clear space clear space clear space white space
A
 r c h i v e s   o f   M a r y l a n d   O n l i n e

PLEASE NOTE: The searchable text below was computer generated and may contain typographical errors. Numerical typos are particularly troubling. Click “View pdf” to see the original document.

  Maryland State Archives | Index | Help | Search
search for:
clear space
white space
Annual Report of the Comptroller, 1945
Volume 309, Page 6   View pdf image (33K)
 Jump to  
  << PREVIOUS  NEXT >>
clear space clear space clear space white space

6 REPORT OF THE COMPTROLLER OF THE TREASURY

The actual general funds revenues for the fiscal year
1945 were $29,742,128 70

I believe it would be interesting at this point to give you the fol-
lowing comparative figures, m totals, showing appropriations and
expenditures from general funds for operating expenses:

Appropriations general funds, fiscal year 1945 $26,876,430.00

Expenditures fiscal year 1945 $24,509,307.99
Obligated balances at the end of

the year 802,807.86
Reversions during year 1,564,314.15

Total $26,876,430.00

A summary of estimated general funds revenues and general funds
appropriations together with estimated reversions for the fiscal
years 1946 and 1947 is also submitted for comparison with the figures
submitted for the fiscal year 1945.

Estimated general funds revenues—Fiscal Year 1946 $28,737,265.69

Appropriations general funds, fiscal

year 1946 $31,270.468.00
Less estimated reversions 200,000.00

Net general funds appropriations $31,070,468.00
Estimated general funds re venues, fiscal year 1947 $30,553,357.71

Appropriations general funds, fiscal
year 1947 $32,420,887.00
Less estimated reversions 200,000.00

Net general funds appropriations $32,220,887.00

The excess of appropriations over estimated revenues is as follows:
Fiscal Year 1946 $2,333,202.31
Fiscal Year 1947 1,667,529.29

Total for the Biennium $4,000,731.60
This amount is to be provided from General Fund Surplus.

It is estimated that the surplus at the end of the current biennium,
June 30, 1947 will be $3,215,293.63. It is customary to reserve
$2,000,000.00 of the State's surplus as a working fund, so that the
excess of $1,215,293.63 in the estimated surplus at June 30,1947 may
be used by the Board of Public Works for either of the purposes indi-
cated in legislation enacted by the General Assembly at its 1945
Session, namely, for tax reduction or for transfer to the Post War
Construction Fund.

 

clear space
clear space
white space

Please view image to verify text. To report an error, please contact us.
Annual Report of the Comptroller, 1945
Volume 309, Page 6   View pdf image (33K)
 Jump to  
  << PREVIOUS  NEXT >>


This web site is presented for reference purposes under the doctrine of fair use. When this material is used, in whole or in part, proper citation and credit must be attributed to the Maryland State Archives. PLEASE NOTE: The site may contain material from other sources which may be under copyright. Rights assessment, and full originating source citation, is the responsibility of the user.


Tell Us What You Think About the Maryland State Archives Website!



An Archives of Maryland electronic publication.
For information contact mdlegal@mdarchives.state.md.us.

©Copyright  October 06, 2023
Maryland State Archives