FOR THE PERIOD 1ST JANUARY TO 31ST OCTOBER, 1955 E estimate Actual PAYMENT4. 1955. Jan-Octr. 1955. 1. Governor 2. Legislature 3. Administration 4. Agriculture 5. Audit 6. Central Housing Authority 6A. Central Road Authority 6B. Central Water Authority 7. Charitable 9. Education 11. 'Judicial 12. Labour 13. Lands and Survey 14. Legal 15. Medical 16. Miscellaneous 17. Pensions 18, Police 19. Port and Marine 20. Post Office 21. Prisons 22. Public Debt 23. Public Library 24. Public Works Department 25. Public Works Annually Recurrent 28. Subventions 30. Telephones 31. Treasury Total Ordinary Expenditure EXTRAORDINARY. 8. Colonial Development and Welfare 14A. Loans and Advances 26. Public Works Extraordinary 26A. Deferred Maintenance Total Expenditure Authorised Advances Controller of Supplies Trading account Deposits. Special Funds Deposits, Other than Special Funds Impret Investments Joint Colonial Fund COrown Agents Remittances General Revenw. Balance Balanee as at 31st October, 1955 2.416,824 ... 278,989 ... 148,000 90,210 ... 32,500 2.966,523 ... $ 14,208 19,920 124,615 110,251 17,005 8,000 205,125 27,594 31,508 365,348 46,210 11,170 19,425 7,673 464,928 117,199 58,130 189,948 45.484 5(;.55(0 60,40i9 37,551 10,030 78,30!3 100,645 82,084 27,716 79,795 347.408 66,675 142,624 11.163 2,646,189 318,220 774,534 803.936 456.350 289,055 3,211 470.400 400,000 36 6,161,931 189,583 6,351,514 TREASURY CHAMBERS, ST. VINCENT, 6th January, 1956. PETER R. ELLS, Colonial Treasiirr. $ 9,080 15,522 100.340 70,986 13,730 6,000 260,930 19,984 21,614 294,968 35,738 9.099 9,523 5.947 360,840 133,0. 70,375 149,313 38,970 47.238 50,106 30.145 6,704 59,410 68,199 99.063 20.865 70,577 2,078,319