Supply Act 1971 (NSW)
SUPPLY.
ôutl̂ Malesf
ANNO VICESIMO
ELIZABETHS U REGINT
Act No. 32 , 1971.
An Act to apply certain sums out of 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 of the Year 1971-1972. [Assented to, 27th September, 1971.]
BE
Supply.
| ^ and with the advice and consent of the Legislative Council and Legislative Assembly of New South Wales in | O E it enacted by the Queen’s Most Excellent Majesty, by N”- £2̂ 1971 follows: — |
| 1. | This Act may be cited as the “Supply Act, 1971”. | short title. |
2. Out of the Consolidated Revenue Fund of New South $122,715,000
Wales there is hereby appropriated and may be issued and ™fued out November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972.
applied, the sum of One hundred and twenty-two million seven of the Con-
hundred and fifteen thousand dollars to be expended at the îvenue
rates which have been sanctioned for the financial year ended Fund,
thirtieth day of June, one thousand nine hundred and seventy-
one, to defray the expenses of the various Departments and
3. Out of the Government Railways Fund there is hereby $39,i79,ooo
| appropriated and may be issued and applied, the sum of | om |
Thirty-nine million one hundred and seventy-nine thousand of the thirtieth day of June, one thousand nine hundred and seventy-two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972.
dollars to be expended at the rates which have been sanctioned Railways*"̂
for the financial year ended thirtieth day of June, one thousand Fund,
nine hundred and seventy-one, to defray the salaries, mainten
ance and working expenses and other expenses of the Depart
ment of Railways during the months of October and
4. Out of the Government Railways Renewals Fund there $3,617,000
is hereby appropriated and may be issued and applied, the Ŝ su'ed out
sum of Three million six hundred and seventeen thousand of the
dollars to be expended at the rates which have been sanctioned
for the financial year ended thirtieth day of June, one thousand
nine
Supply.
No. 32, 1971 nine hundred and seventy-one, for renewals, reconstructions,
and conversions of railway lines, buildings, equipment, 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-two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972.
| $ 3, 117,000 | 5. | Out of the Road Transport and Traffic Fund there is |
Israed out hereby appropriated and may be issued and applied, the sum of the Road of Three million one hundred and seventeen thousand dollars and Traffic expended at the rates which have been sanctioned for the
| Fund. | financial year ended thirtieth day of June, one thousand nine hundred and seventy-one, 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- two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972. |
| $5,947,000 | 6. | Out of the Metropolitan Transport Trust General Fund |
| ISued out of | hereby appropriated and may be issued and applied, |
| the Metro- | the sum of Five million nine hundred and forty-seven thousand |
| politan | |
| Transport | dollars to be expended at the rates which have been sanctioned |
| Trust | for the financial year ended thirtieth day of June, one thousand |
| General | |
| Fund. | nine hundred and seventy-one, to defray the salaries, mainten ance and working expenses and other expenses of the Depart ment 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- two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972. |
Supply.
7. Out of the Newcastle and District Transport Trust No. 32, 1971
General Fund there is hereby appropriated and may be issued
and applied, the sum of Six hundred and seventy-two thousand may be
dollars to be expended at the rates which have been sanctioned
for the financial year ended thirtieth day of June, one thousand Newcastle
nine hundred and seventy-one, to defray the salaries, mainten- xranspo™
ance and working expenses and other expenses of the Depart
ment of Government Transport during the months of October Fund,
and November or following month of the financial year ending
thirtieth day of June, one thousand nine hundred and seventy-
two, subject to the rate of any reduction that may hereafter
be made in the expenditure of the year 1971-1972.
8. Out of the Maritime Services Board Fund there is $4,021,000
hereby appropriated and may be issued and applied, the sum October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972.
of Four million and twenty-one thousand dollars to be of the
expended at the rates which have been sanctioned for the ^rvic^^
financial year ended thirtieth day of June, one thousand nine Board
hundred and seventy-one, to defray the salaries, maintenance
and working expenses and other expenses of the Maritime
9. Out of the Maritime Services Board Renewals Fund $1,416,000
there is hereby appropriated and may be issued and applied, ™sued out
the sum of One million four hundred and sixteen thousand of the
| dollars to be expended at the rates which have been sanctioned | r̂vfc™ ̂ |
for the financial year ended thirtieth day of June, one thousand months of October and November or following month of the financial year ending thirtieth day of June, one thousand nine hundred and seventy-two, subject to the rate of any reduction that may hereafter be made in the expenditure of the year 1971-1972.
nine hundred and seventy-one, for renewals and reconstruction Fund,
of wharves, buildings, equipment, plant, or other assets of the
Supply.
| No. 32, 1971 | 10. | The Treasurer shall issue and pay the said sums for the |
services aforesaid in such manner and in such proportions as
iô prŷ under Governor, by warrants or orders in writing under his
Governor’s hand, and directed to the said Treasurer, shall from time to
| or Order. | time order and direct. |
| Treasurer | 11. | The Treasurer shall in his accounts from time to time |
| to have |
| credit and | be allowed credit for all sums of money paid by him in pur |
| receipts to | |
| discharge | suance of such warrants or orders, and the receipts of the |
| him. | 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. |
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