1943. VICTORIA. 1942-43. THE TREASURER'S STATEMENT OF Till!: RECEIPTS AND EXPENDITURE OF THE CONSOLIDATED REVENUE AND OTHER MONEYS, AOOQ)IPANlli:D BY THII REPORT OF THE AUDITOR-GENERAL AND BY THE DOCUMENTS SPECIFIED IN THE FIFTY-FIFTH SECTION OF THE AUDIT ACT. Ordered by the Legislative Assembly to be printed, 27th October, 1943. ... [Appro:rimal<o Ooll of Pa;por.-Preparation, not given. Printing (300 copies), £270.] !}y : H. E. DAW, GOVERNMENT PRINTER, MELBOtJRN£. 1:l A.-No. 1.-7348/43.
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1943.
VICTORIA.
FI~.A...~OE,
1942-43.
THE TREASURER'S STATEMENT
OF Till!:
RECEIPTS AND EXPENDITURE OF THE CONSOLIDATED REVENUE AND OTHER MONEYS,
AOOQ)IPANlli:D BY THII
REPORT OF THE AUDITOR-GENERAL
AND BY THE DOCUMENTS SPECIFIED IN THE FIFTY-FIFTH SECTION OF THE AUDIT ACT.
Ordered by the Legislative Assembly to be printed, 27th October, 1943 .
...
[Appro:rimal<o Ooll of Pa;por.-Preparation, not given. Printing (300 copies), £270.]
!}y ~ttthnrit!l :
H. E. DAW, GOVERNMENT PRINTER, MELBOtJRN£.
1:l A.-No. 1.-7348/43.
FINANCE, 1942-43.
GENERAL INDEX.
l'he Treasurer in account with the Government of Victoria
Consolidated Revenue Deficit Account
Revenue and Expenditn:e-Special Appropriations and Votes
Grants to Charitable bstitutions
Loan Account nnd Public Debt Statements ..
Capital I.iability Statements
Surplus Revenue Acts.-Appropriations and Apportionments
Trust Funds
Agent-Ge neml
Sundry Debtors to Revenue
Annual Payment to Municipalities from I.icensing :Fnnd
Loan Expenditure under Application Acts
Loans to Charitable Institutions
Unemployment Relief Loans
Loans to Corporations, Co-operative Companie~, and Others
Heceipts and F~xpeuditure 54 Public Debt Statement 66-69 I lprratiOil5 1942-43 (raised and redeemed) .. 55-5tl Redeemed in full, &c. ... . .. 5'i-ti5 Hedeeuued to date 70 Hedeemable when and where ... 71-74 Expenditure and Liability-Summary 75
Expendit;1re in 1942...'43 ... Co-operative Companies, .. Wat•·rwork8 Trusts
Details .. . 7 6-91
Corporations for W atcrworks , , Malice Tanks ...
To Gold Vlining Compani(>B (Act 3'!'38) to Clmritahle Institutions ...
. .. 92-93 158-159 152-156 150-151
152 157 139
Loans to Sewerage Authorities to Irrigation Trusts in aid of Revenue
Parliament Houses, Law Courts and Public Offices -Loan Expenditure ... ... ... 84-86
P~ntridge and Police Depot-Loan Expenditure 84-86 P1lot Steamer-I,oan Expenditure ... 84-86 Police Pensions Fund 111 Police Superannuation .Fund 112 Port l'hillip Pilot Fund ••• 113 .Prince's Rridge (over Yarra)-Loan Expenditure 84-86 Primary Products-Advances-Loan Expenditure 84-86 Public Works all<l Buildings-Votes Expenditure ... 46
Loan Expenditure and Liability 84-86
Public Library, &c.-Loan Expenditure 84 Railway Accident and Fire Insurance Fund 114 Railway Loan Heceipts and Expenditure... 76-77 Redemption on Loans for Waterworks-Paid in 1942-43 16 Heport of Anditor-Genernl 163 Revenue and Expenditure 7
A b'tract of 9 J)"t"ileo Statement 10-15
Road Construction-Proportion with Common-wealth
Special Appropriations ... State Accident Insurance Fund State Forests-Loan Expenditure State Loans Repayment Fund State Schools, Buildings, &(!.-Loan Sundry Debtors to Hevenue Superannuation Fund Surplus 194:!-4,~
84-86 19-20
115 89
116-117 Expenditure 85
122-123 118
7 Surplus Revenue Acts-Appropriations and
A pportionments 94-96 Technical Schools-Loan l~xpenditure 86 Tramways in Country Districts-Loan Expenditure 84-86 Treasurer in account with tbe Governmentof Victoria 5 Trust FundB ••• 98-120 Unemployment Relief Fund 119 Unemployment Relief Fn11ds-Advances from 146-148 Unemployment Relief-Loan Expenditure and
To Departments to meet urgent claims .•. Treasurer's Advance Melb~ume and Metropolitan T1·amways Act No. 2996 ... Railwu.ys-Mannfacturing, &c. State Coal Mine-Stores State Rivers, &c., Commission-Stores, &c. Other Governments Remittance to London for Interest, 1942-U To Revenue for Deficits
Cash held ...
Cash held in London
t GENERAL. Balance at credit of Agent-General's Collection Account In Melbourne- Australian Contracting Banks
Grain Elevators Board .. . . . . High Court Buildings . . . . . . Housing Commission . . . . . . Hospitals and Charitable Institutions, Act 4845 Kerang-Goun Crossing . . . . . . Koo-wee-rup Settlers . . . . . . Mining Development .. . . .. Royal Agricultural Society .. . . . . State Coal Mines, Act No. 3657 .. . . State Electricity Commission of Victoria . . State Rivers and Water Supply Commission-
Act 4761, Sec. 12 (2) . . . . .. Sale of Land . . .. . . . . Shepparton Drainage Works .. . .
Timber Salvage, Act 4632 .. . . Tourists' Resorts Fund . . .. . . Unemployment Relief .. .. . . University Buildings, Acts Nos. 3032 and 3067 Valuation of Improvements .. .. Wire Netting Advances . . .. . . W onthaggi Town Hall . . . . ..
nterest on Public Account . . .. . . nterest, Trust Fund Investment .. ..
TOTAL INTEREST .. . . .. No. 3.-TERRITORIAL.
L ands--Alienation-
By Auction . . . . . . . . By Interest on Auction Balances . . .. By Licence and Lease-Progress Payments v~herwise than by Auction, Licence, and Lease Penalties and Fines .. . . . .
Licences and Leases other than Agricultural, &c. Unused Roads Licences . . . . .. Pastoral Occupation-Grazing . . . . Charlton Land Act . . . . . .
• Includes £238 16s. 5d. payment by Treasury on account of supply of Coal a.t concession rates to Wives of ex.employees of State C~al Mines now on Defence Duty.
13
REVENUE, 1942-..13-contintted.
Headt! of Revenue.
No. 7.-FEES--continued.
Brought forward
Explosives Act Farmers' Debts Adjustment Act Friendly Societies Act •• Government Astronomer Medical Act Money Lenders Act .. Private Bills .. Special Court-Auction Sales Act 3639, Section 21 Sundry Small Amounts Transfers of Auctioneers' Licences Transfers of Business Agents' Licences .. Transfers of Real Estate Agents' Licences
TOTAL FEES
No. 8.-DEPARTMENTAL. Agent-General-
Services on account of Railway Department Services on account of State Electricity Commission
Salaries, allowances, etc., of Officers engaged on Nationa l Service
Education .. Explosives Dues Fisheries and Game .. Forests Commission •. Government Printer Government Shorthand Writer Inebriate Institutions Lands and Survey .. Mental Hygiene .. Mines Penal Establishments Police Public Health Services of State Officers< Recoups of Expenditure-
Education Department Government Printer Police Department
• . .
Public Health Department Railways Construction Branch Taxation Office Treasury
TOTAL DEPARTMENTAL
No. 9.-MISCELLANEOUS.
. .
Melbourne and Metropolitan Tramwayl' A~t 3732, Sec. 77 Mint . • • • • • • • • • • • Repaym'l:mts of Loans
Advances for Purchase of Gas Producers Advances by Public Trustee Agricultural College Trustees Alfred Hospital Trustees Bendigo Creek Trust Bush Fires Relief Cemetery Trusts .. Co-operative Cool Stores Societies and Primary Products Koo-wee-rup Settlers Mining Development
131,563 7 6 Recoup of Exchange on Interest Payments-
State Electricity Commission of Victoria .. . . 72,912 5 2 Country Roads Board .. . . . . . . 39,876 18 2
112,789 3 4 Recoup of Loan Conv-ersion Expenses-
State Electricity Commission of Victoria . . .. 3,893 1 1 Country Roads Board .. . . .. . . 2,097 4 1 Unemployment Relief Loans . . . . .. 303 18 1
6,294 3 3 Recoup on Account of Special Payments to the National
Debt Sinking Fund-State Electricity Commission of Victoria .. . . 2,340 9 3 Country Roads Board .. . . . . . . 1,263 11 0
3,604 0 3 Anonymous Taxpayers and Conscience Money . . .. . . 27 7 6 Appropriations of Former Years-Repayments to .. . . 11,394 11 5 Bequest to State under Will of A. Beck, deceased .. . . 1,173 12 9 Buchan Caves-Rents, etc. . . .. . . . . 161 13 3
Contribution by Committee of Management towards gratuity for Secretary .. 25 0 0
Advances recouped to Revenue . . . . .. . . 7,434 15 10 Commission on Group Insurance Premiums . . .. . . 2,183 9 2 Commission on Public Service Association Subscriptions .. 70 10 10 Commission on Sale of Official History of the War .. .. 2 9 6 Contribution to Revenue of Parliamentary Allowance of
Hon. W. Slater, M.L.A., whilst Australian Minister to the U.S.S.R. . . .. . . . . . . . . 313 10 3
STATE~IENT OF EXPENDITURE UNDER SPECIAL APPROPRIATIONS DURING THE YEAR ENDED 30TH JUNE, 1943.
Heads of Expenditure.
SPECIAL APPROPRIATIONS. INTEREST FUNDED DEBT, AND EXPENSES IN CONNEXION
THEREWITH (see page 21)
EXCHANGE ON OVERSEAS INTEREST (see page 21)
NATIONAL DEBT SINKING FUND. Act No. 3554~Contribution at :! per cent. on securities issued
3554/4496, &c.~Contribution at 4 per cent. on Revenue Deficit funded ..
" " .. "
3554.~Contribution at 4! per cent. on cancelled securities 3554/4609.-Contribution at 2 per cent.-Tourists Resorts
Development Act 3554/4672, &c.-Contribution at lf per cent.~~-Deferred Railways
Renewals, Replacements and Maintenance Works .. 3554/4722.-Contribution at If per cent.-State Schools Deferred
Maintenance and Renewal Works
SALARIES.
Act 18 & 19 Vict., cap. 55, Constitution, Schedule DPart I.-Governor's Salary, Act 3660 Part II.~Judges Part Ill. (Acts No. 3660 and 4367)--His Majesty's Ministers Part IV.-
Executive Council Legislative Council
Act No. 3633--Agent-General
" " " " ,
3640-Auditor-General 3685-Forests Commissioners 3721-Director of Mental Hygiene 3759--Victorian Railways Commissioners 3801~State Rivers, &c., Commissioners 4751-Public Service Board
Total SALARIES
GE~'ERAL EXPENDITURE.
18 and 19 Vict., cap. 55, Schedule D, Part IV.Executive Council Expenses Legislative Council Expenses
Act No. 4713-Charitable Institutions-Costs and Expenses of Special
" "
" ,
" " "
Audits 4395-Country Roads Board-Great Ocean Road Lands 3660-Electoral Expenses .. 3660--Expenses of Members of Legislative Council .. 3660--Expenses of Members of Legislative Assembly 3739-The Mint .. 3723-Marine Board .. 3657-Victorian Coal Miners' Accidents Relief Fund .. 4288-Public Works Committee
Miscella.neous-Commisaions and Boards of Inquiry Expenses of the Indeterminate Sentences Board, inoludi
Fees to Memb~rs . . . . Maintenance of Old Treasury Building .. Expenses in oonnexion with Censorship of Films :Maintem\nen. &c. of Inebriates in Private Institutions l<~xpt'URe~ of Prnrniums Committee ap[hlinted um
Jlnfor Car (TMrr! Prrl'ty Insurance) Act 1939 .
Pen.~ions, Gratuities, Compensation, &c.-To meet deficiency in the Police Superannuation ~Fund Annual Allowi\ItCI"S
Grants-To Country Free Libraries To Country Art Ga.lleries To Victorian Society for the Protection of Animals To the Zoological Board of Victoria , To Ballarat Fish Acclimatization Society
£ 11, d, I £ "· d. .. • 11,546 3 9 . . .. .. 611 18 7
6 Miscellaneous-Remuneration of President, Deputy President,
Members and Deputy Members of the Industrial Appeals Court .. .. .. .. .. 252 14 11 . . 252 14 ll 253 0 0
I I
Total LABOUR .. .. 78,009 8 6 6,004 12 1 . . 84,014 0 7 98,569 0 0
r,:; 0::.
J'niANCE, 1942-43 -STATEMENT OV "VOTES" EXPENDITURE (UNDER ACT8 4941, 4914, AND 4951) DURING THE YEAR ENDED 30TH JUNE, 1943,
IV.-PUBLIC INSTRUCTION. -·-------~---~--- ---
g • <l
~ E Heads of Expenditure Salaries Con~ingenc!es and blndowtnents Works and Expenditure Appropriations. i! :g · • Mrscellaneol1S. and Grants. Bulldlngs. • i:i .ii
36 Education-£ 8, d. £ 8. d. £ 8. d. £ B. d. £ 8. d. £ 8. d.
7 Cost of living adjustments 97,355 1 8 . • . • . • 97,355 l 8 97,356 0 0
2 Contingencies Aliscellaneous--
Scholarships (Fees and Allowances, and Allowances for Maintenance, &c., of Puplis attending High Schools) ..
Technical Education-Equipment, &c. . . Refund of School Fees, 1{ents, &c. Medicrt.l and Dental J<;xpemles, &c. Allowances for Board, to Students in Training, &c. Printing and Copyrigbts-Sehool Publications Interest and Sinking !<'und Charges on Unemploy·
mf'nt Relief Loan for building Teachers' Residences Allowances to School Cleaners . . . .
Works and Buildings-Expenditure on School Buildings, &c., under direction
of School Committees and Councils .. AllowancE's to augment Local Contributions
Improvemt"nts, &c.
Endowments and Grants-
for
To Teehnical Scboole (to bt> paid in accordance with ltegulationR a.pprowd by the Oovernor in C::ouncil) for Maintenance . . . . . •
To l!'ree Kindergarten Union for maintaining Free Kindergartens . . . . . • . .
FINANCE, t\l42-43.-S rAT!i:'\ll<:~n oP " vnr~<J~" ~.'CP~J'ILH ru&E I UNDER ACTS 4941, 49U, AN'o
g '!il ·;;:
:8 "' "'
Heads of }~xpenUiture.
Treasurv-1-4a Salarie~
5 Contingencies
Payment under the provisions of the Commonwealth Pay-roll Tax il.<~~s8ment Act 1941
Additional Contribution to the Unemployment Relief Fund
Miscellaneous-Stamp Duty on Tt•ansfers of Stock in London Proportion of Expenditure incurred by Common
wealth in connexion with Public Debt--Printing,
ment:.).,
Destruction of Coupons, &c. &c. .. ..
Remittances -Other than
of Rtatutes, Government Institutions, other Govern-
Refunds of :\loneys paid for Permits, Licences, Penaltieb, &c. . . . . Refunds of Money,; incorrectly cre,lited to the
Consolidated Re,·mme of previous Hefunds of }Loney..; unclaimed over years and
tran~i·.,·retl to the Consolidated Revenue .. P;<ym<'nts of f:;tamp Duty and Registration Fees in
respert of Powers of Attorney executed by Members of the Defence :Forces (including Nurses) enlisting for service overseas or continuously employed on War Service in Australia ..
State's Contribution to Coal MinerR' Pensions Fund Hefund~ on ac<"ount of Victorian Taxation Instalment
!Stamps purchased prior to the CommonwealthState .Joint .instalment Stamps Agreement
Cost of li vint< allowances in respect of certain persons Special Funds ..
Transport, Marine Insurance, &c.
Unforseen and Accidental Expenditure (see page 50)
Salarie>.
£ 8.
20,061 14
VI.-TREASURER.
Contingencies and
MhlCellaneous.
£ s.
2,340 0
126,623 12
5,424 13
70 12 32,886 7
3,878 14
146 2
204 18
3,153 15
230
1,509 1 1,769 12
0 6
11,099 1 ll
117 ll ll
7,017 4 7
658 3 8
£ 8.
..
..
..
..
..
..
Endowments and
Grants.
£ 8.
..
..
..
..
..
..
..
I
DUIU'lG THR YEAR ENDED :\OTB .JU\fill, 19!3.
Exceptional.
£ 8.
..
..
..
..
..
..
..
Payments to
Railways Department.
£ 8.
..
..
..
..
..
..
..
Contribution to
Unemployment Relief Fund.
£ 8.
610,000 0
. .
. .
. .
. .
. .
. .
. .
'
I
Expenditure. Appropriations.
£ 8. d. £ ,y, d. 20,061 li 7 20,357 0 0 2,340 0 7 2,400 0 0
22,401 15 2 22,757 0 0
126,623 12 1 129,000 0 0
6i0,000 0 0 610,000 0 0
5,424 13 1 6,000 0 0
70 12 10 lOO 0 0 32,886 7 21 47,500 0 0
3,878 14 41 6,000 0 0
146 2 J 150 0 0
204 18 4 400 0 0
3,153 15 01 3,200 0 0
230 I 3: 1,500 0 0
l,fi09 1 O! 2,000 0 0 1,769 12 6 1 4,500 0 0
11,099 I ll 11,100 0 0
117 Ll .1 120 0 0
60,490 ll 4 82,570 0 0
7,017 4 7 7,020 0 0
658 3 8 1,000 ()" 0
e.o 1--'
49
50 I
Fun:>~cli:. 912-43 -~TATEM!':Nr oF "Vt)n~" EX:I:'RNDITURE (UNDER Acrrs 4911, 4914, .uo 4951) DURING THE YEA.R ENDED 30TH JUNE, 1943. ·
VI.-TREASURER-continued.
Heads of Exvcnditure.
Payment• to Hailways Department-Passes tu Htate Governor and Stafi, Members of
&c., Executive Councillors, and Parliaments of other States .. ·rial ]<'orce : Pa.ses to hicapacitated Blind l:ioldiers . . . .
J,ife Passes to ex-::llinisterR of the Crown Passes issued to Members (Opening of Parliament),
ViHitors, Officers of Parliament, &c. . . . . Amount representing the Los' of Revenue occasioned
Reduction of certain Outer Suburban Periodical ] 1,ar(•fo\ ••
(b) Ad<iitional Concessions in Fares to Memlers of Dt•fence l·'on:es when travelling on l~ea\ e . . . .
(c) l:'upply ot Coal at Coum:·ssion Rates to wives of cx-emnlovPt·s of titate Coal Mine on
Amount of Lo~~, us on eertain Lines of Parliament awl vPsted (i::~ction IOZ of Act ~o.
the A uditor.General, authorized by Commissioners
\';'omen'~ Land Armv-}'rec procePding to and from ·Rural other J Juties
Miner's Phthisis ... iJ[o\\anc""• &e.-
Travel while Positions or on
Allowances to iciui!erl'l'H from Miners' Phthisis aud Expenses in cunnexion tht·t·ewith
Hail way Passe>< {"r Bu"h ~ urHt·s Railway !'asses and .frcigl,l (Charitalle Institutions,
Patriotic l''umls, &<,. ), Burials, &c.
Grants--To University of Melbourne-..
(a) Towards Chair of Obstetrics . . . ·1 (b) To Supplement the Annual Endowment •. (c) For purposes of Australian College of Dentistry (d) To Supplement Annual Grant for Veterinary
Research .. . . (e) To l'niv(·rsity Exten~ion Board . . . .
To Victoria Bnuteh of the Empire Parliamentary Association .. ..
To Victorian Police Band . . ..
Salaries.
£ 8.
.. ..
..
..
..
..
..
Contlngencie• and
MiscellaneoW!.
22,710 6 282 2
11,928 14
. .
..
..
..
..
..
..
Exceptional
J 21
0
. . I 2,500 0 I 41,200 0 I 2,000 0 I 500 0
I 1,000 0
100 0 I .. 100 0
Payments to
RallwaYJI Department.
9,000 0
11,186 4 1,410 lO
33,000 0
205,500
238 16
2,608
463 13
Contribution to
U nernployment Relief Fund,
Expenditure.
9,000 0
11,186 4 1,410 10
33,000 0
205,500 0
2,608
22,710 :!8:!
11,928 --34,921
-
2,500 41,:!00
2,000 500
1,000 0
100 0 100 0
ApprOJll iatloll!l.
£ R. d.
To State Public Service Band .. .. .. . . .. .. lOO 0 ()! . . .. . . I lOO 0 Ol lOO 0 0 To National Safety Council . . . . .. .. . . 500 0
gj . . . . . . 500 0 01 500 0 0
To Royal Life Saving Society of Victoria .. .. .. .. lOO 0 . . . . .. lOO 0 0 lOO 0 0 To Victorian Young Farmers' Clubs' Association .. .. . . .. :1.000 0 .. . . .. 3,000 0 0 3,000 0 0 To Metropolitan Milk Council towards cost of Free I
Distribution of Milk to Creches and KinJergartens .. .. .. 500 0 0 .. .. .. 500 0 0 500 0 0 To Council of Agricultural Education towards cost
To certain Medical Trusts, &c., towards cost of ! provision of Medical Services in isolated Districts .. .. .. 700 0 o: .. . . .. 700 0
gl 1,800 0 0
To Royal Humane Society of kHtralia .. .. .. .. .. 10 10 ol .. .. .. 10 10 11 0 0 To State Relief Committee .. . . .. .. .. .. :l,!()O 0 of . . .. .. 2,400 0 2,400 0 0 To National Fitness Council .. .. .. .. :3,000 0 0' .. .. .. 3,000 o ·ol 3,000 0 0 To Victorian Branch of Health Association of I
Australasi'l. .. .. .. .. .. .. 100 0 gi
.. . . . . lOO 0 0 lOO 0 0 To Victorian Au,.;iliary for Evacuees . . . . .. .. . . 300 0 .. .. .. 300 0 0 300 0 0 Special Contribution to the HoRpitals and Charities
Fund .. .. .. . . .. .. .. .. llO,OOO 0 0: .. .. .. 110,000 0 0 110,000 0 0 To the Victorian Association of Boy's Clubs .. .. .. :.!,000 0 0! . . .. .. 2,000 0 o. 2,000 0 0 To supplement the Annual Endowment of the Council
173,438 10 0 174,539 0 0 51 I i Pensions Gratuities, Compensation, &c.- I
Annual and ·weekly Allowances .. .. 433 9 :I . . .. .. . . 433 9 8 504 0 0 Additions to PenRions of South Africa Soldiers .. .. 5 3 .. .. .. . . 5 3 6 6 0 0
I I 438 13 2 510 0 0 52 I Exceptional- I I
I
1 33,500 ol I I
To supplement Annual Subsidy to Royal Mint .. .. .. .. 0 . . .. 33,500 0 0 33,500 0 0 t:.o:)
To repay Portion of Amount applied from the .. I t:.o:)
N ation'l.l Debt Sinking Fund for Redemption of Seeur;ties, including cost of exchange, in connexion with Conversion Loans in London .. .. .. .. . . 21,99:1 6 4 . . . . 21,993 6 4 21,994 0 0
Contribution towards Cost of Printing the Magazine of the Historical of Victoria . . . . .. .. .. .. 75 0 0 . . .. 75 0 0 75 0 0
Contribution towards of Printing the Yearly Volume of the Royal Society of Victoria .. .. . . . . .. lOO 0 0 . . .. lOO 0 0 lOO 0 0
Payments to Superannuation .Funds, &c., on account of Government Employees serving with the Defence Forces . . . . .. . . .. .. .. . . 29.626 17 'I .. . . 29,626 17 1 29,700 0 0
Towards cost of nl'Oviding .Hostel or oth•.lr Accom. modation for M~mbers of Defenc' Force;, .. .. .. . . 2,238 18 10 . . 2,238 18 10 6,000 0 0
Cost for boring for coal in certain areas adjacent t~ the State Coal Mine, W onthaggi . . . . .. .. .. .. 4,071 10 Ill .. .. 4,071 10 1l 4,100 0 0
Contribution to War Damage Fund-Commonwealth National Security (War Damage t.o Property)
I i Regulations . . . . . . . ·1 31,404 18 ol I 31,404 18
:J 31,405 0 0 .. .. .. .. . . ..
Special Contribution to The Government Buildings I
I ;
Fire Insurance F:md . . . . . . .. .. . . .. 93,513 4 91 . . .. I 93,513 4 93,514 0 0 l<'or the purchase of the Equity of the Common-
wealth Government in the Taxation Office Building, Melbourne .. .. .. .. I .. .. .. I 28,666 0 oi .. .. I 28,666 0 o! 28,666 0 0
To recoup Consolidated Revenue for loss of Royalty Charges on Timber supplied to Settlers for re-
I instatement of Fencing destroyed by Bush Fires ! .. .. .. I . . 23 ll 51 .. I .. I 23 ll 51 24 0 0 Payment to Commonwealth Government on account
of Tents and Accessories supplied to the State for I I I \ Relief of Sufferers in the 1939 Bush Fires .. .. .. I .. . . 2,041 10 ol .. . . I 2,041 10 ol 2,042 I) 0
"' Sl -~ Q
53
54
55
56
57
Fr.N A.NCE, 1942-43.-S·u.TEMENT oF "VOTES" ExPENDITURE (uNDER AOT('t 494:1, 4944, AND 4951) DuRING THE YEA.B ENDED 30TH JuNE, 1943.
"' 0 :§
~ "'
3 4
4
Heads of Expenditure.
l<~xceptional-conti11ued. Payment to Oftkers and Employees (including
certain persons whose Salaries are payable from Special Appropriations or Funds) on account of Work performed on a Statutory Holiday ..
Payment to Borough of Wangaratta on Account of (•ertain Drainage Works . . . .
Hefund of portion of Stamp Duty paid on a Sur· rendered Lease
State Supt>rannuation Board and PE-nsions OfficeSalaries
Allowancf's t,n :\If embers of the State Superannuation lloard
Taxation (lftlce Salaries Contingeneies M h;ecllaneouR-
l'rwment for Services of Commonwealth Officers p:trtly employed on Stnte Dntie.'
Cqntingende,g
Government Printer-1-4 Salaries
5 Contingerwies 6 Miscellaneous-
Purchase of Paper and :\1aterial Working charges .. Depredation of Assets
Farmers' Debts Adjustment Board Salaries ..
2 Contingencies 3 Miscell!tneous-
Conciliation Officers' Fees and Jilxpenscs Valuers' Fees
Total TREAsURER ••
Salaries.
£ $. d.
3,342 0
63,129 14
ll,930 19
124,958
9,796 13
VI.-TREASURER--continued.
Contingencies and
Miscellaneous.
£ 8.
3,053 0
399 15
14,269 8
6,500 0
8,255 8
1,208
Endowment• and
Grant.'l.
£ 8. d £ s. d.
----
~Jxceptional
£ 8. d.
4,234 5
1,500 0
91 11
Payments I Contrl but! on to Unem:l~yment I Railways
59 Miscellaneous- I Expenses in connexion with Surveys of Land other than Staff Surveys (including
Refunds to Selectors) . . .. .. .. .. .. . . 3,060 2 5 . . . . 3,060 2 5 Claims under the Land Acts (including Claims for Amounts transferred from Trust Fund to Revenue and for Amounts originally paid to certain Funds which have been abolished, Sec. 35, Act 4597) .. .. .. .. 55 610 . . .. 55 6 10
Fees for Registration of Powers of Attorney and Liens on Crops, Registration and Discharge of Mortgages, and Commiseion on Sales of Land, &c. . .
Costs and Expenses incurred in carrying out the provisions of the Vermin and .. 591 1 7 .. .. 591 1 7
59 A Exceptional- I Ex-Gratia payment to Fitzroy City Council in respect of certain Land sold to St. Vincent's Hospital .. .. .. .. .. .. . . .. . . 100 0 0 I 100 0 0
I
60 Botanic and Domain Gardens, and National Herbarium-
65 Works, &e.-Maintenance, &o., of Ha.rbor Works, a.lso Erection, Repairs, and
Additions to Wharfs, Sheds, Jetties, and Approaches, &o. . . .. .. 14,220 4 10 14,220 4 10 20,000 0 0 Dredging Operations, Bns.gging, a.nd other Ha.rbor and River Im-
provements in the State outside the jurisdiction of the Melbourne and Geelong Harbor Tl'Ullts, including Pay and Allowance for Rations for Temporary Employees, Repairs to a.nd Stores for Drejges and other Pla.nt, the La.nding a.nd Sprea.ding of Silt, also Surveys and Borings, &c., Erection and Repaire to va.rious Slipways . . . •
Repaire, Maintenance, Additions, Fencing and Other Works for .. .. 20,762 13 5 20,762 13 5 25,000 0 0
Lighthouses, Rocket Houses, Keepers' Qua.rters, a.nd Life Saving Apparatus; also Erection a.nd Renewa.l of and Repairs to Jetty
1,240 15 1,24.0 15 3,000 0 0 a.nd Cha.nnel Lamps, Beacons, Landing Stages, &c. • . • . .. 8 8 Blasting Operations, Port Phlllip Heads, a.lso South a.nd West Channels .. .. 7,953 1 3 7,953 1 3 8,100 0 0 Improvements to Lighting, Buoying, &c., a.t Outports .. .. .. . . 139 17 6 139 17 6 1,000 0 0 Instalment on Purchase of Point Lonsdale Lighthouse .. .. .. 1,000 0 0 1,000 0 0 1,000 0 0 Expeuses in oonnexion with remova.l of s.s. Kalcariki (Re-vote) .. .. .. . . . . 16,000 0 0 Provision of New Explosives Lighter ~ * • • .. .. • • .. .. .. .. 8,000 0 0 Contribution to Shire of Phillip Island to cover interest charges on
loan liability incurred by the Shire in the provision of port facilities .. . . ~ .. ~ . . . . . . . .. . . 366 14 3 366 14 3 367 0 0
Contribution to Williamstown Council towards Loss incurred by 0 Council in Operating a Ferry over the River Yarra .. .. .. .. 1,500 0 0 1,500 0 0 1,500 0
State Batteries-Expenses of Operation, Maintenance, Construction and Removal, purchase of other Mining
i Equipment
I Boring for-( a) Gold, Coal, &c. (b) Oil • . .
Expenses in connexion with Mining Plants, Tracks, Ra.oes, Dams, Sludge Abatement Board, &c.
Geological and Underground Surveys Laboratory Expenses .• Covering Abandoned Shafts •. Advances to Coal Mining Companies .. State's contribution towards cost of development of
Lakes Entrance Oil Field ..
I
4,236 7 s 1
3,238 4 10 4,025 0 0
35 10 7 1,354 IS 5
167 19 4 308 15 7
2,995 13 11
12,262 16 6
',235 7 8
3,238 4 10 4,025 0 ()
35 10 7 1,354 18 5
167 19 4 308 15 7
2,995 13 11
12,262 16 6
A.ppropri&Uona.
£ 11. cl.
26,345 0 0 4,320 0 0
30,665 0 0
7,300 0 0
3,325 0 0 4,025 0 0
90 0 0 1,525 0 0
690 0 0 410 0 0
3,245 0 0
37,500 0 0
Total MINDS
28,624 6 10 58,ll0 0 0
23,864 6 3 32,5tl9 3 7 116,423 9 10 88,775 0 0
~ -l
FINA.NC.E, 1942-43.
STATEMENT OF "VOTES" EXPENDITURE (UNDER ACTS 4941, 4944, AND 4951) DURING THE YEAR ENDED 30TH JUNE, 1943.
g ]i .. A
68
69
X.-FORESTS COMMISSION.
g ]! .. ;g a:l
1-4A
5
6
Heads of Expenditure.
Forests Commission-Salaries ••
Contingencies
MisoollanoousSchool of Forestry Seasoning Worka-
W orking Expenses . . . . . . • • Replacement of .Buildings, Installation of Plant, etc. . . • . • . . . • .
Forestem' Quartem • • • • • • • • Expel1l!e8 in connexion with Bush Fire Brigades •• Working Expenses of Forest Tramway at Erica •• Vermin De:!truction in Forests • • • • • • Distillation of Eucalyptus Oil • • • • • • Administration of Wild Flowers and Native Plants
Protection Act 1930 • • • • • • • • Utilization of Forest Produce • • • • • • Supply of Firewood . . . • . . • . Interest a.nd Sinking Fund Charges on advance from
Unemployment Relief Loan for erection of Forestem' Qua.rtem .• •• •• •• ••
To the Trustees of Agricultural Colleges (Act 2354, Sec. 3) State Sawmill . • . • . . . • . • Charcoal production . . • . . . . .
Repaim and Construction of Roads leading to and through :Forest Areas . . • . . • • •
7 I Exceptional-Contribution to War Damage Fund-commonwealth
National Security (War Damage to Property) Regulations
Payment under the provisions of the Commonwealth Pay-roll Tax Assessmem Act 1941 . . . . . . . .
7 River Murray Wor~ontribution of State of Victoria towards maintenance in accordance with River Mnrray Waters Acts . . .. ... . . . . .. I6,850 0 0 . . I6,850 0 0 I6,850 0 0
8 Exceptional-Contribution to War Damage Fund--Commonwealth
Assistance to certain Sewerage Authorities where works have been suspended to meet Commonwealth require-menta . . " . . . . . .. ~ .. .. . . 14,292 0 0 14,292 0 0 I4,292 0 0
To relieve the Echuca Sewerage Authority of portion of its Liability to the Government in respect of Capital Works .. .. .. ... . . .. .. 5,000 0 0 5,000 0 0 5,000 0 0
Compensation to Ownll'r as a result of Flooding of Property in Parish of Echuca North .. .. .. . . 124 8 0 I24 8 0 125 0 0
36,216 8 0 36,217 0 0
7I Payment under the provisions of the Commonwealth Pay-roU Tax Assessment Act 194I .. .. .. .. 12,715 4ll .. I2,715 411 12,716 0 0
Purchase and Maintenance of, o.nd Repa.ira to Motor C-ars, &e. .. Expenses in oonnexion with Patrolling and Inspecting ..
Toto.l TRaNSPORT REOUL.!.TION BoaRD .. ..
i'!alarles.
£ 8. d.
12,112 4 8
. .
. .
. . ----- -~-
12,112 4 8
Contlngencle~~ and
Mlscellanoon!!.
------- I
£ 8. d. I
. . ol 3,639 11
3,765 14 9
5,762 1 2
--13,167 6 u 1
--- -----~~----------
Rxpcndltnre. A ppropriatlono.
£ ~- d. I £ •. d.
12,112 4 :I 12,878 0 0
3,639 11 4,780 0 0
3,765 14 :I 5,210 0 0
5,762 1 5,763 0 0
25,279 11 71
28,631 0 0 --.-~~
1":
FINANCE, 1942-43.
STATEMBNT QF "VOTE8" ~~XPENDlTURE (UNUER AC'fS 4941, 4944, AND 4:951) DURING THE YEAR ENDED 30Tu JUNl~. 1943.
XV.-RAILWAYS. -------------------·-----
§ :e i5
i
i 80 I I I
z
81
82
3 4
5
6
7
8
9
1-2 3
4 5
Head• of Expenditure.
Raihra.ys-Working Expenses .. .. .. Contribution to the Railway Accident and Fire
Insurance Fund . . .. . . .. S&la.ry of the Chairman of the Board of ])i.qciplille •• To pay to the State Electrieity Comlllisaion the
amount of Interest pa.id on the Capital Cost of the portion of the line from Herne's Oak to Yallourn-which cost was charged to the funds of the Corn-mission-the lin6 having been uaed solely for Railway purposes • • • • • . • •
Payments to Superannuation Fund, &c., on account of Employees serving with the Deft>nce Forces ..
Payment under the provisions of the Commonwealth Pay-roll Tax Assessment Act 1941 . . ..
Contribution to War Damage Fund-Commonwealth National Security (War Damage to Property) Regulations . . . . . . . . • .
Special Contribution to the Railway Renewals and Replacements Fund . . . . . . . .
To make provision in respect of Accwnulatoo Annual Leave, &c., and Arrears of Ordinary Maintenance
2. Cool Stores, Victoria Dock-Repairs, &c. . . . . 3. Horticultural Gardens, Burnley-8undry Works, &c. . . . . 4. Repairs, &c., Viticultural Station and State Experimental
Farm, Rutherglen ; State Research Farm and School of Dairy Technology, Werribee; and State Research Orchard, Tatura . . . . . . . . . . . .
5. Research Farm, Werribee-Alterations and Additiono to shed accommodation and Fittings and Equipment in connex10n therewith . . . . . . . . . . . .
Subdivision No. 2.
ATTORNEY-GENERAL AND SOLICITOR-GENERAL.
No. 1. Court Houses, Morgues, Law Courts, Crown Law Offices, and Titles Office-Erection of, Repairs and Additions, Fittings, Furniture, Land and Fencing, &c. . . . . . .
2. Rents of Buildings for Court Purposes, Rates, and Allowances in lieu of Quartexs • • • . . . . • . .
CIDEF SECRETARY. Subdivision No. 3.
Cm'r.DREN's WELFARE.
No. I. Towards Cost of Additional Accommodation, Repairs and other Works, including Fittings, Furniture, Fencing, &c. . .
2. Parliament House and Grounds-Alterations, Repairs, and other \V orks, Fittings, Fu:ruiture, Electric Lighting, &c.
Subdivision No. 9. PUBLIC HEALTH.
No. I. Additions to, Sundry Works, Furniture, &c., Offices of the Commission of Public Health, Tuberculosis Bureau, and Venereal Diseases Clinic, and Royal Park Benevolent Home, and Fairhaven Hospital
Extension of Country Base Hospitals for Tuberculous Patients
Subdivision No. 10. PUBLIC INSTRUCTION.
School Buildings.
No. 1. Primary, Higher Elementary, High, and Technical SchoolsErection, Maintenance, &c., of School Buildings and Residences, Land, Furniture, &c.; also Furnishing, Maintenance, &c., of Teachers' Colleges, and Domestic Arts Hostels
2. Rent of Buildings for School Purposes, Rates, and Contributions in lieu of Rent, &c.
Expendlt!Ue.
£ . 8. d.
15,367 6 0
17,639 16 10
33,007 210
34 19 2
2,208 16 7 252 10 7
2,834 13 1
1,74:5 2 7
1,952 10 0
Approprl~tlont.
£ s. d.
16,000 0 0
19,000 0 0
35,000 0 0
50 0 0
7,200 0 0 350 0 0
2,850 0 0
3,200 0 0
3,700 0 0
9,028 12 0 17,350 0 0
87.726 13 1 105,504: 0 0
5,026 16 10 . 5,100 0 0
3,020 6 7 4,500 0 0
8,047 3 5 9,600 0 0
6,744 3 9 6,800 0 0 25,000 0 0
6,744 3 9 31,800 0 0
111,018 4: 11 112,000 0 0
3,257 12 9 5,500 0 0
114,275 17 8 117,500 0 0
4fl
FINANCE, 1942-43.-STATEMENT OF "VoTES" EXPENDITURE (under Acts 494:1, 494:4 and 4951) during the Year ended 30th June, 1943-oontinued.
VIII.-PUBLIO WORKS-continued.
Huda of Exp!lndltme.
WORKS AND BUILDINGS-oontinued.
DIVISION No. 63-(JontinU&l.
Subdivision No. 11.
TREASURY.
No. 1. Government Printing Office and Store-Repairs, Fittings, and Furniture, &c ...
Subdivision No. 12.
MISCELLANEOUS.
No. l. Maintenance, Repairs, and Additions to Public Works and Buildings, including Provision of Gas, Water and Electric Light, Furniture, Fittings, &c. ..
2. Rents of Public Buildings, other than Police, Court, and School, Rates and Allowances in lieu of Quarters
3. Insurance of Sundry Government Buildings and Contents, and Inspection, &c., of Fire Appliances, &c ...
4. Government Buildings, Telephonic Communication-Provision and Maintenance of
5. For Drainage Works, Swamp Works, Reclamation Works, Conveyance of Silt, Maintenance of Store Yard and Plant, Surveys for New Works, &c.
6. Murray Levees-Extension and Repairs
7. Wire Netting-For Manufacture and Supply
8. Other Public Works
9. Subsidies towards cogt of Vi orks of Municipalities and other Public Bodies ..
ToTAL DIVISION No. 63
Exp!lndlture. Approprlatlona.
£ B, iJ. £ '· d.
1,451 1 3 1,600 0 0
19,581 13 9 19,700 0 0
5,049 2 6 5,200 0 0
1,604: 2 8 1,605 0 0
6,395 0 3 7,300 0 0
1,481 5 6 1,500 0 0
1,489 18 2 1,700 0 0
90 7 6 5,000 0 0
2,606 16 3 2,638 0 0
8,529 8 8,600 0 0
0 0
0 0
50
FINANCE 1942-43.
UNFORESEEN AND ACCIDENTAL EXPENDITURE.
DiviSION No. 47.
Payment to Professor A. S. Burstall for serVICes rendered in connex10n with enquiry into Metropolitan Gas supplies
Refund of amount deducted in error from salary of John G. Meehan, Education Department
Legal costs incurred by Constable E. V. Nicol in proceedings taken by Ivun Stimac for wrongful arrest
Payment to Mr. W. S. Sproule, K.C., for performance of duties of Senior Prosecutor for the Crown ..
Ex-gratia payment; to Mrs. R. D. Knight as compensation for la,bour performed in connexion with a wheat crop grown by her late husband, the proceeds of which were payable to t.he Crown ..
Payments to Dr. C. H. Mollison in respect of Special Fees re Post .Mortem Examinations Reimbursement. to Senior Constable H. J. M. Ware of lega.l expenses incurred in his
defence of a charge of misconduct against the discipline of the Police Force l'}x-gratia payment to Phyllis May Clark towards medical expenses ineurred as a result
of an illness contracted at the Mental Hospital, Kew .. Refund to Mrs. V. Gray of amount paid in 1914 towards cost of an assisted passage
for one George Hicks-a prospective migrant from England to Australia Payments to Dr. R. J. Wright-Smith in re~pcct of Special Fees re Poat Mortem
Examinations Compensation paid to Dr. F. G. Donovan for damage to premi8es adjoining Government
Offices at 61 Spring-street, Melbourne Payment to Melbourne and Metropolitan Tramways Board in full settlement of claim
for damage caused to a tram by a Forests Commission motor truck . . . . Gratuity to-
F. W. Cremean, Treasury-Special Services H. M. Craig, Treasury--Additional Duties J. C. McDonald, Law-Special Services W. A. McCarthy, Law-Special Services R. A. Rix, Lands-Special Services .. A. B. Hackwell, Agriculture-Special Services W. L. Harrington, Labour-Special Services J. J. Sullivan, Labour-Special Services W. R. Alien, Labour-Special Services A. N. Henshall, Labour-Special Serviee;; C. N. Davis, Labour-Special Services G. L. Moss, Labour-Special Services J. P. Sheehan, Labour-Special Services
Ba.llara.t Orpha.nage Box Hill Boys' Home Camberwell Girls' Home Central Mission Boys'
Tra.ining Farm Church of England Homes
for Children
a.nd Creche .. Geelong
District Orpha.nage
Western Protestant
Kilmanv Pa.rk Fa.rm Home for Boys
Lysterfield Boys' Home .. Minton Boys' Home Presbyterian a.nd Scots'
Church Children's Aid Soeiety
0 St. Agnes' Home for Girls 0 I St. Aldan's Orphanage 6 St. Anthony's Home 0 St. AugustinE.>'s Orphana.ge 0 St. Catherine's Girls' 0 Orphana.ge 0 St .• ToReph's Home (Seba.s-0 topol)
i ) 0 0 8 0
0
0 0 0
0
0
0
0
0 0 0 0
0 6 0
8
0
0 0 0
0
St. Joseph's Home for Destitute Children
i't. Luke's Toddlers' Home St. Nicholas' Home for Boys St. Paul's Training School
for Boys St. Vincent de Paul's Boys'
Orphana.ge St. Vincent de Paul's Girls'
Orphanage Sa lesian School .. Willia.m Forster Try Boys
Society
REFUGEs--MATERNITY HoMES.
The Carlton Home Fitzroy Maternity Home .. Kedesh.. .. .. St. Joseph's Receiving Home
RESCUE HOMES •
Abbotsford Fema.le Refuge Brunswick Rescue Home .. Central Mission Girls' Home Convent of Good Shepherd Elizabeth Fry Retreat .. House of Mercy, Cheltenham
ASYLUMS •
Roya.l Victoria.n Institute for Blind
Victorian Deaf and Dumb Institution
Hospitals and Charities Fund.
Maintenance. Capital.
£ s. d. £ I.
454 0 0 3,830 0 0
350 0 0 400 0 0
538 0 0
ni4 0 0 250 0 0
300 6 5
505 0 0 lOO 0 0 200 0 500 0 0
675 0 0 586 0 0 80 0
1,763 0 0 250 0 0
4,091 0 0
531 19 4
2,802 0 0 .,
500 0 0 .. 539 0 0 .. 860 0 0 80 0
1,104 0 0 .. 500 0 0 .. 500 0 0 .. 326 0 0 ,.
350 0 0 .. 2:3,469 5 9 360 0
746 0 0 .. lOO 0 0 .. 429 0 0 .. 500 0 0 ..
1,775 0 0 ..
2,000 0 0 .. 25 0 0 ..
250 0 0 .. 780 0 0 .. 120 0 0 .. 200 0 0 ..
3,375 0 0 ..
2,300 0 0 .. 1,000 0 0 ·-3,300 0 0 ..
d.
0
0
0
0
53
GRANTS TO CHARITABLB INSTITUTIONS FOR THE YEAR 1912-43-oontinued.
FouN oLINo Ho.MF.s.
Alex:andra Infants' Home i
Bethany Babies' Home Foundling Hospital and
Infants' Home Presbyterian Babies' Home St. Gabriel's Babies' Home St. Joseph's Foundling
Hospital
roNVALEScENT HonEs.
Melbourne Home for Men .. Melbourne Home for Women
MEDICAL DISPENSARIES.
Dr. Singleton's Dispensary and Welfare Centre ..
Footscray and District Out-patients' and Welfare Centre .. ..
Richmond Dispensary and Out-patients' Clinic ..
BusH NuRSING CENTRI!IS.
Apollo Bay .. .. Balmoral .. .. Benambra .. .. Berriwillock .. .. Buchan .. .. Dargo .• .. .. Dingee .. .. . . Elmhul'l!t .. .. Ensay .. .. .. Lake Bol&e .. .. Lome .. . . . . Swift's Creek .. .. Underbool .. ..
PUBLIC DEBT OF VICTORIA-30TH JUNE, 1943-continued.
(a) LoANS REDEEMED IN FuLL.
Cash fulceipts, including Premiums. Add Discount and Expenses. -··---·· Deduct Premiums Debentures, Stock, Rate Received on lllSues Act No. per for Works, &c., and Treasury Bonds,
rent. Raise<\ for Works, Rnised for Redemption Loans for Works, Loans lor Redernp· 1Sllued and Redeemed. &c., l)nrposes. Purp(1ses. &c., Purposes. tlon Purposes. Purposes.
PUBLIC DEB'r OF VICTORIA-30TH JUNE, 1943-continued.
(a) LOANS REDEEMED IN FULL.
Cash Receipts, Including Premiums. Add Discount and Expenses.
i Deduct Premiums Received on Issues
for Works, &c., Raised for Works, Raised for Redemption Loans for Works, i Loans for Redemp· Purposes. &c., Purposes. Purposes. &c., Purposes. ' tlon Purposes.
PUBLIC DEBT OF VICTORIA-30TH JUNE, 1943-continued. (b) PoRTIONS OF LoANS IssuEn AT SPECIFIC RA'l'ES WHICH HAVE BEEN WHOLLY REDEEMED.
Cash Receipts, including Premiulllil. Add Discount and Expenses.
Rate Deduct Premiums Debentures, Stoek, Received on Issues Act No. per for Works, &c., and Treasury Bonds cent. Raised for Works, Raised for Redemption Loans for Works, Loans for Redemp- Issued and ltedeemed. &c., Purposes. Purpcses. &c., Purpcses. tion Purp'lSes. Purposes.
It •- I Cash Receipts, Including Premiums. I Add D' d I D . 11
11
- St eunlles ltcpurehascd or Redeemed, &c. a.., . -
1
1sconnt an I educt Premmms Loan Llubility at :lOth June, 1943.
Ausu all an Loans. London Loan•.
per _ . - Expenses on Loans Received on Issues\ Securities J!l8ued. I cent. I I . . I for Worb and for Works &c ,
Raised for Works, &c., Ra1sed for RedemptiOn [Redemption Purposes. I Purpose's. ~ By Rene\\nl I.onns and By N~tion~l Debt Purposes. Purposas. 1 OtbeJ State I! c.mls, &c. Slnkmg J: und.
I I i I I I 1 4,~31,952 13 4 368.047 6 8 . . I 4.ooo.ooo o o: 397,854 3 I 4,612,977 9 91 363,498 16 10 • . I 4,976,476 6 7j ::l56,781 2 1 954,438 14 10 45,561 5 2 • . 1,ooo,ooo o o 2o,3oo o
• I 20,194,518 9 91 5~8,506 12 4 • . I. 20,753,0.25 2 11 11,762,549. 11 6 I 1 .ooo.ooo o o
396,230 o . 1,692,930 0 01 . . . . . 1.692,930 0 01 I 7,329,169 17 3_ 7,568 15 11 8,269 16 5 I 7:~~8,~68 16 91 3,060,503 12 I 759,389 4 ol • • .. 1 w9,.::S9 4 o1 306,828 17 . 27,459,621 16 Or· 28,801 12 3 . . I 27,488,423 8 31 e,047,500 0 11. 1,830,056 10 0 3,372 2 2 , , 1 1,833,428 12 2 _ • 5oo o o
1
. . • . 1 5oo 9 o1 1 25,489,942 16 2
1
- 487,965 1 8 . . 1
25,977,907 1. ]'()~- 5,129,414 7 1 799,ooo o o .. ..
1
. 799,ooo o o: 11o,ooo o 1 20,860,868 18 lli 74,0ll 13 3 • . 20,H34,880 12 21 13,364,040 0 I 6,37o,ooo o o1 . . . . I 6,37o,ooo o o. I 42,049,243 13 sj 49,560 11 6 .. 1~ 42,098,804 11 2; 28,583,195 2 I 4,o61,ooo o ol .. . . 4,o61,ooo o o ..
Loan Liability on account of Securities issued is Add Liability to Commonwealth for Treasury Bills issued for Revenue purposes
911 0 0
The State's Liability at 30th June, 1943, being 175,934,652 9 11 Deduct Cash at Credit of National Debt Sinking Fund (pending investment) 325,973 5 3 Liability to the Public which has yet to be met by the Revenues of the State 175,608,679 4 8
• Includes £4,498,878 OS. 9d. raised tbrongb Commonwealth Government In New York.---t Orlgln•l Loi>IIS. £2,850,548 5s. ld. Renewal Lo•ns, £3,450,96913&, !Id,---* OrlgiD&l Loalll, £4.58,099 168. Sd. Renewal Loans, £9,017 4s. lld,
tLoans raised for redemption purposes as per " Loan Liability "
Total Redeemed,
£ s. d.
726,426,527 11 0
23,539,298 13 4 3,600 0 0 6,300 511 2,358 12
1,361,880 0 315,040 0 132,732 15
1,875,750 0 151,500 0
3,032 7
3 0 0
0 2
0 0
101,000 0 0 4,327 13 0
68 708 6 8 ' 100,100 0 0
361,520 0 0 170,292 6 6 10,000 0 0
107,135 0 0 270,999 610
1,566,310 0 0
30,151,885 6 8
756,578,412 17 8
Statement, page 69 715,327,252 19 4 Transferred to Redemption Fund as per • and t, page 66 of Finance
Statement, 1926-27 62,826 18 8
Applied as above 715,264,426 0 8
t For details ~~amounts redeemed from various Fundl!, see page 65 of Finance Statement 1928-29. § As far as interest payment.• WA"6 concerned, w.rlt!uz olf was effective In respect of £.1,5lll},000 from lit Ootcber, 19~5. and ol £600,960 from 30~b lune. 19J11.
• Earllest date to be detennined upon Treasurer giving the notice specll!ed In Order in Council. t Raised tbrongb Commonwealtb Government In New York.
SUMMARY.
Loans Redeemable in Australia .• ,. , London .•
Add Treasury Bills for Revenue Purpoaes
Total I.os.n Liability at 30th June, 1943
£ 8, d.
. . 109,381,967 12 3 66,547,684 17 8
175,929,652 9 11 5,000 0 0
. • 175,934,652 9 11
75
FINANCE, 1942-43.
SUMMARY OF CAPITAL EXPENDITURE AND CAPITAL LIABH.ITY UNDER THE VARIOUS WORKS, TOGETHER WITH APPORTIONMENT OF STATE'S EQUITY IN NATIONAL DEBT SINKING FUND.
-
Railways-Construction, Rolling-stock,
Survey, &c.-As reduced .. Transferred . .
Loan Suspense (see page 110, 1923-24) . .
Country Waterworks-Water Supply Department
Geelong Works .. . .
Melbourne Water Supply-Yan Yean (see page 114, 1923-24) . . . .
Electricity Supply . . Land Settlement .. ..
Grain Elevators Board . .
Housing Commission ..
Country Roads-Main . . .. . .
Developmental .. ..
Public Works, Buildings, &c
Endowment, Melbourne and Geelong (seep. 129, 1923--24)
State Forests .. . .
Unemployment Relief ..
In aid of Revenue ..
AT 30TH JUNE, 1943.
Expenditure.
Liability
From Loan Funds. I From State Loans I Repayment Fund.
t This amount includes £530,370 5s.--expenditure from Railway Loans Repayment Fund in 1930-31. *Includes £5,000 Treasury Bills (In aid of Revenue) Current at 30th June, 1943.
Graving Dock Harbor Works-Warrnambool, Belfast, and Portland High Court of Australia (Buildings, &c.) Mental Hospitals, &c. Immigration Bureau .. Kerang to Koondrook Tramway Loans to Municipalities-
Act 1552 Act 2591 Act 3081/3042
Maffra Boot Sugar Factory Mining Development Murray River Bridges Outer Ports Other Public Works and Buildings Parliament Houses, Law Courts, and Public Offices Pilot Steamer Primary Products-Advances Princes Bridge (over Y arra) .. Public Library, &c ... Purchase of " Stonnington " .. Reclamation Works, Levees, Drainal:\'e, &c. Remodelling Pentridge and Police DerJOt Resumption of Land in the Mallee Road Construction-
Grants to Municipalities Proportion with Commonwealth Under Migration Agreement
Royal Agricultural Society-Arlvance .. School of Dairy Technology •. Spencer-street Bridge Ship Building Yard .. State Coal Mines
DETAILS OF AMOUNTS REPAYABLE, ETC., IN RESPECT OF LIABILITY OUTSTANDING AT 30TH JUNE, 1943.
Bush Fires-Advances ro Sawmillers, &c.
Cemoteries--Advances
Charitable Institutions
Cool Srores
Country Sewerage W orb
Cultivation Advances, Seed and Fodder, &c.
Geelong Harbor TrllBt (Purchase of Debentures)
...
..
., , -Reconstruction of Railway Pier
, "
-Deepening Hopetonn Channel ••
, , -Corio Freezing Works
High Court of Australia (Buildings, &c.)
Loan.'! to Municipalities-
Act No. 1552
Act No. 2591
Act No. 3081/3042
Primary Products--Advances
Royal Agricultural Society-Advance •.
Spencer-street Bridge
State Coal Mines
Thrips Advances (Fruit-growers)
Wire Netting-Advances
'loologieal Board of Victoria-Advance
Total Amount outstanding at 30th June, 1943
...
..
£ s. d.
3,667 18 7
12,250 0 0
60,250 0 0
42,828 0 1
128,276 11 2
143,799 16 11
289,309 6 2
9,000 0 0
12,142 5 1
33,109 311
33,577 17 0
6,790 6 2
8,912 19 9
14,550 7 8
25,907 14 3
32,185 11 2
49,723 16 2
58,709 18 8
15,614 16 4
124,848 19 2
22,732 11 11
1,128,188 0 2
Other Public Works, Buildings, &c., including amounts written off 4,058,694 18 8
Total Liability (as per page 85) . . 5,186,882 18 10
87
FINANCE, 1942-43,
HOUSING COMMISSION CAPITAL ACCOUNT.
AT 30Tn JUNE, 1943.
Expenditure and Proceeds
Discount and Expenses leas Premiums
Original Loans
Loan Liability ..
Expenditure from State Loans Repayment Fund
Total Liability ..
NATIONAL DEBT SINKING FUND.
£ s. d.
Apportionment of Cancelled Securities 24,674 5 0
" , Cash .• 535 19 7
Net Liability
£ s. d.
1,160,000 0 0
12,193 14 8
1,172,193 14 8
30,000 0 0
1,202,193 14 8
25,210 4 7
1,176,983 10 1
Av•age Rate per cent. of Interest payable on Securities= !3 12&. 2d.
88
FINANCE, 1942-43.
GRAIN ELEVATORS BOARD CAPITAL ACCOUNT.
AT 30TH JUNE, 1943.
Expendituxe and Proceeds
Diacount and Expenses less Premiums
Original Loans
Repaid to State Loans Repayment Fund ..
Loan Liability ..
NATIONAL DEBT SINKING FUND.
Apportionment of Cancelled Securities
, Cash ••
Net Liability
£ 8. d.
19,038 0 5
413 10 11
£ 8. d.
1,000,000 0 0
11,611 16 1
1,011,611 16 1
350,000 0 0
661,611 16 1
19,451 11 4
642,160 4 9
Average Rate per cent. of Interest payable on Securities = £3 lSs. 6d.
FINANC'E, 1.!:!42-43.
STATE FORESTS CAPITAL ACCOUNT.
AT 30TH JUNE, 1943.
Expenditure and Proceeds Discount and Expenses
Original Loans Renewal Loans
Redeemed by-
.. £ 8. d.
• . 2,779 19 6 4,105 10 11
Redemption Funds 189 6 4 Repaid to State Loans Repayment Fund 193,087 19 3
Loan Liability
Expenditure from State_ Loans Repayment Fund
Total_II.iability ..
NATIONAL DEBT SINKING FUND •
.Apportionment of Cancelled Securities , Cash
Net Liability
. £ 8. d • .. 57,008 5 ... 1,238 6 9
£ s. d. 904,839 14 9
6,885 10 5
911,725 5 2
193,277 5 7
718,447 19 7
774,240 17 10
1,492,688 17 5
58,246 8 2
1,434,442 9 3
Average Rate per cent. of laterest l)ayable oa Sec11tities === £3 9s. 2d..
90
FlNANOE, 194243.
UNEMPLOYMENT REUEF CAPITAL ACCOUNT.
AT 30TH JUNE, 1943.
Expenditure and Proceeds
Discount and Expenses less Premiums-
Original Loans -
Repaid to State Loans Repayment Fund
Loan Liability ..
Expenditure from State Loans Repayment Fund
Total Liability ..
NATIONAL DEBT SINKING FUND.
Apportionment of Cancelled Securities
., Cash ••
Net Liability
£ 8. d.
499,977 8 2
10,860 11 9
£ 8. d~
12,714,434 19 2'
160,565 0 10
12,875,000 0 0
842,648 3 4
12,032,351 16 8
424,461 10 10
12,456,813 7 6·
510,837 19 n
11,945,975 7 T
Average Rate per cent. of Interest payable on Securities == 0 13s. 2d...
91
.!fiNANCE, 1942-43.
LOANS IN AID OF REVENUE.
AT 30TH JUNE, 1943.
Expenditure from Loan Funds
Discount, less Premiums
Securities Issued
Redeemed by
Consolidated Revenue
Redemption Funds
- -
£ s. d.
2,290,608 0 9
1,623,034 15 7
Treasury Bills (issued in aid of Revenue) current at 30th June, 1943
Loan Liability
NATIONAL DEBT SINKING FUND.
£ 8. d. Apportionment of Cancelled Securities 446,757 18 10
" " Cash 9,704 11 0
Net Liability
£ 8. d. 4,863,682 3 2
40,039 11 5
4,903,721 14 7
3,913,642 16 4
990,078 18 3 5,000 0 0
995,078 18 3
456,462 9 10
538,616 8 5
Average Rate per cent. of Interest on Loan Liability as above = £3 . Ss. 8d.
FINANCE, 1942-43.~7348.~11
92
FINANCE, 1942-43.
EXPENDITURE FROM LOAN FUNDS AND ON ACCOUNT OF LOANS IN 1942·43.
Railways-Ordinary Deferred Renewals and Replace
ments
Water Supply ..
Farmers Advances
Forests-Ordinary Timber Salvage (Act No. 4632)
Public W arks-OtherCourt Houses Explosives Lighter .. Government Printer .. Greenvale Sanatorium Gres~well Sanatorium Hospitals .. Infectious Diseases Wards Mental Defectives Mental Hospitals Mental Hygiene (Kew Removal) Police Buildings-Russell-street Public Offices, Ballarat School Buildings-
PrimarY .. Techni~al and Higher Elementary Deferred Renewals, &c.
State Coal Mines Taxation Offices Tourists' Resorts Wire Netting
Unemployment Relief
From State Loall8 Repayment Fnnd.
£ s. d.
239,941 9 3
From Loan Funds.
£ s. d.
300,500 0 0
From Treasurer's Advance.
£ s. d.
--- ---·----·--··-- ---·-• See page 93 for Reconciliation with amountg charged to Loan Funds.
93
FINANCE, 1942-43.
RECONCD..IATION OF EXPENDITURE FROM LOAN FUNDS AND ON ACCOUNT OF LOANS IN 1942.43 (PAGE 92), WITH A.l\fOUNTS ACTUALLY CHARGED TO LOAN FUNDS, AS PER PAGE 54.
Expenditure as per page 92
Add charges at 30th June, 1942 :
Railway Loans Repayment Fund
State Loans Repayment Fund
Deduct Charges at 30th June, 1943 :
Railway Loans Repayment Fund
State Loans Repayment Fund
Treasurer's Advance
- -
£ s. d.
-530,370 5 0
9,643,745 6 0
... 530,370 . 5 0
10,287 '757 4 2
4,083 10 2
Actual amount charged to Loan Funds, in 1942-43 {as per psge 54) -
For the purchase of land, the erection of new buildings and additions to and remodelling, removal and re-erection of existing buildings (including the provision of furniture and fittings) for and the erection of residences in connexion with Primary, Technical, Higher Elementary and High Schools and expenditure incidental to these purposes ..
For additions, alterations and improvements to departmental residences occupied by employees of The Victorian Railways Commissioners ..
For the erection of, additions to and alteration of bmldmgs comprising hospitals and other mstitutwns I registered un.der the Hospitals and Charities Act, the
1
fitting and furniahing thereof and other expenditure · incidental to these purposes . . . . . . •
I
£ 8, d.
40,000 0 0
20,000 0 0
82,000 0 0
142,000 0 0
£ 8. d.
23,082 2 2
20,000 o o I
82,000 0 0
125,082 2 2
SURPLUS REVENUE ACT No. 4929.
I. For the erection of, additions to and alteration of buildings comprising hospitals and other institutions registered under the Hospitals and Charities Acts, the fitting and furnishing thereof and other expenditure incidental to these purposes
2. For the erection of, additions to, remodelling, fitting and furnishing of mental institutions.·.
3. For the purchase of land, the erection of new buildings, and additions to and remodelling, removal and re-erection of existing buildings (including the provision of furniture and fittings) for and the improvement of grounds and the erection of residences in connexion with primary, techhlcal, higher elementary and high schools and expenditure incidental to these purposes
4. Advances to the Victorian Inland Meat Authoritv towards the cost of the erection of abattoirs, freezing works, chilling chambers, cool stores and other works and undertakings and for other purposes
(To be repaid.) 5. For additions, alterations and improvements to
departmental residences occupied by employees of the Victorian Railways Commissioners ..
Assurance Fund (Land Titles), Act 3791 .. , u , " " t'
Cattle Compe118ation Fund, Act 3651 Closer Settlement Insurance Fund, Act 2297, sec. 7 Coal Mines Depreciation Fund, Act 3657 .. Commonwealth Defence Training Account Commonwealth Defence Works Account .. Commonwealth Unemployment Relief Funds Commonwealth Grant: Flood Damages Restoration Account Commonwealth-State-Air Raid Precautions Account Commonwealth-State Local Public Works Account Common wealth-State Youth Employment Fund Country Roads Board Fund, Act 3662 Developmental Railways Account Dried Fruits Fund, Act 3670 ..
" " " " Farmers' Debts Adjustment Federal Aid Roads and Works, 1937, No. 1 Account Federal Aid Roads and Works, 1937, No. 2 Account Forestry Fund, Act 3685 Government Buildings Fire Insurance Fund, Act 2297, sec. 8
Public Instruction, Scholarship, and Prize Fnnds-cont G. T. Chiruside R. A. Crouch E. M. Fa.irhall Gladman .. J ames Taylor Gray Jessie McMichael .. Hayden .. E. Hayes Memorial J. 0. Hughes, Thornbury School Matthew Flinders Memorial .. Albert and Mary Mattingley J_ Montgomery M. H. Montgomery Sir Keith and Lady Murdoch L. J. Mountain Lilian Horner McKnight Lady Northcote Peter Reville J. G. Robertson Memorial South Melbourne City Council G. and E. Smith .. Victoria Leagu~. Macedon Percy Walker Waxman .. Williamstown High School
IOR,504 6 1 11,849 6 0 I20,353 I2 I I08,504 6 1[11,849 6 0 II20,353 ~~ The amount paid up to date o.s compensation under sec. 2:13 and for jud~ments recovered, including costs, is £II,386 Is. 2d., representing 87 claims.
To Expenditure during the year
Payment of Intere8t State Loans Repayment Fund Maintenance of Main Roads General Expenditnre
Recoups to Revenue-Act 8944-For Interest-Main Roads
Recoups to Revenue, &c., on account Municipal Payments-Act 4140, Sec. 2- .£
For Interest Revenue-De-8. d.
velopmental Roads ••• 77,372 3 10 Payments by Municipalities-
Permanent Works 143,668 4 10
1943, .June 80-'l'o Balance
FINANCE, 1942-4::1.
TH~ COUNTRY ROADS BOAI~D FL.JNI).
.£ '· d.
82,693 4 11 27,564 8 3
516,497 3 1 723,354 5 10
102,419 I 4 173,290 1 1 ~1},785 16 11 39,876 18 2
2,097 4 1
221,040 8 8
ACT :No. 3662, SECTIONS 31:1 ANll 39.
.£ s. d.
1,914,618 12 • 414,15'> 10 8
2,328,774 3 (l
1942, July 1-By Balance
By Receipts dnrin~ the yearPayment:!! by Municipalities General Heceipt.~ ... Fees anJ Fines- ~I otor C1n Act Feel! and 'Fines-Country Road11 Board Act~ Act 3i 42- Fees and Fines
£ .~. rl. £ s. d
299,7ti2 1 [)
:2H,7ii6 ,'} i 5a5,4:> 1 11
1,248,425 2 5 345 2 6
l4 0 u
----i 2,02~,99:l 7
2,328,774 3 ()
....... 8
t I I ! I
FINANCE, 1942-43.
THE DEVELOPMENTAL RAILWA ACCOUNT . .
Expend!tqre. Receipt&.
----During the Year. Total. During the Year. Tota.l.
£ s. d. £ 8. d. £ s. d. £ $. d. Interest on Soourities-Act 3662/294.4 ... . .. 251,435 1 9 1942, July 1-Ry Balance ... ... 165,464 lb i . .. Ro.ilw11.y Construction--_<\.ct 3152 ... ... ... 49,632 12 0 Transfers, Act 2381, Sec. 6-
From Railway Construction Account ... ... 40,i97 6 4
Interest dne to the Treasurer of Victoria on Contributions by Municipalities ... ... 6,171 l 6 1,089,867 6 6 account of Municipalities' Loan Liability outstanding under Acts Nos. 1552 and Stock realized ... ... . . . . .. . .. 163,422 8 6 2591 ... ... ... ... .. . 13,923 ii 0
Other Receipts ... ... . .. . .. . .. 300 0 0 Interest on Debit Balance of Fund ..• ... ... 70,523 4 1 Sundries ... ... ... ... ... 9 18 10 Interest on Credit Balance of Fund . .. 525 ,') 6 19,423 16 fj
1&43, June ih)-To Balance ... ... ... .. . 23,130 l 9 2,100,013 11 5 23,130 1 9 2, l 00,013 11 fj
• Act No. 2995, S<le. 71. i'!vb-soo. 6, provide• tor Redemt>tiODS being t.em))OI:Vlly ebArged t.o Public Account wben mOD6f8 are not available In tb.e Fnnd. The amount ao charged at SOtb JIUIC, 1943, to £1,068 19s. 9d.
t?INA:Nlll!l, 1942-4:3.
MILK BOARD FUND.
AcT No. 4183, SEcTION 31.
El<pendlture. I Receipts.
--I
During the Year. 1, ·rot al. During tbe Yea.r. ·rotal.
-- ---
I £ s. d. £ s. d. £ s. d. £ s. d.
To Expenditure during the year- -Expenses of Board . . .. . . 9,477 1 6 92,371 19 1
1:5
Other Expensea-Publicity .. .. .. 700 0 0 12,153 6 7 I 1)42, July 1-By Balance 24,323 13 11 . . . . . . . .
RAIL vV AY ACCIDENT AND FIRE INSURANCE FUND (ACT No. 37f.\9).
I I RECEIPTS. EXPENDITURE.
- -
During the Year~ Totai. During the Year. Total.
£ 8. d. £ s. d. £ 8. d. £ s. d. (a) Damages and costs in any action at law ... 512 () () 145,81:3 17 3 1942, July 1-By Balance ... ... 100,000 0 0 ... (b) Compensation without action at law ... 1,5-12 1! 6 409,065 5 4 Percentage of I:tailways Revenue ... 47,921 9 3 1,496,134 1:) 10
(c) Damages arising out of ;;uch injury, &c .... 4:2 19 6 60,045 17 8 From Surplus Revc>nue-Act 2208 ... ... 69,972 5 0
(d) «]ompcnsation to employees, &c. ... 1:3,003 0 l 35H,607 11 1 From Votes-- Special provision ... ... .. . 206,511 7. 1
(e) LoHs or clamnge by fire to buildings, &c .... 1,305 5 ll 129,307 0 9
Sinking Fund Contributions on Unem-ployment Relief Loans . . . .
1943, June 30-To Balance-Cash ..
FINANCE, 1942-43.
UNEMPLOYMENT RELIEF FUND. AcT No. 4079.*
Expenditure. I
During the Year.
£ s. d. I
7,742 13 1 I 15,833 3 0 I 2,416 8 0
982 13 8 11,101 8 8
27,400 0 0
464,408 10 10
31,301 7 1 I
I 1,797,335 8 8
2,358,521 13 0
Total. ·-j
£ 8. d. I
5,058,928 2 1
I 7,715,179 8 5 2,730,943 8 10
19,793 18 2 I 864,003 10 0
I 224,171 4 10
100,000 0 0 I
0 0 i
286,227 0 0 I '
I 3,081,214 2 1
I 222,174 14 0 I
i 1,797,335 8 8 I
22,209,970 17 1 I I
July 1, 1942-By Balance Tax .• Stamp Duties Additional Contribution from Revenue .. Interest on Moneys advanced from Un-
employment Relief Funds-Acts 4027, 4097, &c.
Repayment of Loan-Fruit Preserving Companies ••
Proceeds Sale of Firewood Proceeds Sale of Equipment, &c. Rent'l
Reeelpta.
During the Year.
£ s. d.
1,108,556 17 4 545,694 12 2
0 0
54,268 5 3
58 4 0 9,748 15 4
194 18 11
2,358,521 13 0
Total.
£ 8. d.
20,172,689 11 1 1,046,022 17 5
640,000 0 0
340,240 I 6
821 17 10 252 15 0
9,748 15 4 194 18 11
22,209,970 17 1
* Act 407!1 authorizes the Treasurer to charge Expenditure to Public Account pending receipt of Funds. The amount so charged at 30th June, 1943, is Nil.
(a) Salaries and travelling allowances of the Members of the Board other than the Chairman
{b) Remuneration paid to Deputy for any Member of the Board other than the Chairman . . . .
(c) Recoup to consolidated revenue for the salaries of the Registrar and other officers of the Board
{d) Costs and expenses of administration
1943, June 30.--To Balance
£ 8. d. £ s. d.
1,542 5 8 7,187 12 10
295 13 5
1,909 3 2 I 7,884 13 9 1,846 1 10 8,239 5 11
834 9 5 1. 834 9 5
6,132 0 1 24,441 15 4
1942, July 1.--By Balance
Contributions
I
£ 8. d. 871 11 0
£ 8. d.
' 5,260 . 9 1 124,441 15 4
6,132 0 1 124,441 15 4
-~ 0
FINANCE, 194:2-43.
AG~~NT-GE~ AL IN ACCOUNT \VITH THE TREASURER OF VlCTOIUA.
RECONCILIATION of Balances in the '"""~""" Books at 30th
Dr. £ 8. d. To Money1l held in Suspense by Agent-General on
account ofEdueation Interest Temporary Loans London Gifts Scheme Premier's Office Public Library
J3alances on 30th June, 194,3-Account ..
Remittance Account
7 7 0 389 19 8 15 1 11 4 6 2
141 16 11
with Balance of the Agent-General on the 31st Westminster Bank Ltd.
1943, as Certified by the
£ 8. d.
558 11 8
9 5
1,332,002 1 1
Or. Amount paid to Commonwealth for remittance to London
but not credited by
, Expenditure incurred by the Agent-General and not in 'I'reasury Books, on aecount of~~~ £ s. d.
Agent-General's Advanee . . 50 0 0 Library of Law Offices . . . . 9 0 0
, Amount brought to account by the Treasury and not by Agent-General . . . . . .
, Agent-General's Balance on 31st January, 194:3, as per Westminster Bank Certificate less outstanding cheques
£ s. d.
0 0
59 0 0
301 15 0
22,191 6 1
1,332,002 1 1
! l l
! ,_ t-,:.)
I ,_
FINANCE, 1942-43.-SUNDRY DEBTORS TO REVENUE, 30th JUNE, 1943.
·------1 Agricultural Colleges' Trustees-Advance for drainage works at Tobin Yallock Swamp Alfred Hospital-Temporary Advance (Div. 48-11, 1931-32) I Bendigo Creek Trust-Advances . . •• ... _ Cattle Compensation Fund-Advances from Revenue-Act 3651, Sec. 10 (4) Cemeteries-
Springvale Necropolis-Capitalized Interest on advances Corporations (exclusive of Waterworks Trusts and Malice Tanks) for Loans for Local
Waterworks-FuL' Repayment of Loans (see page 150) For Interest on Loans (see page 150)
Essendon City-Advances for improvements, Maribyrnong River Fruit Cool Stores (see page 158)-
Maryborough District Cool Stores and Ice Works Ltd. (in liquidation)-Advance For Cool Stores purchased from the Government Interest due on advances to Companies for erection of Cool Stores Capitalized Interest on advances to Companies
Housing Commission-Advances-Act 4583, Sec. 14 Kerang Shire-
Kerang to Gonn Crossing Railway Loan-Advances and Interest due Meat Freezing Companies-
Interest due on advances to Companies for erection of works for freezing meat, &e. (see page 160)
Guaranteed Overdrafts liquidated by the State (see page 160) Interest due on Overdrafts liquidated (see page 160)
Balances, 30th June, 11!42.
Dr.
£ 8. d.
13 8 0 0 5 4
18 6
17,243 15 0 15,006 5 0
275 1 3 197 12 5 714 510
6,000 0 0 6,164 13 8 1,377 4 6 2,694 5 4
102,349 14 5
0 17 7
257,451 6 0 190,093 14 0 179,029 7 1
D~.
£ 8. d.
6,611 3 9 24,096 8 10
2,229 8 9
0 0
19,858 4 0
13,766 4 6
Cr.
£ 8. d.
243 7 6 0 0
15 0 7,434 15 10
200 0 0
6,706 13 5 24,104 ] 8 2
47 9 9
.. 988 10 3
2,365 4 5
0 17 7
276,726 11 6 190,093 14 0 192,795 11 7
Balances, 30th June, 1943.
Dr.
£ .~. d.
6 2 0 0
10 4 2 8
17,243 15 0 14,806 5 0
179 11 7 189 3 1 66(} 16 1
6,000 0 0 5,176 3 5 1,241 810 2,694 5 4
117,349 14 5
582 18 6
Amounts Actually Due and Unpaid at
Soth June, 1943.
£ 8. d.
17,484 2 8
179 11 7 189 3 1
.. 6,000 0 0
.. 8 10 ll 10 14 5
582 18 6
I I • I
1-
' ~. ~.
Mining Companies-4,797 6 3 Advances for Development of Mining (see page I57) .. .. . . .. 6,397 6 3 2,995 I3 II 124 I9 0 9,268 I 2
Interest on advances for Development of Mining (see page I57) .. . . .. 2,164 5 7 liS I9 7 SI I6 2 2,201 9 Q 2,201 9 0 New Long Tunnel Gold Mines N.L.-Advance (Div. 64B, I935-36) . . . . 97 9 5 . . .. 97 9 5 97 9 5
Railway Construction Trusts -Arrears oi Rates Act No. 492R Section 3 (2) .. .. . . 393 I9 2 0 18 9 393 0 5 393 0 5 Royal Agricultural Society-Advance for erection of Industrial Hall .. . . .. 1,180 12 I . . .. I,I80 I2 1 8awmillers-l1ush Fires Relief-
Interest on Advances from Loan Moneys under provisions of Act 3558 . . . . 2,607 15 ll 159 3 7 .. 2,766 19 6 I 2,766 19 6 Settlers-Advances, &c., for-
• • I . . Swine Compensation Fund-Advances from Revenue-Act 3784, Section 11 .• 2,754 2 7 .. 2,754 2 7 Teachers' Training College Students ; Cost of Board-to be refunded after appointment .. 6,276 () I .. 2,739 710 3,536 18 3 Thrips Relief-
I 4 Berry Growers-Ad'.·ances (Div. 74-6-7, I93I-32) and Interest thereon .. .. 354 14 2 11 9 11 .. 366 4 I 366 Fruit Growers-Interest on advances under provisions of Act 3558 .. .. 8,860 410 645 0 4 12 I 9 9,493 3 5 9,493 3 5
Warrnambool City-Advance for construction of Drainage Flume .. .. .. 472 911 . . 57 7 3 415 2 8 Waterworks Trusts-
For Repayment of Loans page 153) - - .. . . I,875 16 10 I9,733 6 0 18,887 I4 7 2,72I 8 3 I 2,721 8 3 For Interest on Loans (see page 153) 464 I2 10 60,030 1 10 58,687 IS 9 1,806 HI 1l I,806 I5 Il ....... ... . .• . . .. . . ~
W onthaggi Borough- CO
Advance towards erection of Infectious Diseases Ward, Wonthaggi Hospital .. 595 0 0 .. lOO 0 0 495 0 0 Balance of Purchase Money of land and building connected with W onthaggi
I I 44:15 0 Town Hall . . . . . . . . . . . . . . .. I 625 12 6 .. 68 8 9 557 3 9 Zoological Board of Victoria-Interest on Advances . . . . . . . . I2,094 5 8 I,022 19 2 13,117 4 10
ToTAL . . . . . . .. . . .. I 867,787 I5 I 166,672 3 4 799,719 I4 11 I 234,740 3 6 ~69,462 17 4
0. Underbool l. Wangaratta 3. Wodonga 6. Yarrawonga
. .
. .
. .
. .
. .
. .
..
. .
. .
. .
. .
. .
. .
. . . .
. .
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. .
. .
. .
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. .
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. .
SEcoND
. Warrnambool City
..
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. .
. .
. .
. .
. .
. .
. .
. .
..
. .
.. ..
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. .
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..
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PART.
..
. .
..
..
..
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. .
..
..
..
. .
..
. .
. .
. .
..
..
. .
..
..
. .
..
. .
. .
. . 1 2 6 7
. Bet Bet Shire (Dunolly Water Supply)
. Korong Shire . . . . . . .
. W erribee Shire . . . . . .
THIRD PART.
. .
. .
. .
. . ..
..
. .
. .
. .
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. .
. .
. .
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. .
. . ..
. The purchase or acquisition by the State Rivers and Water Supply Commission of movable
1
plant and machinery to be engaged on the construction and maintenance of works by the Commission . . . . ..
FouRTH PART.
River Murray Waters Acts-Works mentioned in the agreements ratified by the River Murray Waters Acts and other works which may he constructed under the agreements ratified by the said Acts . . . .
2. Bet Bet Shire (Dunolly Water Supply) 4. Korong Shire . . . . . .
THIRD PART.
1. The purchase or acquisition by the State Rivers and Water Supply Commission of movable plant and machinery to be engaged on the construction and maintenance of works by the Commission ..
Expenditure. --During the Year. To 30th June, 1943,
1 2
3 4
5
6 7
8
. For State Schools (Primary Schools) . . . . ..
. For Technical Schools, Higher Elementary Schools, and High Schools . . . . . . .. . . . .
. For and towards the erection of new buildings, &c., University
. Improvement of, and making accessible, places of interest, tourists' resorts, &c. . . .. . . . . . .
. Buildings, sewerage, &c., at Agricultural Colleges, Dookie and Longerenong .. . . . . . . .. ..
. Murray River bridges .. . . . . . . . . For relief works for unemployed persons-Commonwealth
Government having agreed to contribute an equal amount Maffra Beet Sugar Factory .. . . . . . .
-----£ 8. d. £ 8. d.
. . 398,468 12 1
. . 100,000 0 0
.. 19,999 11 9
. . 49,735 16 8
. . 14,487 0 3
. . 35,000 0 0
.. 70,000 0 0
. . 3,664 0 0
.. 691,355 0 9
DETAJLS OF EXPENDITURE UNDER ACT No. 3373 .
.Expenditure. -
During the Year. To 30th June, 1943,
£ 8. d. £ 8. d. 1. Schools-For purchase of land, for erection and remodelling
of buildings, &c.-(a) Primary Schools .. .. .. .. . . 299,798 18 2 (b) Technical, Higher Elementary, and High Schools .. .. 300,000 0 0
2. Road Works-State's proportion of expenditure on roads con-structed under the Commonwealth Main Roads Development Act 1923 . . .. . . . . . . . . .. 90,000 0 0
3. For the purchase and supply of wire-netting .. .. .. . . 49,631 8 7 4. Erection of buildings for treatment of Mental Defectives,
Janefield, or elsewhere .. .. .. . . . . 7,062 7 7 5. For purchase of dredge .. .. .. . . . . . . . .
.. 746,492 14 4
DETAILS OF EXPENDITURE UNDER ACT No. 3335.
Expenditure. --
Durlug the Year. To 30th June, 1943,
£ 8. cl. £ s. d. 1 State Schools (Primary Schools), and Teachers' College, Carlton .. 485,098 1 9 2. Technical Schools, Higher Elementary Schools, and High Schools .. 99,527 15 1 3. Purchase of property for Immigration and Intelligence Bureau .. 20,000 0 0 4. Advance to ·the Royal Agricultural Society of Victoria for the
purpose of erecting an Industrial Hall . . . . . . .. 10,000 0 0 5. Advance to the Zoological Board of Victoria for improvements
at the Board's Gardens, Royal Park . . . . . . .. 10,000 0 0 6. Remodelling of Penal Establishment, Pentridge .. .. . . 46,666 18 11 7. Mental Hospitals, and for payment (part) to Commonwealth
Government for buildings at Mont Park .. .. . . 98,215 19 9 8. Maffra Beet Sugar Factory-Remodelling, &c. .. .. . . 65,860 5 8 9. Border Railways Ad 1922-In connexion with bridges over the
River Murrav .. . . .. . . .. . . 130,015 16 4 10. Erection of ne~ Police Depot .. .. .. .. . . 25,000 0 0 11. Road Works-Roads constructed under the Commonwealth
M a in Roads Development Act 1923 .. . . . . . . 90,000 0 0 12. Additions to Titles Office .. .. .. .. .. . . 22,216 2 2 13. Erection of new buildings, &c., at the University of Melbourne .. 45,792 9 6 14. Additions and improvements to the Public Library Museums
and National Gallery of Victoria .. .. .. . . 50,000 0 0
.. 1,198,393 9 2
Authority.
£ 8 • cl. 400,000 0 0
lOO,OOO 0 0 20,000 0 0
50,000 0 0
15,000 0 0 35,000 0 0
70,000 0 0
J 4,000 0 0
694,000 0 0
Authority.
£ 8, d.
300,000 0 0 300,000 0 0
90,000 0 0 50,000 0 0
10,000 0 0 5,000 0 0
755,000 0 0
Authority,
-· £ 8. d.
500,000 0 0 100,000 0 0 20,000 0 0
10,000 0 0
10,000 0 0 50,000 0 0
100,000 0 0 66,000 0 0
148,000 0 0 25,000 0 0
90,000 0 0 25,000 0 0 60,000 0 0
50,000 0 0 -
1,254,000 0 0
131
FINANCE, 1942-43,
PUBLIC WORKS.
DETAILS OF EXPENDITURE UNDER APPLICATION ACT No. 3!71).
Expenditure Defrayed from Loan. Total - Expenditure to 30th Authority. Act No. 340:1. Act No. 3474. June, 1943.
£ s. d. £ s. d. £ s. d. £ 8. d. 1. Schools: Primary, Technical,
Higher Elementary and High Schools .. . . 25,260 14 6 474,739 5 6 500,000 0 0 500,000 0 0
2. For erection of courts and offices (including equipment for the High. Court of Australia in Melbourne) .. . . 29,982 2 0 13,532 7 10 43,514 9 10 45,000 0 0
3. Ma:ffra Beet Sugar Factory .. 33,266 4 7 71 10 7 33,337 15 2 34,000 0 0 4. For completion of additions to
the Titles Office, Melbourne .. 24,674 5 10 24,674 5 10 25,000 0 0 5. Advance to the Zoological
Board of Victoria for improvements at the gardens at Royal Park, Melbourne .. 3,946 0 0 11,054 0 0 15,000 0 0 15,000 0 0
6. For the purchase and supply of wire-netting .. . . 36,640 5 10 13,359 14 2 50,000 0 0 50,000 0 0
129,095 611 537,431 311 666,626 10 10 669,000 0 0
DETAILS OF EXPENDITURE UNDER APPLICATION ACT No. 3423.
3. Mental Hospitals, and for balance of amount due to CommonwE'alth Gov-emment for buildings at Mont Park •• •• 49,131 0 0 .. .. . . 4,940 9 7 12,336 11 9 66,408 1 4
(Authority £75,000) '· Improvements of and
making accessible places of interest, tourists' re-sorts, and the like .. . . .. .. . . .. .. . .
(Authority £5,000) IS, Road Works-Roads con·
strnoted under the Com-monwea.Jth Act known as the Jla&'ll Boa4l DeN'l--.pmem.A.dl923-1925 .. 115.000 0 0 10,000 0 o• . . .. 215,000 0 0 . . 90,000 0 0
I EXpelldlt~~te. -- Authority. During .the Year. To 80th June,
1943.
£ s. ·l £ 8. d. £ s. d. I. Schools: Primat·y, Technical, Higher Elementary and High Schools .. 299,750 12 0 300,000 0 0 2. Towards erection of Public Offices, Melbourne .. . . . . .. 25,000 0 0 25,000 0 0 3. For erection of Police Buildings or additions .. . . . . . . 49,911 12 8 50,000 0 0 4. Border Railways Act 1922-Bridges over the River Murray . . .. 13,106 17 4 21,000 0 0 5. For relief of Unemployment-Road works in country districts . . .. . . 16,000 0 0 6. Additions and improvements to the Public Library, Museums, and
National Gallery of Victoria .. . . . . . . . . 18,539 210 19,403 0 0 7. Advances to fruit-gi'Owers (to be repaid with interest) . . .. . . 22,973 0 0 22,973 0 0 8. Advances to sawmillers (to be repaid with interest) . . .. . . 19,722 7 2 19,724 0 0 9. Advance'! to the Geelong Harbor Trust Commissioners for construe-
1. For the erection of new buildings and the extension of existing buildings and the provision of furniture, fittings, and equip-ment for the purposes of extending accommodation for patients under the Lunacy Acts and permitting the closing of the Mental Hospital at Kew, and for any expenditure incidental
r Defrayed from State Loans . Repayment Fnnd . - Authority.
During the Year, Total.
£ 8. d. £ s. d. £ a. d.
1. Schools: Primary, Technical, H;igher Elementary and H;igh .. .. 150,000 0 0 150,000 0 0 2. Towards the erection and the remodelling of Police Read quarters, I
Russell-street, Melbourne . . . . . . . . I 20,000 0 0 20,000 0 0 .. l
3. For the erection of, additions to, and remodelling of other Police Buildings . . . . . . . . .. . . . . 24,267 711 25,000 0 0
4. For the erection of, additions to, and remodelling of Court Rouses .. 15,000 0 0 15,000 0 0 5. For the purchase and supply of wire netting . . .. 66 11 0 12,838 12 1 15,000 0 0
66 11 0 222,106 0 0 225,000 0 0
DETAILS OF EXPENDITURE UNDER ACT No. 4609.
Expenditure. Discount - and Authority.
During the Year. To 30th June, 1943. Expenses.
For the Financing of the Construction, Establishment, £ 8. d. £ 8. d. £ 8. d. £ 8. d. Development and Maintenance of Tourist Resort Areas, Tourists' Resorts, Tourists' Roads and other Tourist Facilities and for other purposes 592 12 8 10,770 10 6 97 9 9 100,000 0 0
DETAILS OF EXPENDITURE UNDER ACT No. 4722.
Expenditure.
I Discount and Authority.
During the Year. To 30th June, 1943. Expenses.
£ 8. d. £ 8. d. £ 8. d. £ 8. d. For deferred maintenance and renewal works in :
connexion with Primary Technical Higher Ele- , menta.ry and High Schools .. . . .. I .. 67,000 0 0 338 0 4 100,000 0 0
134
FINANCE, 1942-43.
PUBLIC WORKS. DETAILS OF EXPENDITURE UNDER ACT No. 4670.
Schools : Primary, Technical, Higher Elementary and High . . . .
For the purchase and supply of wire netting . . .. .. ..
For the erection, &c., of police buildings For the erection, &c., of courthouses .. For the erection, &c., of buildings under
the control of the Children's Welfare Department . . . . . .
For the erection, &c., of mental hospitals For the erection, &c., of buildings for
treatment of mental defectives .. For the purchase of land for an Ex-
plosives Reserve at Truganina .. For the erection, &c., of new Public
Offices at Ballarat . . . . Towards the cost of additions and
improvements, &c., to the Public Library, Museums and National Gallery of Victoria . . . . . .
Towards the cost of additional accommodation, &c., at Greenvale Sanatorium . • . . .. ..
For the erection, &c., of a new Stamp Duties office at Melbourne . . . .
Towards the cost of State Coal Mine developmental works, &c., in Kirrak area .. .. .. ..
Towards the cost of erection, &c., of new Public Offices at Melbourne ..
Expenditure during the Year-
•
From Loan.
£ 8. d.
0 0 9
0 0 9
From State Loans Repayment
Fund.
£ 8. d.
275 12 7
275 12 7
Total Expenditure to
30th June, 11!43.
£ 8. d.
160,000 0 0
6,960 13 10
5,137 13 9 35,000 0 0
20,000 0 0
8,649 19 3
28,000 0 0
7,277 12 4
12,500 0 0
59,485 2 0
343,011 1 2
Discount and Expenses.
£ 8. d.
163 15 5
514 18 0
678 13 5
DETAILS OF EXPENDITURE UNDER ACT No. 4763. EXPENDITURE TO 30TH JUNE, 1943.
Expenditure during the Year-
I I
Total Discount and From State • Expenditure to Expenses. From Loan. Loans Repayment ' 30th June, 1943. Fund.
£ 8. d. £ 8. d. £ 8. d. £ 8. d. Schools: Primary, Technical, Higher
Elementary and High .. .. . . 43,969 611 100,000 0 0 .. For the erection, &c., of Mental
Hospitals .. .. .. .. .. 12,174 1 5 53,062 1 0 . . For the erection, &c., of buildings for
mental defectivea .. .. .. . . 2,288 0 10 17,990 3 5 .. For the erection, &c., of new Public
Offices at Ballarat .. .. .. . . 2,000 0 0 . . Towards the cost of additional accom-
modation, &c., at Green vale Sana-torium .. .. .. .. . . .. 25,000 0 0 ..
Towards the cost of State Coal Mine developmental works, &c., in Kirrak area .. .. .. .. 4,453 15 8 .. 9,490 19 8 125 18 5
Towards the cost of erection, &c., of Police Headquarters, Russell-street, Melbourne .. .. .. .. 14.985 18 6 80,000 0 0 . .
For the erection, &c., of additional accommodation at Gresswell Sana-torium .. .. .. . . .. 4,000 0 0 ..
Towards the cost of erection, &c., of Infectious Diseases wards at Geelong, Bairnsdale, Omeo, and Warragul Hospitals .• .. .. .. .. 211 8 6 15,453 7 1 ..
For the construction of an explosives lighter .. .. .. .. .. .. 10,000 0 0 . .
For the construction of a new hull for a dredge .. .. .. .. .. .. .. ..
Towards the cost of lowering and dupli-eating the Hobson's Bay Main Sewer .. .. .. ..
For the erection, &c., of buildings at Longerenong and Dookie Agricultural
I
20,200 0 0 Colleges .. .. .. .. .. .. . . Towards the cost of additions, &c., to
Taxation Offices, Melbourne .. .. .. 6,800 0 0 ..
I
4,453 15 8 I 73,628 16 2 343,996 11 2 125 18 5
Authority.
£ s. d.
160,000 0 0
15,000 0 0 20,000 0 0 12,000 0 0
10,000 0 0 35,000 0 0
20,000 0 0
9,000 0 0
28,000 0 0
7,500 0 0
12,500 0 0
11,000 0 0
60,000 0 0
10,000 0 0
410,000 0 0
Authority.
£ 8. d.
100,000 0 0
65,000 0 0
19,000 0 0
2,000 0 0
25,000 0 0
44,000 0 0
80,000 0 0
4,000 0 0
18,000 0 0
10,000 0 0
50,000 0 0
5,000 0 0
20,200 0 0
6,800 Q • 449,000 Q 0
135
FINANCE, 1942-43.
PUBLIC WORKS.
DETAILS OF EXPENDITURE UNDER ACT No. 4845.
EXPENDITURE TO 30TH JUNE, 1943.
I Defrayed from State Loans Repayment Fund.
i Authority,
I During the Year. Total.
l £ s. d. £ s. d. £ s. d.
Schools, Primary, Technical, Higher Elementary, and High •• 53,035 18 9 53,035 18 9 100,000 0 -()
For the erection, &c., of buildings under the control of the Children's Welfare Department . . . . . . .. . . 5,000 0 0
For the erection, &c., of mental hospitals . . .. . . . . 20,000 0 0
Towards the erection, &c., of Police Head-quarters, Russell-street, Melbourne . . . . .. . . . . 9,474 1 1 9,474 1 1 20,000 0 0
For the erection, &c., of buildings for the treatment of mental defectives .. . . . . . . . . . . . . . . 10,000 0 0
For the erection, &c., of buildings at Gresswell Sanatorium .. 649 19 2 15,000 0 0 15,000 0 0
Towards the cost of additional accommodation, &c., at Greenvale Sanatorium .. . . . . . . . . .. 11,681 10 5 18,701 15 10 20,000 0 0
Towards the cost of erection, &c., of new Public Offices at Ballarat . . . . . . . . .. . . 2,384 15 1 3,946 2 9 4,000 0 0
Towards the cost of additions, &c., to the Taxation Offices, Melbourne . . . . . . . . . . . . .. 5,000 0 0 5,000 0 0
For the State's proportion of advance for development of Lakes Entrance Oil Field . . . . . . . . . . .. . . 16,667 0 0
For the erection, &c., of buildings comprising hospitals and other institutions registered under the Hospitals and Charities Act .. 96,000 0 0 96,000 0 0
Grant towards cost of additions, Ballarat District Benevolent Home . . .. . . . . . . . . . . 15,000 0 0 15,000 0 0
Advance to the Geelong Harbour Trust Commissioners towards cost of extensions Corio Freezing Works (to be repaid) .. .. 35,000 0 0 35,000 0 0
Grant to University of Melbourne for extensions to Natural I Philosophy School Laboratory .. . . . . . . 2,000 0 0 2,000 0 0
For the erection, &c., of buildings at Longerenong and Dookie Agricultural Colleges .. . . . . . . .. . . 5,250 0 0 5,250 0 0
For purchase of new machinery, Government Printing Office .. 99 5 0 19,780 16 2 20,000 0 0
For the erection, &c., of Courthouses . . . . .. . . . . 5,000 0 0
For the erection, &c., of new Public Offices at Benalla .. . . . . 16,000 0 0
77,325 9 6 278,188 14 7 409,917 0 0
136
FINANCE, 1942-43.
GRAIN ELEVATORS' BOARD. DETAILS OF GOVERNMENTAL EXPENDITURE UNDER ACT No. 4379, ETC.
Expendlture-Discount and
During the Year. To 30th June, 1943. Expell8e8.
£ 8. d. £ 8. d. £ 8. 1. To provide for the handling of Grain in
bulk by means of the Elevator I System and for other purposes .. . . 1,000,000 0 0 11,611 16
HOUSING COMMISSION. DETAILS OF EXPENDITURE UNDER ACT No. 4345.
EXPENDITURE TO 30TH JUNE, 1943.
Defrayed ftom State Loans Repayment Fund.
Authority.
d.
I £ 8.
1 I 2,5oo,ooo 0
Authority.
d.
0
1. For the erection of houses and any expenditure incidental thereto I
During the Year. I Tot&!.
£ s. d.,·--£--8-.-d-.-;--£--8.-d-.
30,000 0 0 30,000 0 0
DETAILS OF GOVERNMENTAL EXPENDITURE UNDER ACT No. 4531, ETC.
Expendlture-Discount and Authority.
During the Year. To 30th June, 1943. Expenses.
£ s. d. £ s. d. £ 8. d. £ 8. d. 1. For t~e. purposes of the Housing Corn-
STATE FORESTS. DETAILS OF EXPENDITURE UNDER ACT No. 4632.
I Expenditure during the Year-i Total Expendlture Discount and - to 30th June, Expenses. Authority. . From State Loans 1943 . From Loan. Repayment Fund.
£ 8. d. £ 8. d. £ 8. d. £ s. d. £ 8. il. To authorize and make Provision with
respect to Timber Salvage Opera-tions in State Forests destroyed
41458,134 or damaged by Bush Fires .. 6,965 15 0 152,212 4 1 8 1,697 16 11 475,000 0 0
DETAILS OF EXPENDITURE UNDER ACT No. 4754. EXPENDITURE TO :iOTH JUNE, 1943.
Defrayed from State Loallll Repayment ]'und.
- Authority. During the Yell.!'. Total.
£ 8. d. i £ s. d. £ s. d. 1. For the systematic improve~ent . and development . of
indigenous State forests, mcludmg surveys, clearung, and fire protection, and the acquisition of lands bearing any of the pri~cipal kinds of na~ive tree~ ; and for the
100,000 0 0 100,000 0 0 seasoning, testmg, and preservation of timber generally .. 2. For work in plantations of softwoods and hardwoods .. 8,429 13 4 50,000 0 0 50,000 0 0
8,429 13 4 150,000 0 0 150,000 0 0
137
STATE FoRESTS-----continued.
DETAILS OF EXPENDITURE UNDER ACT No. 4835.
EXPENDITURE TO 30TH JUNE, 1943.
Defrayed from State Loans IWpayment Fnnd.
Authority. - --···
During the Year. i Total.
L For the systematic improvement and development of indigenous £ 8. d. £ 8. d. £ 8. d. State forests, including fire protection, cleaning and surveys, and the acquisition of lands bearing any of the principal kinds of native trees; and for the seasoning, testing, and preservation of timber generally . . . . , . 45,440 13 lO 88,718 2 8 150,000 0 0
2. For work in plantations of softwoods and hardwoods , , 4,422 16 4 4,422 16 4 50,000 0 0
49,863 10 2 93,140 19 0 200,000 0 0
DETAILS OF EXPENDITURE UNDER ACT No. 4933.
EXPENDITURE TO 30TH JUNE, 1943.
I Defrayed from State Loans
Repayment Fund. Authmity.
During the Year. Total,
£ 8. d. I
£ 8. d. £ 8. d. For the systematic improvement and development of indigenous
State Forests, including fire protection, cleaning and surveys, and the acquisition of lands bearing any of the principal kinds of native trees ; and for the seasoning, testing, and preservation of timber generally ; and for the carrying out of operations for the utilization of fire-killed timber and other timber in State forests including any work or works necessary for or necessarily incidental to the carrying out of any such operations , . .. . . , . . . 98,887 14 6 98,887 14 6 200,000 0 0
139
FINANCE, 1942-43.
LOANS TO CHARITABLE INSMUTIONS TO 30th JUNE, 1943.
Deduct The Liability at Outstanding, 3oth June, 1943.
PUBLIC WoRKS DEPARTMENT-Aircraft Landing Ground . . Albert Park .. . . . . Children's Welfare Depot .. Dookie Agricultural College . . Drainage Works .. . . Fisherman's Bend Housing Scheme Flood Damages Restoration . . Foreshore Works .. . . Geelong Public Offices . . . . Longerenong Agricultural College Mental Hospitals-Sewerage .. Miscellaneous .. . . . . Roads and Bridges . . . . State Schools . . .. . . Tourist Resorts .. . . Wharfs, Jetties, &c. .. Y arra Boulevard .. . . Yarra Bend National Park . . Zoological Gardens .. .. Total, Public Works Department .. AILWAYS DEPARTMENT . . . . R
s TATE CoAL MINE . . . . s TATE RivERS & W. S. CoMMISSION ..
G
L
Flood Damages Restoration .. Koo-wee-rup Drainage . . . . Total, State Rivers & W. S. Commission
Total Grants to Departments, &c.
RANTS TO VARIOUS PUBLIC AUTHORITIES-
OCAL GovERNING BoDIES-Ararat Borough Council . . Ballarat Water Commissioners . . Bet Bet Shire Council-
Dunolly Water Supply .. Tarnagulla Water Supply . .
Chiltern Shire Council . . . . Clunes Borough Council .. . . Creswick Shire Council .. . . Korong Shire Council (W edderburn
Water Supply) .. Mildura Urban .. . . • . . Sale Town Council . . . . Stawell Borough Council . . Talbot Shire Council . . . . Warrnambool City Council .. Werribee Shire Council .. . . Total, Local Governing Bodies-
Carried forward .. . .
1 3 . .
78 5 0 . . ..
-· -----
78 5 0 ~----~·-·-
..
. .
. .
. .
. .
..
. .
. .
. .
. .
. .
. .
..
. .
. .
. .
. .
..
. .
. .
..
. . 472 0 8 . . ..
472 0 8
570 811
. .
. .
92 12 6 . . . . . . . .
400 0 0 .. . . . . . . . . . .
~----492 12 6
• Includes amount of £8,fi00 formerly shown as River Murray Works. area, State Coal Mine, Wontbaggl.
Expenditure to 30th June, 1943.
I Allocation. Defrayed from Loan Defrayed from State 1
• Reduood from £3,000; amount of £46 1111. 6d. now allocated to Public Works Department for Drainage Works (McLeod's Morass). t Includes £2,500 of sum of £5,000 formerly a.lloeated to Alex.andra Hospital on basis of one-third Grant two-thirds Loan and now re-a.llocatlld to Bairnedale
Hospital as Grant £2,600 and Loan £2,600.
142
FINANCE, 1942-43.
UNEMPLOYMENT RELIEF LOAN EXPENDITURE AND ALLOCATIONS-continued.
996,481 • .Formerly ahow.n. aa Grant to Mines Department.--t Formerly ahown aa Closer Settlement Commlllalon.--; lncludea £2,500 of sum of £1i 000 fOrmerly
·~Uocated to Aleu.ndra H011pltal un baala of' --third Gmnt, two-thlrdl Loan and now re-&lloeated to B&lrliJidala Hoapltal aa Gmnt £2,500 and Loan b 500 __ 1 ;1.Ul!ti11 H011pltal reduced from £60,000 : amouat of £260 now aJio<lated to AJfted Hoapltal. • ·
145
FINANCE, 1942-43.
UNEMPLOYMENT RELIEF LOAN EXPENDITURE AND ALLOCATIONS-continued.
-
LOANS TO V Alt!OUS PUBLIC AUTHORITIES--(l()ntinued.
Brought forward . . . .
DA YLESFORD HEPBURN SPRING pARK OMMITTEE TERX~cK PARK CoMMITTEE . .
HIBITION TRUSTEES .. . . c
ELS Ex FIR ME
ST MII.DURA IRRIGATION TRUST •. LBOURNE AND METROPOLITAN OARD OF WORKS . . ING COMPANIES-
----------i---------1------------------------------i-----------------------206,468 o n 39,758 o 5 723,415 13 3 1 165,869 1s 8 ts57,545 14 1 189 a 1 179 n 1 368 14 8
STATEMENT, 1926-27, Page 147,
FINANCE, 19!2·-13.-7348.-17
152
Fl.NANOE, 1942-43.
LOANS TO CORPORATIONS FOR MALLEE TANKS TO 30TH JUNE, 1943 ; INTEREST AND REDEMPTION OUTSTANDING ON SAME DATE.
ALSO
Deduct Deduct OUTSTAN!)ING, 30TH JUNE., 1943. Redemption Liabilities Liability transferred to Name. Total Advancee. Contribution• State Rivers to State at
paid Into and Water Supply 3oth June, 1943. Interest. Redemption. Total. Treasury. Commission. -
Advances completed-For de. £ 8. d. £ 8. d. £ 8. d. £ 8. d. £ 8. d. £ B. d. £ 8. d. tails aee Finance Statements, 926-27, pages 149-150, and
LOANS TO WATERWORKS TRUSTS FOR WATERWORKS TO 30TH 1943; ALSO INTEREST AND REDEMPTION OUTSTANDING ON SAME DATE.
: ;
GROSS LL!BIL1TY LUBILl!'Y TO STATE OUl'Sl'A.NDING, 30TH JUNE, 194~.
---
I I .it.:id LiabitltiRt> ,
Deduct R.e..teruptlon
I ~~r~:r~{~t: .I transferred from State Contributions paid .ADVA.NOBB FB:OJI- ;Rivers and Water Supply in to Treasury. Uability (If no But as Actsl62D, The Llahility at
Interest
I Tota.l. !Commission, Local Bodies TotaJ Advances. tra.nsfeu or writing 4175 &11d 4176 30th .r nne, 1943. Interest. Bedomptl.on. Total.
O&plt&Uzed. and other Waterworks off), wrote otf- 18u~lt\;;;i,;'i~£;.nd stovd at-
Loan Funds. I 8urplua Revenue. rJ.'rusts on account of
; Works taken over.
8. d. I
------ -· I £ ~. a. £ 8. d. £ £ s. d. £ 8. d. i £ 8. d . . £ s. d. £ 8. d. £ s. d. l £ 8. d. £ 8. d. £ 8. d. £ 8. d. £ s. d.
• Liability tra~sferred to State Rivers and Water Supply Commission as from__lst January, 1937.-Kyabram Waterworks Trust, £270.-Loddon United Waterworks Trust, £615 Ss. ld.-Numurkah Shire Waterworks Trust, £63 2s. 4d.-Tungamah Shire Watei"Works T':llst_. _£221.-Liability transf~rred to State R1vers and Wate~ S_upply Commission as from 1st January, 1940.-Loddon United Waterworks Trust, £580 17s. 7d.-Liability transferred to State Rivers and Water Supply Commission as from 1st July, 1940-'!ungamah Shire Waterworks Trust, £719 16s. 9d --L1ah1hty tran,ferred to ~taLe nlvers and Water Supply Comm1sswn from 1st July, 1941.--CMrum Waterworks Trust, £24,576.-Kara Kara Shire Waterworks Trust, £64 3s. ld.--Numurkah Shire Waterworks Trust, £83 13s. 9d.--Tungamah Sh1re Waterworks Trust, £4 4s. 11
t Liability transferred from State Rivers and Water Supply Commission as from 1st January, 1938.-Shepparton Urban Waterworks Trust, £226 7s. 2d.-Swa.n Hill Waterworks Trust, £43 Ss.-Liability transferred from State Rivers and Water Supply Commil18ion as from 1st January, 11140.-Swan Hill Waterworks Trust, £88 6s. Sd --LirLhility transferred from State Rivers and Water Supply Commission a.s from 1st July, 1941.-Shepparton Urban Waterworks Trust, £161 7s. 5d.
FI!{ANCE, 1942-43.-7348.-19 For other notes 11ee Finance 1925-26, page 161, 1927-28, page 149, and 1935-36, pagefl 133-134
~ ji ...... (0
~ I
,;.. ~
1 ~
~
~ 0
FINANCE, 1942-43.
ADVANCES TO COMPANIES TO 30TH JUNE, 1943, FOR DEVELOPMENT OF MINING.
East D~ncaster Co-op~rative Cooi' Stores Soel~ty Ltd.
Harcou;t Co-operativ~' Cool Stores'Ltd.
Hastin;;s and Distriet eo:~pera.tiv~ Cool Stores Lid.
" Maryb~~ough and Distri~t Co-oPerative c~'ol Stores Ltd.:
(now defunDt) Deduct
Maryborough District Cool Stores and Ice Works Ltd. (in Liquidation)t
Pakenha.;; Uppe;'Fruit C~. Ltd.{Defunct)§ Red Hill Co-operative Cool Stores Sooiety Ltd. . •
Shepparton Fruit Preserving Co. Ltd. Templestowe Cool Stores Pty. Ltd.
Tyabb 'co-oper~tive Tr~ing a~d Cool Stores Ltd.
Wanti~a Co-o~erative'cool St;;res Ltd. ..
• f,>~n• to lllaryborough and District Co-<>peratlv~ Cool Stores I.td. (now defunct). Total amount advaneed-(For detalll! of lOAns see Finance 1930-11131)
.Redeemed as follows:-Repaid by the Company .. .. • • • • .. .. Provided out of Revenue to reeoup Redemption Fund • • • • L\abill'y taken over by the Maryborough District Cool Stores and Ice Works Proceeds of Liquidation ••
Loan and Revenue Advancee.
£ 8, d. 9,406 0 10
16,07li 18 10
10,803 14 3
290 0 0 400001
10,~- 0 0 .
16,147 19 9
12,729 0 0 14,400 0 0
1,700 0 0 10,451 15 8
368 9 0 4,000 0 0
*17.974 17 10
10,000 0 0
7,974 17 10 t16,000 0 0
14,043 9 7
5,500 0 0 16,499 16 2
51,663 I 4 9,249 0 8
5,000 0 0
19,496 12 4
252,199 16 3
Interest Capitalised.
£ 8. d.
1,423 0 0
1,263 13 l
1,335 17 4
1,014 9 6 156 7 11
938 1 10
2,146 5 5
335 6 9
1,221 10 6
690 7 2
2 012 19 6
1
5
13 6
2 0
£17,074 17 10 £ •• d.
2,080 16 1 3,375 13 2
•• 10,000 () 0 .. 2,618 8 7
£17,97' 17 10
RATES OF INTEREST.-Ail rates In exooas of 4% reduced to 4% aa from 1st July, 193!>. see Finance 1933/4.. ~ogee 135-136.
t The liability of this Company is made up as folloft :-£10,000 taken over from Maryborougil an•i Dis~rict, Oo-oporative Cool Store. Ltd (now defunct). £6.000 advanced from Revenue. Division No. liO, of 1924-25 .
:;: 'fhe Company bas ceased business, and the asset5 are now beiug realized ..
i Pakenham Upper Fruit Co. Ltd. (Defunct)-Total Advances-<For dBtails of loans see Finance 1930-31 J State Loans Repayment Fund recouped as foUows :-
Repaid by Company •. Net Proceed• of Liquidation • • . . • . Provided from Revenue I Division 4.8-14 of 11131-321
.. £6,600 0 0
£2,621 18 1 1,167 1() 2 1,720 11 ()
£5.500 () 0
!:1;1 FINANCE, 1942-43.
~ LOANS TO CO-OPERATIVE COMPANIES TO 30TH JUNE, 1943. ALSO INTEREST, AND REDEMPTION OUTSTANDING ON SAME DATE. ~ MEAT FREEZING COMPANIES, ETC., UNDER THE PROVISIONS OF PRIMARY PRODUCTS ADVANCES ACT 3038-3068 (Act 3777 of 1928). ...... <Z> .... r,.:)
I .... eo:> .I -.;)
Name.
~ Ballarat and District Co-gperative Freezing Co. Ltd. ~ I , , , , ~ Donald Inland Freezing Co. Ltd.
:-la le "oistrict" Co-ope~~tive B~tter and Cool Storage Tongala Co-operative Fruit Processing Co. Ltd. (Defunct) :j: Victorian Co-operative Freezing Co. Ltd.
Vict~~ian Orch~rdiBts' c~'-operativ~' Association Ltd. (Defunct) t Western and l\Iurray Co-operative Bacon and Meat Packing Co. Ltd.
Wim'~em I~land F;~ezing C~. Ltd.,(Defun~t) *
Totals
t For details of liquidation of these loans see Finance 1938-39, page 152. * For details of liquidation of this loan see Finance 1941-42, page 160.
Loan Advances.
£ 8. d. 60,000 0 0
8,000 0 0 5,000 0 0
55,000 0 0 !
25.590 5 0 10,999 18 ll -2,000 0 0
00,000 0 0 ' 7,500 0 0
21,564 6 3 30,000 0 0
5.500 0 0
331,154 10 2
Amount Repaid, &c.t Balance at 30th June Due and Outstanding at 30th June, 1943 .
1943. ,
£ 8. d. 60,000 0 0
8,000 0 0 5,000 0 0
55,000 0 0 25,590 5 0 10,999 18 ll
2,000 0 0 60,000 0 0
7,500 0 0 21,564 6 3
4,092 5 9 5.500 0 0
i '---------1 I 305,246 15 ll I
£ 8. d.
25,907 14 3 00
00
I 25,907 14 3
Interest. Redemption .
£ 8. d. £ 8. d.
582 18 6 00 00
I .. .. I I I
582 18 6 00 I I
Total Advances. Repaid.
£ 8. d. £ 8.
t Ballarat and District Co-op. Freezing Co. Ltd . .. 73,000 0 0 8,ooo· 0 16,361 18 Donald Inland Freezing Co. Ltd. .. • 0 80,590 5 0
£ 8. d. 141,680 ll 9 22,445 2 2 16,971 17 0 18,746 14 6 41,439 9 s
241,283 15
Amount Repaid, &c.
£ 8. d. 9,750 ll 5
41,439 9 8
51,190 1§
I Amount Written Off. (Act 4927, Sec. 10.) Balance at 30th June, 1943. •
l £ 8. d. £ 8. d. 131,930 0 4
22,445 2 2 16,971 17 0 18,746 14 6
190,093 14 0
Of this amount, £6,924 was repaid from the proceeds of the realization of the assets of the Wimmera Inland Freezing Co. Ltd.-the balance (£44,266 1s. 1d.) represents amounts writ~en off as a result of the realization.
Note.-Rates of Interest-All rates in excess of 4! per cent. were reduced to 4! per cent. ae from 1st July, 1934. For previous rates, see Finance 1933-34, page 137.
·t--' ~ 0
161
FINANCE, 1942-43.
VICTORIAN GOVERNMENT STOCK.
MELBOURNE REGISTER.
Stock inscribed on 30th June, 1942
Issues during 1942-43-
Under Act No. 2026
" ,,
" "
4789
4838
Deduct Stock Redeemed during 1942-43
Total Stock inscribed on 30th June, 1943
£ s. tl.
4,781,100 18 4,
300,500 f) • 49,154 6 8
Stock unsold on 30th June, 1943, being balance of authority under Acta Nos. 2308, 3662; 2635, 2895, 3235, 3662/3255, 3335, 3373, 3488, 3474, 3515, 3558, 8564, 3609, 3828, 3920, 3934, 4338;4588, 4379, 4512, 4531, 4609, 4632, 4670, 4722, 4763, 4789, 483~, and 4845
£ s. d.
109~074 7 4
5,130,755 0 0
115,002,829 7 4
6,610,940 13 4
108,391,888 14 0
14,442,421 17 9
----------------------·--------·--~-
FINANCE, 1942-4:3.
VICTORIAN GOVERNMENT STOCK.
Stook, Debentures and Bonds authorized under Acts Nos.1562, 2026, 2167, 2428, 2629, 2916, 3189, 323."3, 3274:, 3345,3446, 3476, 3505, 3534, and 3551 . . . . . .
Less Debentures redeemed to 30th June, 194::1 .. Less Stock under Acts Nos. 24:80, 2530, 3124, 3233,
3274, and 3345 redeemed to 30th June, 1943 .. Transferred to Melbourne Register, Acts Nos. 2026, 2428,
2480, and 3233 ..
Stock authorized under Act No. 1560, 3 per oent. Less redeemed to 30th June, 1943 . • £167,286 8 6 Transferred to Melbourne Register . • 262,567 14 9
Stookauthorized under .ActNo.l560, 3iPer oent. Less redeemed to 30th June,l943 • . £188,468 18 4 Transferred to Melbourne Register • • 232,462 4 4
Stock authorized under .ActNo.l560, 4 per cent. Less redeemed to 30th June, 1943 Trauferred to Melbourne Register
£60,000 0 0 20,300 0 0
LONDON REGISTER.
£ s. d. £ 8. d.
103,608,770 9 2 41,968,870 I 3
12,997,500 0 0
115,284 2 2 55,081,654 3 5
48,527,116 5 9
£4:,600,000 0 0
429,854 3 3 4,170,145 16 9
£4,976,476 6 7
420,931 2 8 4,555,545 3 11
£1,000,000 0 0
80,300 0 0 919,700 0 0
Stock authorized under Aot N o.1560, 5 per cent. .. . . 20,753,025 2 1 Less redeemed to 30th June, 1943 • • 12,253,647 10 10 Transferred to Melbourne Register . . 124,200 0 0
12,377,847 10 10 8,375,177 11 3
66,547,684 17 8
Stock inscribed on 30th June, 1943-Under Act No. 1560, 3 per cent. . .