Parliamentary Papers, Nide 26 |
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Sisältö
FOREWORD 2 | 2 |
Account of the sums issued out of and received from the Consolidated | 10 |
Exchequer cash transactions 196263 | 12 |
FOREWORD BY THE ACCOUNTING OFFICER 4 | 4 |
and repayment of advances and of the disposal of those sums respec | 7 |
31st March 1962 with the Report of the Comptroller and Auditor | 1 |
Statement of Guarantee given by the Treasury on 31st August 1963 on | 3 |
153 | 23 |
Report of the Comptroller and Auditor General | |
Summarised Account of Executive Councils including | 8 |
Account of the Scottish Dental Estimates Board | 14 |
Inland Revenue | 4 |
ACCOUNTS | 3 |
APPENDIX ASTATEMENT OF ASSETS CONSTITUTING THE NET FUND | 8 |
Appendices | 2 |
APPENDIX BSTATEMENT OF ASSETS REALISED DURING THE YEAR ENDED | 10 |
Similar Account for the year ended 31st March 1963 | |
Customs and Excise Revenue | |
NOTES 14 | 14 |
NOTES 21 | 21 |
Statement of Guarantee given by the Treasury on 11th February 1963 | |
Statement of Debt Created and Debt Redeemed | 14 |
Foreword by the Accounting Officer | 22 |
Index | ii |
Details of Debt Created or Redeemed other than for Cash or by Conversion | vii |
Statutory provisions affecting the Debt during the years 193839 and 194950 | 50 |
on loans proposed to be raised by the London Transport Board 861 | |
Statement of Guarantee given by the Treasury on 28th March 1963 | |
on loans proposed to be raised by the Transport Holding Company 873 | |
Account of the United States M D A P Equipment Disposal | 1 |