10.00
264.50
38,460.28
39,014.07
984.10
3,485.88
17,295.16
75,155.41
249.31
$1,633.18
5,370.38
1,674.47
156.16
98,348.08
1,280.96
426.95
215,600.17
724,679.01
20,616.17
343.84
1,651.92
719.04
* Credit. PUBLIC ACCOUNTS, 1957/58
E 41
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Finance—Continued
149e "Water Act":
Supplementary Estimates 	
Page 50
142f "Toll Highways and Bridges Authority Act":
Page 50
Supplementary Estimates 	
142a "Centennial Celebration Act": Page 50
Supplementary Estimates    $1,000,000.00
Statutory        788,360.33
142h Salary Revision:
Supplementary Estimates
Page 50
Statutory:
" Cemetery Companies Act'
"Electric Power Act"	
Pages 50-51
'Highway Development Act," Sec. 6 (1) ....
"Hospital Construction Aid Tax Act," 1950, Sec. 6 .
'Fort Langley Agreement Act," Sec. 8. 	
Special Warrants: Page 50
No. 2.    Authorizing payment of subsidy received
from Government of Canada re construction and
extension of Pacific Great Eastern Railway	
No. 32.    Cost of leasing, altering, decorating, and
furnishing premises for the Honourable Gordon
McGregor Sloan, Forestry Advisor
No. 35. Grant to British Columbia Olympic and
British Empire Games Association to assist in
defwinf the cost of British Empire Games held
at Cardiff in July, 1958   	
No. 36. Snbs-'dv toward cost of construction of
Point EO'Ve Bridge   	
No. 37. Grant to Grey Cup Festivities (1957)
Committee, to assist in defraying cost of 1957
Grey Cup festivities in Toronto -—
Department of Health and Welfare
143   Minister's Office:
Main Estimates ...
Page 51
144     Per Diem Grants under Sec 4 of " Hospital Act ":
Page 52
Main, Estimates     $1,775,000.00
Supplementary Estimates    30,000.00
145   Accounting Division:
Main Estimates	
Page 52
146   Provincial Infirmaries : Page 53
Main  Estimates   $576,552.00
Supplementary Estimates          5,000.00
147   Long-term P/ediatric Care:
Main Estimates 	
Page 53
Public Health Branch
148   General Services:
Main Estimates .
149   Polio Vaccine Programme:
Main Estimates 	
Page 53
Page 53
150   Cancer Control (Including Grants, etc.):  Page 53
Main Estimates  	
$200,000.00|       $181,636.95
1,500,000.00
1,788,360.33
2,025,000.00
1,457,184.00
1,788,360.33
$18,363.05
42,816.00
I
2,721,913.421.
2,249.77 2,249.77
135,332.71 135,332.71
7,448,561.64 7,448,561.64
1,572,235.91| 1,572,235.91
14,000.00! 14,000.00
500,000.00
20,000.00
10,000.00|
I
103,041.191
I
I
6,000.00!
6,562.89
10,000.00
103,041.19
6,000.00
500,000.00
13,437.11
$39,108,506,871 $37,955,390.34
 1	
$32,768,001 $32,690.70
I
I
$696,913.42
$1,860,395.35|   $707,278.82
$77.30
1,805,000.001 1,785,702.901         19,297.10
I I
I I
132,870.001 128,624.60]            4,245.40
I
581,552.001   589,594.34
127,000.00|   119,946.00
I
334,578.001   296,738.34
50,000.00|    53,500.00
I
I
272,100.00)   268,089.50
1,042.34
7,054.00
37,839.66
4,010.50
3,500.00 E 42
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Health and Welfare—Continued
Public Health Branch—Continued
151    Grants to Public Health Services, Metropolitan
Areas :                                                         Page 54
Main Estimates  _ 	
152    Grant in Aid of Arthritis Control:
Main Estimates  	
Page 54
153    Crippled Children (Federal Programme):    Page 54
Main Estimates    	
154   Professional Training (Federal Programme) :
Page 54
Main Estimates _  	
155   Public Health Research (Federal Programme):
Page 54
Main Estimates   	
156   Grant to Western Society for Rehabilitation:
Page 54
Main Estimates —  	
157   Medical Rehabilitation (Federal Programme) :
Page 54
Main Estimates   	
158   Rehabilitation Programme:
Main Estimates 	
Page 54
159 General Public Health (Federal Programme) :
Page 55
Main Estimates   	
160 Laboratory   and   Radiological   Services   (Federal
Programme) :                                                 Page 55
Main Estimates    	
161 Child and Maternal Health (Federal Programme) :
Page 55
Main Estimates   	
162 Grants re Local Health Services Building Con
struction :                                                  Page 55
Main Estimates 	
163   Grant   to   British   Columbia   Medical   Research
Institute:                                                      Page 55
Mam Estimates    	
164   Local Health Services:
Ma n Estimates 	
Page 56
165   Division of Laboratories:
Main Estimates  	
Page 56
166   Division of Vital Statistics:
Main Estimates  	
Page 57
167 Division of Venereal Disease Control:      Page 57
Main Estimates  	
168 Divisional Headquarters, Division of Tuberculo
sis Control:                                              Page 57
Main Estimates —   	
169   Travelling Clinics:
Main Estimates 	
Page 57
170   In-patient Care and Stationary Clinics :      Page 60
Main Estimates   — - -	
$219,000.00
120,000.00
10.00
I
I
10.00| .
10.00
90,000.00
275,240.00
246,026.00
83,842.0O[
I
$213,655.04
116,465.88
84,833.91
10.00
12,000.00
10.00
10.00
3,064.13
10.00
75,000.00
30,434.58
15,000.00| 15,000.00
I
763.960.00j 739,959.73
253,067.36
246,204.74
I
61.201.00j 50,209.71
I
67,054.35
86,020.00| 76,191.98
I
I
2,159,614.00)      1,594,094.87
I 	
$5,344.96
3,534.12
10.00
10.00
10.00
5,166.09
10.00
8,935.87
10.00
10.00
10.00
44,565.42
24,000.27
22,172.64
10,991.29
16,787.65
9,828.02
565,519.13
$178.74 PUBLIC ACCOUNTS,  1957/58
E 43
No.
of                                              SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Health and Welfare—Continued
Public Health Branch—Continued
171    Tuberculosis Control (Federal Programme):
Page 60
$10.00
$10.00
49,438.25
172   Poliomyelitis Pavilion :                                  Page 61
292,168.00
41,000.00
46,068.00
19,858.00
1,095,939.00
46,512.00
45,000.00
1,000.00
4,760,010.00
41,500.00
2,302,000.00
61,034.00
1,894,300.00
118,272.00
396,320.00
161,474.00
$242,729.75
41,000.00
173   Temporary Assistance:                                   Page 61
Social Welfare Branch
174   General Administration :                               Page 61
43,993.75
19,252.64
1,130,826.72
42,232.56
36,632.37
60.00
4,859,600.36
36,480.08
2,422,614.32
59,014.39
1,810,692.63
94,008.58
382,380.37
158,634.79
2,074.25
605.36
175   Family Division :                                              Page 61
176   Field Service:                                                      Page 62
$34,887.72
177   Medical Services Division:                             Page 62
4,279.44
8,367.63
178   Burial of Indigents:                                          Page 62
Main  Estimates        $24,000.00
Supplementary Estimates        21,000.00
179   " Residence   and   Responsibility   Act "—Administration:                                                     Page 62
940.00
180   Social Allowances  (Including Grants, etc.):
Page 62
Main Estimates  $4,760,000.00
Supplementary Estimates                  10.00
5,019.92
99,590.36
181    Operation of Pavilion at New Denver:      Page 63
Main Estimates         $28,500.00
Supplementary Estimates        13,000.00
182    Medical Services, Drugs, etc.:                        Page 63
Main Estimates            ....             $2,155,000.00
2,019.61
Supplementary Estimates             147,000.00
120,614.32
183   Administration, Child Welfare Division:    Page 63
184   Maintenance of Dependent Children and Grants
to Homes :                                                      Page 63
Main Estimates                 $1 711,300.00
83,607.37
24,263.42
13,939.63
Supplementary Estimates           183,000.00
185   Provincial Home, Kamloops :                         Page 64
Main Estimates	
186   Industrial School for Boys, Brannen Lake:
Page 64
Main Estimates     $384,320.00
Supplementary Estimates         12,000.00
187   Industrial School for Girls:                        Page 65
Main Estimates	
2,839.21 E 44
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
188
CURRENT ACCOUNT— Continued
Department of Health and Welfare—Continued
Social Welfare Branch—Continued
'Old-age Assistance Act," 1951, and "Blind Persons'   Allowances   Act,"   1951—Administration :                                                           Page 65
Main Estimates	
189   Old-age  Assistance  and  Blind Persons'  Allowances: Page 65
Man Estimates   $1,586,000.00
Supplementary Estimates        400,000.00
Statutory   9,273.71
190   Supplementary  Social Assistance  for  the Aged
and Handicapped: Page 66
Main Estimates  I	
191   Mothers'    Allowances    and    Mothers'    Supplementary Social Allowances :                 Page 66
Main Estimates   	
192    Disabled Persons' Allowances: Page 66
Main Estimates  _ 1 $255,000.00
Supplementary Estimates        95,500.00
193   Temporary Assistance:
Main Estimates  _L_
Page 66
Special Warrants :                                            Page 66
No. 19.    Grant to Columbia Coast Mission, Incorporated, to help pay construction cost of hospital
ship "Columbia"   	
No. 27. Cost of relocating houses at Japanese
project on Government property, with a view to
turning them over to the Japanese residents	
Department of Highways
194   Minister's Office:
Main Estimates ....
Supplementary Estimates
Page 66
$32,018.00
2,100.00
195    General Administration:
Main Estimates  ..._	
Supplementary Estimates
Page 67
$1,537,388.00
127,000.00
196   Roads, Bridges, Ferries, Wharves, etc. : Page 67
Main Estimates     $11,364,508.00
Supplementary Estimates          295,000.00
197   Snow-removal:
Main Estimates
Supplementary Estimates
Paee 68
$1,500,000.00
1,250,000.00
198   Local Highways within Municipal Limits :   Page 69
Main Estimates  	
199   Vehicle Damage Claims, etc. :
Main Estimates  	
Supplementary Estimates
Page 69
$20,000.00
15,000.00
200   Highway Signs, Signals, Traffic-control, etc. :
Page 69
Main Estimates   	
$265,150.00
1,995,273.71
7,940,000.00
287.000.00
350,500.00
16,500.00
10,000.00
30,000.00
$255,352.46
1,995,273.71
7,802,386.49
282,383.05
339,827.78
16,500.00
10,000.00
29,985.06
$9,797.54
137,613.51
4,616.95
10,672.22
14.94
$29,759,729.71| $28,876,984.52| $1,149,558.67
 1	
$266,813.48
$34,118.00 $31,684.54
I
1,664,388.00
11,659,508.00
2,750.000.00
175,000.00
I
35,000.00
149,590.00
1,625,123.52
11,382,740.85
1,964,896.50
168,121.76
34,853.77
148,779.15
$2,433.46
39,264.48
276,767.15
785,103.50
6,878.24
146.23
810.85 PUBLIC ACCOUNTS,  1957/58
E 45
No.
of                                          SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Highways—Continued
201   Weigh-scales Operation :                                 Page 69
$99,660.00
1,000.00
$86,783.76
$12,876.24
202   Research and Testing Services:                     Page 70
1,000.00
10.00
10.00
203   Gravel-crushing:                                              Page 70
10.00
10.00
       	
204   Paving-plant Operations :                               Page 70
205   Grants and Subsidies:                                     Page 70
43,500.00
1,799,993.00
138,000.00
10,000.00
10,000.00
42,560.00
1,796,785.79
127,585.06
10,000.00
10,000.00
940.00
•
206   Purchase of New Equipment:                       Page 70
3,207.21
10,414.94
207   Temporary Assistance:                                    Page 70
Main Estimates  $95,000.00
Special Warrants :                                           Page 70
No. 25.    Cost of extending wingdam so that airstrip  at Stewart is adequately protected during
No. 31.    Grant to Corporation of the District of
Mission to assist in defraying cost of necessary
$18,569,777.00
$17,429,914.70
$1,139,862.30
Department of Industrial Development,
Trade, and Commerce
208   Minister's Office:                                           Page 70
$4,050.00
41,054.00
31,720.00
112,436.00
146,516.00
20,173.00
14,500.00
150,000.00
12,000.00
195,000.00
$3,629.12
40,403.43
35,696.48
$420.88
650.57
209   General Administration :                               Page 71
210   Agent-General's   Office   and   British   Columbia
House, London, England:                        Page 71
$3,976.48
211    Bureau of Economics and Statistics:           Page71
117,537.79
142,155.37
16,311.37
14,060.81
67,793.59
11,945.73
195,000.00
5,101.79
212   Mechanical Tabulation Division:                  Page 72
4,360.63
213    Industrial and Trade Office:                          Page 72
3,861.63
439.19
82,206.41
54.27
214   Temporapy Assistance:                                     Page 72
215   Advertising and Publicity:                            Page 72
216   Provincial Exhibits, British Columbia Building:
Page 72
217   Grant to British Columbia Research Council:
Page 72
$727,449.00
$644,533.69
$91,993.58
$9,078.27
218   Minister's Office:                                           Page 73
Main Estimates   ..   ...
$24,444.00
$24,367.10
$76.90 E 46
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Labour—Continued
219   General Administration:
Main Estimates .
Page 73
220
Board of Industrial Relations:
Page 73
221
Factories Inspection:
Page 73
222
Apprenticeship Branch:
Page 74
223
Trade-schools Branch:
Page 74
224
Labour Relations Branch:
Page 74
225
Indian Inquiry Branch:
Main Estimates 	
Page 74
226   Motor-vehicles and Accessories:
Main Estimates _ _ 	
Page 74
227   Temporary Assistance:
Main Estimates  	
Page 74
Special Warrants :                                              Page 74
No.  14.    Grant to B.C. Federation of Labour to
assist in meeting costs of international seminar
being held at Banff by International Confederation of Free Trade Unions 	
No. 16. Expenses in connection with a Government-supervised strike vote of employees in the
lumber industry on Vancouver Island and the
west coast of the Mainland _ ._	
No. 30. Expenses in connection with a Government-supervised strike vote of employees in the
pulp and paper industry  _	
No. 34. Fees and expenses of N. F. Parkinson
with respect to a report of inquiry into certain
aspects of the silicosis problem in British Columbia      	
Department of Lands and Forests
228    Minister's Office:
Main Estimates —
Page 75
Lands Service
229   General Administration:
Main Estimates —	
Page 75
230   Accounting Division:
Main Estimates	
231   Lands Branch:
Main Estimates
Page 75
Page 76
232   Inspection Division:
Main Estimates 	
Page 76
233   Administration, Surveys and Mapping Branch:
Page 76
Main Estimates   	
234   Special Commitments:
Main Estimates 	
Page 77
$224,086.00
16,300.00
34,998.00
384,755.00
3,631.00
125,728.00
9,076.00
6,400.00|
2,500.00
$217,616.27
13,370.18
30,252.09
376,246.40
3,182.96
125,575.25
6,705.55
4,464.16
507.80
2,000.00 2,000.00
12,000.00
400.00'
11,994.83
371.79
$6,469.73
2,929.82
4,745.91
8,508.60
448.04
152.75
2,370.45
1,935.84
1,992.20
5.17
28.21
I
549.25 549.25
$846,867.25
$21,712.00
$817,203.63
$20,431.94
$29,663.62
97,289.00 85,258.83
49,956.00| 49,710.75
I
1
120,670.00] 116,749.41
!
132,060.00 127,763.91
I
23.508.00
27,600.00'
23,248.29
24,354.24'
$1,280.06
12,030.17
245.25
3,920.591..
I
I
4,296.09|..
I
259.711-
I
I
3,245.761.. PUBLIC ACCOUNTS,  1957/58
E 47
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Lands and Forests—Continued
Lands Service—Continued
Page 77
235    Legal Surveys Division:
236
Geographic Division:
Page 77
237
Topographic Division:
Page 78
238
Air Division:
Main Estimates 	
Page 78
239   Water Rights Branch:
Main Estimates 	
Page 79
240   Hydraulic Surveys:
Main Estimates 	
Page 79
241   B.C. Hydrometric Stream-gauging:
Main Estimates   	
Page 79
242   Grant to  British  Columbia Natural Resources
Conference: Page 79
Main Estimates 	
243   Fraser River Board:
Main Estimates 	
Page 80
244   "University  Endowment  Lands  Administration
Act": Page 80
Main Estimates  .  	
245   Temporary Assistance:
Main Estimates 	
Page 81
Forest Service
246   Salaries:
Main Estimates
Page 81
247   Expenses :
Main Estimates
Page 82
248   Reforestation and Forest Nursery:
Main Estimates  _ — 	
Page 82
249   Forest Management:
Main Estimates 	
Page 83
250   Forest Research:
Main Estimates
Page 83
251
Public Relations :
Page 84
252
Forest Ranger School:
Page 84
253
Grant to Canadian Forestry Association:
Page 84
254
Office Furniture and Equipment:
Main Estimates   .   ~           	
Page 84
255   Youth Training Programme:
Main Estimates  — 	
Page 84
256   Engineering Services :
Main Estimates 	
Page 85
$345,550.00
120,525.00
317,620.00
175,524.00
316,861.00
78,400.00
20,000.00
$344,337.23
116,231.32
283,888.42
146,608.38
310,576.66
79,106.05
20,483.74
1,500.00
$1,212.77
4,293.68
33,731.58
28,915.62
6,284.34
$706.05
483.74
I
1,500.00|
I
I
100.000.00J   108,611.69
I
10.001.
8,611.69
48,000.001    47,733.11
I
I
2,069,756.00
I
I
1,005,700.001
I
377,104.001
496,483.00
175,983.00
103,900.00
121,997.00
6,000.00!
62,150.00
I
130,000.00|
I
I
404.743.00J
2,055,592.30
907,661.43
357,406.39
419,832.55
171,884.49
103,373.52
110,575.12
6,000.00
44,769.76
63,112.42
403,993.02
10.00
266.891
14,163.70
98,038.57
19,697.611
76,650.45
4,098.51
526.48
11,421.88
17,380.24
66,887.58
749.98
 	 E 48
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropria- Expended
tion
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Lands and Forests—Continued
Forest Service—Continued
257   Forest Protection:
Main Estimates .—
258   Fire Suppression:
Main Estimates ..
Page 86
Page 86
259   Forest Surveys :
Main Estimates
Page 86
260   Scaling Fund:
Main Estimates
Page 87
261   Silviculture:
Main Estimates .
Page 87
262   Grazing:  Range Improvement Fund: Page 88
Main Estimates  _ -      $38,000.00
Statutory     452.61
263   Temporary Assistance:
Main Estimates  	
Supplementary Estimates
Page 88
$323,972.00
37,327.00
Special Warrant: Page 88
No. 4.    Grant to assist in defraying the  1956/57
operating deficit of the B.C. Fruitlands Irrigation
District    -
Department of Mines
264   Minister's Office:
Main Estimates —
Page 89
265   General Administration :
Main Estimates 	
Page 89
266   Mineralogical Branch:
Main Estimates 	
Page 89
267   Analytical and Assay Branch:
Main Estimates 	
Page 89
268    Inspection Branch:
Main Estimates —
Page 90
269   Petroleum    and    Natural    Gas    Conservation
Branch: Page 90
Main Estimates    $75,172.00
Supplementary Estimates         5,000.00
270   Grants and Subsidies:
Main Estimates 	
Page 90
271    Grants in Aid of Mining Roads and Trails:
Page 90
Main Estimates   $125,000.00
Supplementary Estimates         5,000.00
272   Grub-staking Prospectors:
Main Estimates  	
Page 90
273   Subsidy re Explosives to Assist Bona Fide Prospectors :                                                      Page 90
Main Estimates  	
$2,671,200.00
250,000.00
538,470.00
10.00
1,439,094.00
38,452.61
361,299.00
I
$2,445,164.46
172,814.92
556,501.23
1,282,786.44
38,452.61
342,439.98
15,000.00 15,000.00
-I
$12,264,126.61| $11,403,954.61
$226,035.54
77,185.08
10.00
156,307.56
18,859.02
$888,004.71
I
$21,512.00
142,426.00
156,276.00
!
66,922.00
130,186.00
80,172.00
19,600.00
130,000.00
25,000.00
300.00
$20,953.14
129,076.26
138,979.36
58,712.69
129,669.54
70,912.14
16,789.37
117,957.90
22,034.85
77.62
$558.86
13,349.74
17,296.64
8,209.31
516.46
9,259.86
2,810.63
12,042.10
2,965.15
222.38
18,031.23
$27,832.71 PUBLIC ACCOUNTS,  1957/58
E 49
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
274
CURRENT ACCOUNT— Continued
Department of Mines—Continued
Interprovincial Committee on Mining:       Page 90
$3,000.00
4,000.00
12,052.00
20,000.00
15,000.00
$2,340.31
2,556.28
11,112.96
20,000.00
14,919.66
$659.69
1,443.72
939.04
275
Incidentals and Contingencies:                    Page 91
276
Temporary Assistance:                                   Page 91
277
" Iron and Steel Bounties Act ":                  Page 91
Special Warrants :                                               Page 91
No.   1.    Purchase of equipment and supplies for
analytical and assay branch laboratory 	
Department of Municipal Affairs
Minister's Office:                                            Page 91
80.34
$826,446.00
$756,092.08
$70,353.92
	
278
$3,250.00
57,466.00
55,620.00
35,100.00
3,500.00
2,000.00
139.75
14,243.43
$1,936.44
57,380.92
54,158.57
32,600.00
1,756.06
139.75
14,243.43
$1,313.56
85.08
1,461.43
279
Municipal Branch:                                          Page 91
280
Regional Planning Division:                         Page 91
281
Grants and Subsidies :                                     Page 92
Main Estimates          $30,000.00
2 500 00
282
Temporary Assistance:                                      Page 92
3,500.00
282a
" Pollution-control Act ":                            Page 92
243.94
Statutory:
" Municipal Act"  	
Special Warrants :                                            Page 92
Nos. 12, 18, 22, 23, 24, 28, 29, 33.   Reimbursement
of taxes re incorporation or extension of cities
and   villages
Department of the Provincial Secretary
Minister's Office :                                               Page 92
$171,319.18
$162,215.17
$9,104.01
283
$29,600.00
42,700.00
350,000.00
156,630.00
20,862.00
$28,340.00
• 40,465.94
343,849.17
146,897.35
20,862.00
$1,260.00
284
General Administration :                                  Page 93
2,234.06
285
Grants in Aid of Construction  of  Homes  for
Elderly Citizens :                                        Page 93
Main Estimates            $300,000.00
6,150.83
Supplementary Estimates ~            50,000.00
286
Civil Service Commission:                              Page 93
Main Estimates            $140,630.00
9,732.65
Supplementary Estimates            16,000.00
287
Grants re Civil Service—Gratuities:           Page 93
Main Estimates            $11,000.00
Statutory                                                                      1 86? (10 E 50
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
CURRENT ACCOUNT—Continued
Department of the Provincial Secretary—Continued
288   Superannuation Branch :
Main Estimates 	
Supplementary Estimates
289   Grants re Retiring Allowances:
Main Estimates  	
Page 94
$10.00
45,000.00
Page 94
290    " Civil   Service   Superannuation   Act "—Government Contributions : Page 94
Main Estimates    $2,350,000.00
Statutory        266,267.38
291
' Teachers' Pensions Act '
Main Estimates 	
Page 94
292    Queen's Printer:
Main Estimates .
Supplementary Estimates
293    Government House:
Main Estimates 	
Page 94
... $10.00
...    10.00
Supplementary Estimates
Page 94
$17,544.00
3,400.00
294   Assessment on Class  13   (the Crown),  "Workmen's Compensation Act ": Page 95
Main Estimates  $300,000.00
Supplementary Estimates      150,000.00
295    Public Services Medical Plan:
Main Estimates  ..
Supplementary Estimates —
Statutory  	
Page 95
$160,000.00
40,000.00
27,113.93
296   Contingencies,    Incidentals,   Entertainment.
Grants, etc. : Page 95
Main Estimates	
297   Construction and Other Grants to Charitable
and Other Associations: Page 95
Main Estimates 	
298    " Capital Improvement District Act ":
Main Estimates 	
Page 95
299    Collections Office:
Main Estimates 	
Page 95
300   Farms:
Main Estimates
Page 97
301   Headquarters,   Provincial   Mental   Health   Services :                                                              Page 97
Main Estimates   	
302   School of Psychiatric Nursing:
Main Estimates 	
Page 97
303   Preventive Services:
Main Estimates 	
Page 98
304 Provincial Mental Hospitals:
Main Estimates    	
Supplementary Estimates	
305 Mental Health Centre:
Main Estimates ..
Page 100
$8,190,587.00
190,000.00
Total
Appropriation
Expended
Unexpended
Over-
expended
$45,010.00
48,000.00
2,616,267.38
60,000.00
20.00
20,944.00
450,000.00
227,113.93
50,000.00
180,000.00
250,000.00
12,442.00
30.00
$33,397.63
45,479.93
2,616,267.38
56,848.07
21,688.23
373,355.19
227,113.93
50,046.78
177,741.60
250,000.00
10,833.26
134.778.00 120,691.13
I
489.795.001 407,358.12
I
I
241,200.001 204,824.86
!,380.587.0O|  7,672,188.36
I
215,954.001   169,119.71
$11,612.37
2,520.07
3,151.93
20.00
76,644.81
$744.23
46.78 PUBLIC ACCOUNTS,  1957/58
E 51
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of the Provincial Secretary—Continued
306   Mental Health Care (Federal Programme) :
Page 100
Main Estimates .—  	
307   Homes for the Aged:
Main Estimates	
Page 102
308   Civil Defence:
Main Estimates .
Page 102
309   " Provincial Elections Act ":
Main Estimates  	
Supplementary Estimates
Statutory _    	
310    " Public Inquiries Act '
Main Estimates  	
Supplementary Estimates
Statutory 	
Page 103
$72,912.00
34,000.00
40,408.51
Page 103
$10.00
75,000.00
54,073.12
311    Statutory Requirements pursuant to "Civil Service Superannuation Act":                   Page 104
Main Estimates  	
312   Retiring Allowances—" Civil Service Act " and
Other Government Employees: Page 104
Main Estimates —   	
313
' Members of Legislative Assembly Superannuation Act": Page 104
Main Estimates     $30,000.00
Supplementary Estimates ._         8,000.00
Statutory __       11,095.46
314   Temporary Assistance:
Main Estimates	
Page 104
315
316
Public Utilities Commission
' Public Utilities Act ":
Main Estimates  	
Page 104
' Motor Carrier Act '
Main Estimates 	
Page 105
Department of Public Works
317   Mivister's Office:
Main Estimates ...
Page 105
318   General Administration:
Main Estimates    	
Supplementary Estimates
319   Parliament Buildings (Maintenance) :
Main Estimates  	
Paee 105
$147,008.00
5,000.00
Page 106
320   Government House (Maintenance) :
Main Estimates   	
Page 106
$10.00
1,022,704.00
248,131.00
129,083.12
62,000.00
45,000.00
49,095.46
3,500.00
$946,392.26
205,607.94
147,320.51
129,083.12
59,690.65
35,599.68
49,095.46
2,069.57
$15,728,777.40| $14,592,227.83
 1	
$95,084.00
$94,437.01
239,124.00 198,390.43
--
$334,208.00        $292,827.44
$20,680.00 $18,569.20
152,008.00 135,163.82
735,246.00
76,644.00
649,045.18
$10.00
76,311.74
42,523.06
2,309.35
9,400.32
1,430.43
$1,137,340.58
$646.99
40,733.57
$41,380.56
$2,110.80
16,844.18
86,200.82
$791.01
49,430.191 27,213.81 E 52
PUBLIC ACCOUNTS,  1957/58
No.
of                                          SERVICE
Vote
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Department of Public Works—Continued
321   Government   Buildings   (Maintenance)    (Except
Parliament Buildings and Government House):
Page 106
Main Estimates       •   .   $2,446,425.00
$2,531,425.00
390,000.00
42,832.00
5,121.00
20.00
139,081.00
$2,302,847.60
321,736.25
*13,445.70
"1.136.96
'86,009.54
127,539.28
$228 577 40
322   Rentals:                                                          Page 107
68,263.75
56,277.70
6,257.96
86,029.54
323    Gas Division:                                                      Page 107
Main Estimates            .       ..          ...   $42,822.00
324   Steam-boiler Inspection:                                 Page 107
Main Estimates               $5,111.00
Supplementary Estimates  —                10.00
325   Electrical Energy Inspection:                      Page 108
Main Estimates   .....   ....          $10.00
Supplementary Estimates -   -            10.00
326   Temporary Assistance:                                    Page 108
Main Estimates  .._..           . $114,000.00
Supplementary Estimates            - -     25,081.00
11,541.72
$4,093,057.00
$3,503,739.32
$589,317.68
Railway Department
327    Minister's Office:                                             Page 108
$950.00
64,527.00
$447.81
61,723.84
$502.19
328   General Administration :                              Page 108
2,803.16
$65,477.00
$62,171.65
$3,305.35
Department of Recreation and Conservation
329   Minister's Office:                                         Page 109
$21,428.00
29,800.00
20,232.00
260,106.00
225,216.00
88,391.00
128,708.00
258,987.00
$19,747.12
20,905.14
16,465.63
373,039.53
233,144.52
76,098.08
124,072.50
247,385.20
$1,680.88
8,894.86
3,766.37
12,292.92
4,635.50
11,601.80
330   General Administration:                             Page 109
331    Fisheries Branch:                                             Page 109
332   Administration Division, Game Branch:    Page 109
$112,933.53
333   Fisheries Management Division:                 Page 110
7,928.52
334   Game Management Division:                       Page 110
335   Destruction of Predatory Animals and Birds:
Page 111
336   Tourist Traffic (British Columbia Travel Bureau):
Page 111
Main Estimates $228,987.00
Supplementary Estimates      30,000.00
* Credit. PUBLIC ACCOUNTS,  1957/58
E 53
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT— Continued
Department of Recreation and Conservation—Continued
337   Photographic Branch:                                   Page 112
$37,960.00
924,452.00
7,400.00
$38,905.52
1,013,947.35
7,400.00
$945.52
338
Provincial Parks:                                           Page 112
89,495.35
Special Warrant:                                              Page 112
No. 39.    Purchase of certain lands at Movie Lake
for the purpose of establishing a Provincial park...
Hospital Insurance Service
Hospital Insurance Service:                        Page 113
Main Estimates  -   $31,932,182.00
Supplementary Estimates        3,070,000.00
$2,002,680.00
$2,171,110.59
$42,872.33
$211,302.92
339
I
1
1
1
$35,002,182,001 $34,074,808.14
$927,373.86
Capital Expenditure out of Income
Roads, Bpidc.es, and Ferries:                         Page 115
Main Estimates       .. -   $45,752,368.00
340
$51,273,718.00
1,812,742.00
870,000.00
120,000.00
1,375,000.00
8,020,425.00
671,250.00
297,000.00
100,000.00
15,000.00
25,000.00
305,000.00
25,000.00
$50,165,795.74
1,530,282.10
932,882.01
123,436.01
461,378.12
7,680,786.30
422,506.41
297,068.78
37,414.21
14,453.87
18,914.37
* 54,7 37.12
10,000.00
$1,107,922.26
282,459.90
Supplementary Estimates          5,521,350.00
341
Forest-development Roads:                          Page 115
342
Park Development:                                       Page 115
Main  Est'mates             $850,000.00
Supplementary Estimates         20,000.00
$62,882.01
343
Forestry Administration Buildings:           Page 115
Main Estimates  - 	
Mining-roads:                                                     Page 116
Main Estimates    	
Construction of Provincial Buildings:      Page 116
Main Estimates     $7,070,425.00
3,436.01
344
345
913,621.88
339,638.70
248,743.59
Supplementary Estimates       .    1,000,000.00
346
Okanagan Flood-control :                               Page 116
Special Warrant No. 9  ..    400,000.00
347
Water Investigations and Power Studies:     Page 116
68.78
348
Iron-ore Surveys:                                          Page 116
62,585.79
546.13
6,085.63
359,737.12
15,000.00
349
Renovations to British Columbia House, London,
England:
•
350
Game Conservation Projects:                     Page 116
351
Recoverable Expenditure
Development and Construction of Housing Projects:                                                         Page 116
Main Estimates       	
Assistance to Improvement Districts under the
"Water Act":                                       Page 117
Main Estimates -  	
352
* Credit. E 54
PUBLIC ACCOUNTS,  1957/58
No.
of
Vote
SERVICE
Total
Appropriation
Expended
Unexpended
Over-
expended
CURRENT ACCOUNT—Continued
Recoverable Expenditure—Continued
352a " University   Endowment  Lands   Administration
Act": Page 117
Supplementary Estimates  — 	
353    Supplementary Sinking Fund:
Main Estimates 	
Page 117
Statutory:                                                       Page 117
Loss on Investments (Sec 9, "Revenue Act")	
APPROPRIATION AND EXPENDITURE
SUMMARY
Public Debt -.  -	
Legislation —  	
Premier's Office _	
Department of Agriculture ..-	
Department of the Attorney-General
Department of Education	
Department of Finance
Department of Health and Welfare .
Department of Highways .
Department of Industrial Development, Trade, and Commerce —     	
Department of Labour 	
Department of Lands and Forests
Department of Mines
Department of Municipal Affairs 	
Department of the Provincial Secretary
Public Utilities Commission 	
Department of Public Works 	
Railway Department
Department of Recreation and Conservation
Hospital Insurance Service  	
Capital Expenditure out of Income 	
Capital   Expenditure   out   of   Income   applied  to   Supplementary Sinking Fund
Net loss on sale of investments (sec. 9, "Revenue Act")..
$1,000,000.00|    $1,000,000.00
-I-
$65,910,135.00| $62,640,180.80
I
21,104,422.00| 21,104,422.00
2,076,814.55|  2,076,814.55
-I-
•,091,371.55 $85,821,417.35
$11,491.
350.
60
2,069.
9,571
50,377.
39,108.
29,759
18,569.
378.00
800.00
506.00
626.83
,986.73
257.54
506.87
,729.71
777.00
727
846
12,264
826,
171,
15,728,
334,
4,093,
65,
2,002.
35,002,
$11,221,587.35
345,550.48
59,592.98
1,834,331.46
9,395,382.00
49,945,187.21
37,955,390.34
28,876,984.52
17,429,914.70
449.00
867.25
126.61
446.00|
319.18|
777.40]
208.00|
057.00|
477.00J
680.001
182.001
644,
817.
11,403
756.
162.
14,592.
292.
3,503.
62.
2,171
34,074.
,533.69
203.63
,954.61
092.08
215.17
.227.83
.827.44
739.32
,171.65
,110.591
808.14|
$3,336,341.00
$3,336,341.00
$269,790.65
5,249.52
913.02
274,241.68
534,375.06
571,816.74
1,860,395.35
1,149,558.67
1,139,862.30
$66,386.80
$66,386.80
$38,946.31
357,770.33
139,746.41
707,278.82
266,813.48
9,078.27
27,832.71
$233,422.158.121$225,544,805.19
I
65,910,135.00]    62,640,180.80
I
21,104,422.001    21,104.422.00
2,076,814.551      2,076,814.55
91,993.58
29,663.62
888,004.71
70,353.92  	
9,104.011 	
1,137,340.58] 791.01
41,380.56] 	
589,317.68|—	
3,305.35| 	
42,872.33|     211,302.92
927,373.861	
 1	
$9,636,913.19|$1,759,560.26
I
3,336,341.0O|       66,386.80
-I-
$322,513,529.67|$311,366,222.54|$12,973,254.19|$1,825,947.06
I ! I

Cite

Citation Scheme:

        

Citations by CSL (citeproc-js)

Usage Statistics

Share

Embed

Customize your widget with the following options, then copy and paste the code below into the HTML of your page to embed this item in your website.
                        
                            <div id="ubcOpenCollectionsWidgetDisplay">
                            <script id="ubcOpenCollectionsWidget"
                            src="{[{embed.src}]}"
                            data-item="{[{embed.item}]}"
                            data-collection="{[{embed.collection}]}"
                            data-metadata="{[{embed.showMetadata}]}"
                            data-width="{[{embed.width}]}"
                            async >
                            </script>
                            </div>
                        
                    
IIIF logo Our image viewer uses the IIIF 2.0 standard. To load this item in other compatible viewers, use this url:
http://iiif.library.ubc.ca/presentation/cdm.bcsessional.1-0355416/manifest

Comment

Related Items