Consolidated Revenue Fund and Public Works Fund Act 1910 (NSW)
Act No. 3 , 1910.
An Act to apply certain sums out of the Con
solidated Revenue Fund towards the Services
of the Year 1910-1911, and out of the PublicWorks Fund ; and for Services to be here
after provided for by Loan. [29/// July, 1910.]
| in Parliament assembled, have resolved to grant to Your Majesty the | WH E R E A S we Your Majesty's most dutiful and loyal subjects, the Members of the Legislative Assembly of New South Wales |
| sum of Five millions three hundred and fifteen thousand and sixty pounds, that is to say— |
Out of the Consolidated Revenue Fund, the sum of One million eight hundred and forty-two thousand nine hundred pounds, being the sum required to defray the expenses of the various Departments and Services of the State during the months
of Ju ly , August, September, October, and November, or
following month of the financial year ending thirtieth day of
June , one thousand nine hundred and eleven; and the sumof Two millions one hundred and eighty-eight thousand one
hundred and sixty pounds for the Services set forth in Schedule
A hereto annexed ; and the sum of One million one hundred
and forty-one thousand pounds for the services set forth in
Schedule 13 hereto annexed.
Out of the Public Works Fund, the sum of One hundred and forty-three thousand pounds for the Services set forth in
Schedule C hereto annexed :
And whereas we desire to make good out of the said funds the sum so granted to His Majesty : Be it therefore enacted by the King's Most
| thousand nine hundred pounds is to be expended at the rates which have been sanctioned for the financial year ended thirtieth day of | June, |
Excellent Majesty, by and with the advice and consent of the Legislative Council and Legislative Assembly of New South Wales in
Parliament assembled, and by the authority of the same, as follows :—
1 . Out of the Consolidated Revenue Fund of New South Wales
there shall and may I K ; issued and applied for or towards making good the supply so resolved to be granted to His Majesty, the sum of Five
millions one hundred and seventy-two thousand and sixty pounds,
of which the sum of One million eight hundred and forty-two
June , one thousand nine hundred and ten, to defray the expenses of
the various Departments and Services of the State during the months
of Ju ly , August, September, October, and November, or following
month of the financial year ending thirtieth day of .June, one thousand nine hundred and eleven, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1910 -1911 , and the sum of Two millions one hundred and eighty-eight thousand one hundred and sixty pounds is to be expended for the Services specified in Schedule A hereto annexed, and the sum of One million one hundred and forty-one thousand pounds is to be expended for the Services
specified in Schedule B hereto annexed.2. Out of the Public Works Fund there shall and may be issued and applied for or towards making good the supply so resolved to be granted to His Majesty the sum of One hundred and forty-three thousand pounds for the Services specified in Schedule C hereto annexed.
3 . The Treasurer shall issue and pay the said sums for the
Services aforesaid in such manner and in such proportions as the
Governor, by Warrants or Orders in writing under his hand, and directed to the said Treasurer, shall from time to time order and direct. And the payments so to be made shall be charged upon and paid out of the Consolidated R e v e n u e Fund and the Public Works Fund respectively.
4 . The Treasurer shall in his accounts from time to time be allowed credit for all sums of money paid by him in pursuance of such Warrants or Orders. And the receipts of the respective persons to whom the same shall be so paid shall be full and valid discharges to the said Treasurer in passing his said accounts for such sums as shall be therein mentioned, and he shall receive credit for the same accordingly.
S C H E D U L E S . S C H E D U L E S .
S C H E D U L E A.
Payable out of the Consolidated Revenue Fund.
| COLONIAL | S E C R E T A R Y — |
Board of Fire Commissioners ... ... . . . ... . . . .£21,000 0 0
Sydney Hospital—Increased Bed Subsidy ... ... ... 650 0 0
Koyal Prince Alfred Hospital—Increased Bed Subsidy -ri00 0 0 Royal Alexandra Hospital for Children, Sydney—Increased aid,
on condition that an equal amount be raised by private; j 0 0
annual contributions . . . ... ... ... . . . ••• 0 0
Sydney Hospital—Special Grant 1,000 0 0 Royal Prince Alfred Hospital—Special Grant 1,000 0 0
£ 2 4 , 6 5 0 0 0
| T R E A S U R E R | AND | SECRETARY | FOR | FINANCE | AND | T R A D E — |
To meet increases of pay to Members of the Police Force, and to
provide Increases to Salaries of Officers in the Professional
and Clerical Divisions of the Service, and to Public School
Teachers £31 ,600 0 0 To pay Increases to Officers and Employees of the Sydney
Harbour Trust in receipt of Salaries and Wages under £ 3 0 0
per annum ... ... . . . . . . ... . . . ... 560 0 0
32,160 0 0
RAILWAYS AND TRAMWAYS—
Working Expenses l,882 I3. r)0 0 0
| SECRETARY FOR | PUBLIC | W O R K S — |
Public Works and Services—
Maintenance—
Punts, Ferries, and Launches £ 1 1 , 2 5 0 0 0
Dredge Service - r'0,000 0 0
Public Buildings 20,000 0 0 Equipment, Travelling, Transfer, Removal, and other Allow
ances and Pay for Temporary Service; ... ... . . . 13,750 0 0
Local Government—
Local Governme nt (Endowments of Shires) 154,000 0 0
249,000 0 0
Total, Schedule A (Consolidated Revenue Fund) £2 ,188 ,160 0 0
S C H E D U L E
S C H E D U L E B.
Payable out of the Consolidated Revenue Fund.
In Anticipation of Loan Votes.
| SYDNEY | HARBOUR | T R U S T — |
Construction of Works generally, and for the improvement of the Port £50 ,000 0 0
RAILWAYS AND TRAMWAYS—
Railways—
Rolling Stock to meet additional traffic require ments, including the Equipment of New Lines
£2:17,000 0 0
Additions to Railway Lines, Stations, and
Buildings, and for other purposes . . . ... l 'J8,000 0 0 Towards Deviation to cut out the Lighgow
Zigzag, and for other purposes . . . ... 50,000 0 0 485,000 0 0
Tramways —
Additions to Lines, Workshops, and Buildings,
and for other purposes ... ... ... .'15,000 0 0
Rolling Stock, to mBet expansion of traffic . . . 35,000 0 0 70,000 0 0
. _ 555,000 0 0
| SECRETARY | FOR | P U B L I C | W O R K S — |
Hallways—•
MudgBe to Duncdoo - ... £25 ,000 0 0
North Coast Railway (Maitland to South Grafton) 250,000 0 0 Narromine to Peak Hill 7,500 0 0 Lockhart to Clear Hills 40,000 0 0 Cowra to Canowindra 12,000 0 0 Kyogle to Casino 1,500 0 0 Cooma to Bombala (towards) 25,000 0 0
Tramways—
Tramways generally . . . 10,000 0 0
| Water | Supplies— |
Country Towns Water Supplies 15,000 0 0 Barren J a c k Storage Reservoir and No;'hern MurrumbidgBe Irrigation Scheme 25,000 0 0
| Miscellaneous— |
New Public Abattoir at Homebush Point 20,000 0 0
| Metropolitan | Board of Water Supply and | Sewerage- |
Water Supply— General Reticulation, Improvements, Land, Buildings, Canal
Works, & c , and for other purposes . . . ... ... G0,()00 0 0 Sewerage—
Construction and Ventilation of Sewers generally, Land,
Buildings, <kc, and for other purposes . . . . . . . . . 45,000 0 0
536,000 0 0
Total Schedule B (Consolidated Revenue Fund) £1 ,141 ,000 0 0
S C H E D U L E
S C H E D U L E C.
Payable out of the Public Works Fund.
In Anticipation of Votes.
| COLONIAL | S E C R E T A R Y — |
Police Buildings—Erections, Additions, and Cost of Land £20 ,000 0 0
TREASURER AND SECRETARY FOR FINANCE AND T R A D E —
| Resumed | Properties | Branch— |
Erection of Shops and Buildings . . . . . . . . . . . . . . . £o ,000 0 0
| Sydney | Harbour | Trust— |
Replacement of Wharfs, Jett ies, and Buildings under Recon
struction Schemes lo ,000 0 0
20,000 0 0
| SECRETARY | FOR | P U B L I C | W O R K S — |
| Roads | • | £ 2 , 0 0 0 | 0 | 0 |
| Bridges | 0,000 0 0 |
| Punts, Ferries, and Launches ... | . . . | . . . | . . . | . . . | . . . | 1,000 | 0 | 0 |
Public Watering Places, Artesian Bores, Water Conservation, Water
Supplies, and Drainage ... ... . . . ... ... . . . 3,000 0 0
Harbours and Rivers—Dredge Service in connection with Permanent
Improvements of Harbours and Rivers . . . . . . . . . . . . 4,000 0 0
| Public Buildings | 22,000 0 0 |
| Dock Establishment | 7,000 0 0 |
| Grant under section 5 of Public Works Fund Act to Shires and |
Municipalities 13,000 0 0
| Metropolitan | Board of Water Supply and | S e w e r a g e - |
Renewal of Water Mains, Sewers, Plant, Buildings, i t c , for Renewal Works Generally, Lining and Strengthening Upper Canal ; also to recoup to Loan Votes for Machinery and Plant
worn out or dismantled 40,000 0 0
Hunter District Water Supply and Sewerage Board—
To enable the Board to carry out Sewerage connections on the deferred payment system—the amount to be carried to Special
Deposits Account (Deferred Payments Account) . . . . . . 5,000 0 0
103,000 0 0
Total Schedule C (Public Works Fund) £ 1 4 3 , 0 0 0 0 0 Act
0
0
0