Supply Act 1970 (NSW)
SUPPLY ACT.
jSetu ^outft OTalesi
| ANNO | UNDEVICESIM O |
ELIZABETHtE II REGINiE
Act No. 43, 1970.
An Act to apply certain sums out o f the Consolidated Revenue Fund, the Government Railways Fund, the Government Railways Renewals Fund, the Road Transport and Traffic Fund, the Metropoli tan Transport Trust General Fund, the Newcastle and District Transport Trust General Fund, the Maritime Services Board Fund and the Maritime Services Board Renewals Fund, towards the services o f the Year 1970-1971. [Assented to, 1st October, 1970.]
W HEREAS
Supply.
No. 43, 1970 "f T 7HEREAS we Your Majesty’s most dutiful and loyal subjects,
VV the Members of the Legislative Assembly of New South
| Preamble. | Wales in Parliament assembled, have resolved to grant to Your Majesty the sum of One hundred and fifty-seven million nine hundred and sixteen thousand dollars, that is to say— |
Out of the Consolidated Revenue Fund, the sum of One hundred and six million five hundred and eighty-nine thousand dollars, being the sum required to defray the expenses of the various Departments and Services of the State during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Government Railways Fund, the sum of Thirty-five million one hundred and seven thousand dollars to defray the salaries, maintenance and working expenses and other expenses of the Department of Railways during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Government Railways Renewals Fund, the sum of Two million eight hundred thousand dollars for renewals, reconstructions, and conversions of railway lines, buildings, equipment, plant, or other wasting assets of the Depart ment of Railways during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Road Transport and Traffic Fund, the sum of Two million eight hundred and thirty-five thousand dollars to defray the salaries, maintenance and working expenses and other expenses of the Department of Motor Transport during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out
Supply.
Out of the Metropolitan Transport Trust General Fund, the No. 43, 1970
sum of Five million three hundred and nineteen thousand dollars to defray the salaries, maintenance and working expenses and other expenses of the Department of Government Transport during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Newcastle and District Transport Trust General Fund, the sum of Six hundred thousand dollars to defray the salaries, maintenance and working expenses and other expenses of the Department of Government Transport during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Maritime Services Board Fund, the sum of Three million one hundred and eight thousand dollars to defray the salaries, maintenance and working expenses and other expenses of the Maritime Services Board of New South Wales during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
Out of the Maritime Services Board Renewals Fund, the sum of One million five hundred and fifty-eight thousand dollars for renewals and reconstruction of wharves, buildings, equipment, plant, or other assets of the Maritime Services Board of New South Wales during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one.
And whereas we desire to make good out of the said Funds the sum so granted to Your Majesty: Be it therefore enacted by the Queen’s Most Excellent Majesty, by and with the advice and
consent
Supply.
No. 43, 1970 consent of the Legislative Council and Legislative Assembly o f
| ----- | New South Wales in Parliament assembled, and by the authority of the same, as follows:— |
| $106,589,000 | 1. | Out of the Consolidated Revenue Fund of New South Wales |
| may be |
| issued out | there shall and may be issued and applied for or towards making |
| °ol'̂ datê °”' | Supply so resolved to be granted to Her Majesty, the |
| Revenue | *11™ of Ooe hundred and six million five hundred and eighty-nine |
| Fund. | thousand dollars to be expended at the rates which have been sanctioned for the financial year ended thirtieth day of June, one thousand nine hundred and seventy, to defray the expenses of the various Departments and Services of the State during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
| $35,107,000 | 2. | Out of the Government Railways Fund there shall and may |
| may be |
| issued out | be issued and applied for or towards making good the Supply so |
| of the | |
| Government | resolved to be granted to Her Majesty, the sum of Thirty-five |
| Railways | million one hundred and seven thousand dollars to be expended |
| Fund. | at the rates which have been sanctioned for the financial year ended thirtieth day of June, one thousand nine hundred and seventy, to defray the salaries, maintenance and working expenses and other expenses of the Department of Railways during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
| $2,800,000 | 3. | Out of the Government Railways Renewals Fund there shall |
| may be |
| issued out | and may be issued and applied for or towards making good the |
| of the | |
| Government | Supply so resolved to be granted to Her Majesty, the sum of Two |
| Railways | million eight hundred thousand dollars to be expended at the rates |
| Renewals | |
| Fund. | which have been sanctioned for the financial year ended thirtieth day of June, one thousand nine hundred and seventy, for renewals. |
reconstructions.
Supply.
reconstructions, and conversions of railway lines, buildings, equip- no. 43, 1970
ment, plant, or other wasting assets of the Department of Railways
during the months of October and November or following month
of the financial year ending thirtieth day of June, one thousand nine
hundred and seventy-one, subject to the rate of any reduction that
may hereafter be made in the expenditure of the year 1970-1971.
4. Out of the Road Transport and Traffic Fund there shall $2,835,000
and may be issued and applied for or towards making good the may be
Supply so resolved to be granted to Her Majesty, the sum of Two
million eight hundred and thirty-five thousand dollars to be Transport
expended at the rates which have been sanctioned for the financial
| year ended thirtieth day of June, one thousand nine hundred and | ’ |
| seventy, to defray the salaries, maintenance and working expenses and other expenses of the Department of Motor Transport during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
5. Out of the Metropolitan Transport Trust General Fund $5,319,000
there shall and may be issued and applied for or towards making
good the Supply so resolved to be granted to Her Majesty, the the Metro-
sum of Five million three hundred and nineteen thousand dollars Transport
to be expended at the rates which have been sanctioned for the Trust
financial year ended thirtieth day of June, one thousand nine
hundred and seventy, to defray the salaries, maintenance and
working expenses and other expenses of the Department of Govern
ment Transport during the months of October and November or
following month of the financial year ending thirtieth day of June,
one thousand nine hundred and seventy-one, subject to the rate
of any reduction that may hereafter be made in the expenditure
of the year 1970-1971.
Supply.
| No. 43, 1970 | 6. | Out of the Newcastle and District Transport Trust General |
Fund there shall and may be issued and applied for or towards
$600,000
| may be | making good the Supply so resolved to be granted to Her Majesty, |
| issued out | the sum of Six hundred thousand dollars to be expended at the |
| of the | |
| Newcastle | rates which have been sanctioned for the financial year ended |
| and District | thirtieth day of June, one thousand nine hundred and seventy, to |
| Transport | |
| Trust | defray the salaries, maintenance and working expenses and other |
| General | expenses of the Department of Government Transport during the |
| Fund. | months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
7. Out of the Maritime Services Board Fund there shall and
$3,108,000
| may be | may be issued and applied for or towards making good the Supply |
| issued out | |
| of the | so resolved to be granted to Her Majesty, the sum of Three million |
| Maritime | one hundred and eight thousand dollars to be expended at the |
| Services | |
| Board | rates which have been sanctioned for the financial year ended |
| Fund. | thirtieth day of June, one thousand nine hundred and seventy, to defray the salaries, maintenance and working expenses and other expenses of the Maritime Services Board of New South Wales during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
| 8, | Out of the Maritime Services Board Renewals Fund there |
$1,558,000
| may be | shall and may be issued and applied for or towards making good |
| issued out | |
| of the | the Supply so resolved to be granted to Her Majesty, the sum of |
| Maritime | One million five hundred and fifty-eight thousand dollars to be |
| Services | |
| Board | expended at the rates which have been sanctioned for the financial |
| Renewals | year ended thirtieth day of June, one thousand nine hundred and |
| Fund. | seventy, for renewals and reconstruction of wharves, buildings, equipment, plant, or other assets of the Maritime Services Board of New South Wales during the months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-one, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1970-1971. |
Supply.
9. The Treasurer shall issue and pay the said sums for the no. 43, 1970
Services aforesaid in such manner and in such proportions as the
| Governor, by Warrants or Orders in writing under his hand, and | "under |
directed to the said Treasurer, shall from time to time order and Governor’s
direct. And the payments so to be made shall be charged upon
and paid out of the Consolidated Revenue Fund, the Government
Railways Fund, the Government Railways Renewals Fund, the
Road Transport and Traffic Fund, the Metropolitan Transport
Trust General Fund, the Newcastle and District Transport Trust
General Fund, the Maritime Services Board Fund and the Maritime
Services Board Renewals Fund, respectively.
10. The Treasurer shall in his accounts from time to time be Treasurer
allowed credit for all sums of money paid by him in pursuance of
such Warrants or Orders, and the receipts of the respective persons receipts to
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.
| 11. This Act may be cited as the “Supply Act, 1970”. | Short title. |
ANNUAL
0
0
0