Legislative Document, Volume 2J.B. Lyon Company, 1942 |
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Hasil 1-3 dari 73
Halaman 96
... Redemption of Revenue Loans $ 54,011 70 $ 40 00 78,399 90 $ 54,011 70 $ 78,439 90 5,000 00 3,894 02 12,722 33 8,894 ... Redemption of serial bonds .. 120,620 42 Interest on debt .. 217,600 00 136,000 00 112,200 00 Highway Improvement ...
... Redemption of Revenue Loans $ 54,011 70 $ 40 00 78,399 90 $ 54,011 70 $ 78,439 90 5,000 00 3,894 02 12,722 33 8,894 ... Redemption of serial bonds .. 120,620 42 Interest on debt .. 217,600 00 136,000 00 112,200 00 Highway Improvement ...
Halaman 238
... Redemption of and Interest on Serial Bonds Barge Canal Terminals Redemption of serial bonds .. 120,620 42 120,620 42 Interest on debt . 217,600 00 217,600 00 Highway improvement Redemption of serial bonds . 307,137 86 Interest on debt ...
... Redemption of and Interest on Serial Bonds Barge Canal Terminals Redemption of serial bonds .. 120,620 42 120,620 42 Interest on debt . 217,600 00 217,600 00 Highway improvement Redemption of serial bonds . 307,137 86 Interest on debt ...
Halaman 408
... Redemption of temporary notes .. Redemption of debt . 268,988 08 76,488 91 1,739 20 General State Improvement Fund Lands , construction , etc ... 8,660,092 00 8,166,852 55 11,267,332 85 9,620,938 04 Redemption of temporary notes .
... Redemption of temporary notes .. Redemption of debt . 268,988 08 76,488 91 1,739 20 General State Improvement Fund Lands , construction , etc ... 8,660,092 00 8,166,852 55 11,267,332 85 9,620,938 04 Redemption of temporary notes .
Isi
General Balance Sheet Exhibit | 2 |
Exhibit | 13 |
Special Fundsconcluded Pages | 16 |
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Legislative Document, Volume 2,Masalah 7,Bagian 1-2 New York (State). Legislature Tampilan utuh - 1924 |
Istilah dan frasa umum
1939 and prior 1940 Available 1940 Cash balance 1940 Encumbrances 1940 Lapsed balances 1940 Principal collected Alfred University appropriations in force Auburn Prison available for immediate Balance of 1939 balance of appropriations BUDGET APPROPRIATION ACCOUNTS Canal Debt Sinking Capital outlays Cash balance beginning Cash balance end charges and contributions Cheektowaga Classified Schedule CONDENSED BUDGET APPROPRIATION continued Chapter number Debt Sinking Fund Division ended June 30 expenditures for fiscal expenditures Total appropriations fiscal year ended Fixed charges force July Fund appropriations July FUND CONDENSED BUDGET Grade Crossings Greenburgh Hudson River immediate expenditures Total investments purchased Irondequoit Jones Beach Maintenance and operation Monroe Nassau Normal School North Hempstead Oswego canals Park Personal service Premium on investments Receipts and expenditures Refund of expenses revenues Saratoga Springs therefrom during fiscal tions Balance tions Deduct expenditures tions in force Total appropriations credited treasury Triborough Bridge Authority Westchester Westchester county Whiteface Mountain York