Supply Act No 2 1930 (NSW)

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Supply Act.

593

SUPPLY ACT.

Act No. 45, 1930.

An Act to apply certain sums out of the Consoli­ dated Kevenue Fund, the Government Rail-

®

Avays and TraniAvays Fund, and the Sydney Harbour Trust Fund, towards the Services of the Year 1930-1931, and out of the General Loan Account for Services to be hereafter provided for by Loan. [Assented to, 16th December, 1930.]

TATHEREAS we Your Majesty’s most dutiful and PicamWei

loyal subjects, the Members of the Legislative Assembly of New South M^alcs in Parliament assembled, have resolved to grant to Your Majesty the sum of Thirteen millions tAvo hundred and forty-eight thousand two hundred and forty pounds, that is to say—

f T

Out of the Consolidated Revenue Fund, the sum of Five millions four hundred and fifty-two thousand pounds, being the sum required to defray the expenses of the various Departments and Services of the State during the months of December, January, February, and March or

folloAving month of the financial year ending

thirtieth day of June, one thousand nine hundred and thirty-one, and the sum of Four hundred and sixty thousand pounds for the Services set forth in Schedule A hereto annexed.

Out of the Government Railways and TramAvays

Fund, the sum of Five millions and nine

thousand

591                  Supply Act.

No.45,1930.

thousand pounds to defray the salaries, main­ tenance and working expenses and other ex­ penses of the Government llailways during the months of December, January, February, and March or following month of tlie financial year ending thirtieth day of June, one thousand nine hundred and thirty-one.

Out of the Sydney Ilarhnur Trust Fund, the sum of One hundred and thirty-four thousand eight hundred pounds to defray the salaries, main­ tenance and working expenses and other expenses of the Sydney Harbour Trust during the months of December, January, February, and March or following month of the financial year ending thirtieth day of June, one thousand nine hundred and thirty-one.

Out of the General Loan Account, the sum of Two millions one hundred and ninety-two thousand four hundred and forty pounds for the Services set forth in Schedule D hereto annexed :

And whereas we desire to make good out of the said Funds and the General Loan Account the sum so granted to n is Majesty : De it therefore enacted by the King’s Most Excellent Majesty, by and with the advice and consent of the Legislative Council and Legislative Assembly of New South M^ales in Parliament assembled, and by the authority of the same, as follows :—

£5,912,000 1 . Out of the Consolidated Kevenue Fund of New ouYoMhe"*̂ '̂ South Mmles there shall and may be issued and applied Consolidated for 01* towards making good the Supply so resolved to Revenue

’Fuml.

he granted to His Majesty, the sum of Five millions nine hundred and twelve thousand pounds, of which the sum of Five millions four hundred and fifty-two thousand pounds is to he expended at the rates which have been sanctioned for the financial year ended thirtieth day of June, one thousand nine hundred and thirty, to defray the expenses of the various Depart­ ments and Services of the State during the montlis of December, January, February, and March or following month of the financial year ending thirtieth day of June, one thousand nine hundred and thirtv-one, subject to

the

Supply Act.

695

the rate of any recluetion that may hereafter be made No.45,1930.

in the expenditure of the year 1930-1931 ; and the

sum of Four hundred and sixty thousand pounds is to

be expended for the services specified in Schedule A

hereto annexed.

2 . Out of the Government Railways and Tramways x.-.ooo.oiki

towards making good tlie Supply so resolved to he Ooverument

granted to His Majesty, the sum of Five millions and

nine thousand pounds to be expended at the rates which wins Fund,

have been sanctioned for the financial year ended

thirtieth day of June, one thousand nine hundred and

thirty, to defray the salaries, maintenance and working

expenses and other expenses of the Government

Fund there shall and may be issued and applied foi'or February, and March or following month of the financial year ending thirtieth day of June, one thousand nine hundred and thirty-one, subject to the rate of any reduction that may hereafter he made in the ex­ penditure of the year l'930-193l.

3 . Out of the Sydney Harbour Trust Fund there ri;i4,.soo luay

shall and may he issued and applied for or Inwards thousand eight hundred pounds to he expended at tlie rates which have been sanctioned for the tinancial yi'ar ended thirtieth day of June, one thousand nine hundred and thirty, to defray the salaries, maintenance and working expenses and other expenses of the Sydney Harbour Trust during the months of December, January, February, and iMarch or (he following month of the tinancial year ending tliirtieth day of June, one thousand nine hundred and thirty-one, subject to the rate of any reduction that may hereafter he made in the expenditure of the year 1930-1931.

making good the su])ply so resolved to he granted to His iiiubour

4 . Notwithstanding the provisions of the Audit Act, £2,192,440

1902, there shall and may he issued out of the General

Loan Account and applied for or towards making good General Loan

the Supply so resolved to he granted to His Majesty, the

sum of Two millions one hundred and ninety-two

thousand four hundred and forty pounds for the

Services specified in Schedule B hereto annexed.

596                   Supply Act.

No. 45,1930.

5 . The Treasurer shall issue and pay the said sums

»■« -----

Treasurer to

for the Services aforesaid in such manner and in such

Governor’s

pay under

proportions as the Governor, by Warrants or Orders in

Warrant or

writing under his hand, and directed to the said

Order.

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 llevenue Fund, the Government Railways and Tramw’ays Fund, the Sydney Harbour Trust Fund, and the General Loan Account respectively.

Treasurer to

have credit

6. The Treasurer shall in his accounts from time to

and receipts

time he allowed credit for all sums of money paid by

to discharge

ihim.

him in pursuance of such Warrants or Orders. And the receipts of the respective persoNS to wdiom 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.

Short title.

7 . This Act may he cited as the “ Supply Act, 1930.”

SCHEDULES,

Supply Act.

B97

No. 45,1930.

SCHEDULES.

SCHEDULE A.

Payable out of the Consolidated Revenue Fund.

C olonial

Skcrktary

Charitable Tlelief—Maintenance, Transport of Necessitous

Persons within and beyond the State...

£460,000 0 0

Total, Schedule A (Consolidated Revenue Fund)

£460,000 0 0

SCHEDULE B.

Payable out of the General Loan Account.

In anticipation o f Loan Votes,

C olonial

Secretary

Fish Hatcheries, Sheds, Launches, and Boats

...

...

£90 0 0

M inister for P ublic H ealth

Callan Park Mental Hospital—Instalment in part payment

of Commonwealth Government’s Advance of £19,000

for extension of site at Callan Park Mental Hospital

3,800 0 0

T reasurer

Sydney Harbour Trust

Towards construction of Works generally, and for tho

improvement of the Port

...

...

...

...

32,-600

0

i

R ailways—-

Rolling-stock, to meet Additional TraflBc Requirements, and Equipment of New Lines; Additions to Railway Lines, Stations, and Buildings, and for other purposes ; and towards Equipment of

Refreshment Rooms ...

...

... £98,000 0 0

Electrification of Railway Lines ...

... 142,000 0 0

liailivay Construction

Grafton to South Grafton Railway

...

88,000

0 0

Camurra to Boggabilla Railway ...

...

73,900

0 0

Casino to Bona!bo Railway

...

...

7,400

0

0

Moss Vale to Port Kembla Railway

...

60,000

0

0

Grafton-Kyoglo to South Brisbane Rail­

way .................................................... 46,000 0 0

City Electric Railway

...

...

... 150,000 0 0

665,300 0 0

Carried forward...

£701,690 0 0

593                 Supply Act.

No. 45,1930.

SCHEDULE ^ —continued.

Payable out of the General Loan Account—cofiiuuiec/.

In anticipation of Loan Votes.

Brought forward

...

...

^

...

£701,090 0 0

S ecrktauy for L ands

To provide for a supply of water at Benanee

...

...

L50

0

0

M ixistkr for B u n u c "Works

Bridyes

Sydney Harbour Bridge ...

...

...£599,200 0 0

Harbours and Hirers—

Kewcastle Harbour Improvements, includ­

ing "Wdiarfage, Shipping, Dredging,

and other Plant

...

...

...

3,000 0 0

Coil’s Harbour ImproA'oinents, Jetty

Extension, etc.

...

...

...

10,000 0 0

Port Kembla Harbour Improvements

...

8,400

0 0

Water Supplies

Countiy Towns Water Supplies ...

... 200,000 0 0

Sewerage Construction

Country Towns ScAverage and Stormwater

Channels

38,800 0 0

Newcastle Sewerage and

Stormwater

Cliannels

...

...

...

...

52,500

0

0

Cessno.k Sewerage

...

...

...

8,500

0

0

, Public Buildings

Mental Hospitals—New Buildings, Im­

provements, and Additions ...

...

22,800 0 0

Electrical

Hydro-electric Schemes...

...

...

18,500 0 0

i l iscellayieous

River Murray Commission—Part cost of

works to be carried out under the Act

and Hydro-Electric Development ...

66,000 0 0

Border Railways—Preliminary Surveys

Expenses, and Acquisition of Land

for Construction purposes

...

...

1,000 0 0

Hunter District Water Sxepply and Sewerage Board— ■

Sewerage— •

Stormwater Drainage ...

...

...

1,000 0 0

■ 1,029,700 0 0

Carried forward

£1,731,510 0 0

Supply Act.

599

No. 45, 1E35.

SCHEDULE B —continued.

Payable out of the General Loan k ca o w n i— continued.

In anticipation of Loan Votes.

Brought forward

...

...

... £1;7-31 540

0

0

B uui.ic

I nstiiuction—■

Jfiscellaneous

School Buildings, Teachei's’ Residences, and other Buildings,

Additions to Existing Buildings, School and Residence

Sites, Purchase and Erection of Plant and E()uipini‘iit

100,OCO

0

0

L ocl Government

Works undertaken hy or for Shires and M unicij alities

under Contract for Repayin uit

2.OCO 0 0

M ain R oads Board

Western Division Roads

...

...

...

...

...

20,OCO 0 0

D epartment op A griculture

(irain Elevators—Towards Construction of

Country Grain Silos and Permanent

Working Houses

...

...

... £20,000 0 0

Enrol Industries Branch

Relief to Necessitous Fanners ami Graziers —To provide a Working Capital for Relief (amount to he carried to Special Deposits Account) “ Relief to Necessitous Farmers ami Graziers—

M'orking Capital Account ’...

... 197,400 0 0

Water Conservation and Irrigation Com­

mission

Returned Soldiers’ Settlement—To provide

for Settlement of Discharged Soldiers

on Irrigation Farms, and to assist

them in the development thereof ...

17,-500 0 0

2.34,9C0 0 0

^Migration—

Toprovide for tho construction of a Storage

Reservoir on the Lachlar River at

Wyangala, and for work.s incidental

thereto

...

...

...

...

68,000

Hillston to Roto Railway...

...

...

36,000

104,000 0 0

Total, Schedule B (General Lean Aecount) ...

... £2,192,440 0 0

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