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STATEMENT of bonds issued in anticipation of taxes levied for

the fiscal year beginning October 1, 1898.

No.

DATE OF ISSUE.

DATE OF
PAYMENT.

Rate.

Amount.

173 176 177 170 179 180) 181 182 183 184 185 186 187 188 189 190 191 192 193 191 195 196 197 198 199

November 12, 1898..
November 12, 1898..
November 12, 1898.
November 12, 1898.
November 12, 1898..
November 12, 1898.
November 12, 1898.
November 12, 1898..
November 12, 1898..
November 12, 1898..
November 12, 1898.
November 12, 1898.
November 12, 1898..
November 12, 1898..
November 12, 1998..
November 12, 1898..
November 12, 1898..
November 12, 1898..
November 12, 1898..
November 12, 1898..
December 24, 1898.
December 24, 1898,
December 24, 1898.
December 24, 1898.
December 24, 1898.

April 15, 1889
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
April 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899
May 15, 1899

$50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50.000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00 50,000 00

Total

$1,250,000 DO

GENERAL FUND REVENUE. The following statement shows the receipts, including balance on hand October 1, 1898, and the amount of warrants drawn, for the last fiscal year, and the cash on hand September 30, 1899: Balance in the treasury October 1, 1898.... $1,626,689 10 Amount of receipts into the treasury during the year ending September 30, 1899..

18,671,722 12

$20,298,411 22 Amount of warrants drawn on the treasury

during the fiscal year ending ending September 30, 1899 ..

17,894,379 22 Apparent surplus, being cash on hand September 30, 1899

$2,404,032 00

on

The following statement represents the true state of the fund, assuming all valid appropriations made by the Legislature of 1898 to have been liquidated, and all collections made for the fiscal year, showing a surplus of $2,716,518.59: Balance due from county treas

urers September 30, 1999, State tax of 1898

$7,944 15 Add amount paid on account of 1899 appropriations

2,532,309 35 Add cash on hand September 30,

1899, shown in preceding statement

2,404,032 00

$4,964,285 50 Deduct balances of 1898 appropria

tions unpaid and in force September 30, 1899

.$1,783,462 22 Deduct balance due Canal Fund, on account of State tax

464,274 69

2,247.736 91 Actual surplus September 30, 1899....... $2,716,548 59

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EXPENDITURES FOR EDUCATIONAL AND CHARI

TABLE PURPOSES. The expenditures from the State treasury during the last fiscal year for educational purposes were $5,062,694,28, of which $4,114,833.26 were the proceeds of a direct tax of 81-100 mills for common schools.

The purposes and amounts of the several State appropriations and payments are as follows: Academies for dividends, books, etc.. Academies for academic examinations and free

$242,207 09 libraries

102,952 07 Common school dividends Indian schools

231, 417 79 Normal schools

7,158 00 School tax, 81-100 mill

94,503 03 Cornell University

4,114,833 26 Department of Public Instruction

94,428 00

58,428 30 Regents of the University State Library

37.839 25

66,470 08 Compulsory education of children

12,157 41

$5,062,694 28

The expenditures for the same period by the State for the support of asylums and hospitals for the deaf, blind, insane, Idiotic, epilpetics, houses of refuge, reformatories, State Soldiers and Sailors' Home, Thomas Asylum, etc., were $4,651,756.96, and for buildings, repairs, plumbing and re: newals, purchase of land, for services and expenses of Board

of Charities, Commission in Lunacy, Pathological Institute and Bureau of Charitable Institutions, $1,938,063.37, making a total of $6,590.620.33.

The following is a schedule of the institutions in aid, or for the support of which payments have been made from the treasury, with the amounts paid for each:

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$214,408 36

86,132 74 4,419,907 94

106,285 71 282,704 53

863,423 44

Deaf and dumb.

$213,806 89 $511 47 Blind

71.512 52 14,620 22 Insane

3,230, 102 00 1,189,505 94 Insane, Commission in Lu

pacy, services and expen. ses Pathological Institute and miscellaneous

expenditures

106,285 71 Idiots..

196,614 10 86.090 45 Houses of refuge and reformatories...

648,666 45 214,756 99 State Soldiers and Sailors' Home.....

184,465 00 53,402 22 Thomas Asylum

20,000 00 37,709 62
Craig Colony for Epileptics 72,500 00 125,499 91
Women's Relief Corps
Home

13,700 00 19,298 78
State Board of Charities,
services and expenses...

75,286 07 Bureau of Charitable In

stitutions, Comptroller's office, services and expenses.

15,895 99 $4,651,756 96 $1,938,863 87

237,867 2

57.709 62 197,999 91

82,998 78

75,286 07

15,895 99

$6,590,620 33 PATIENTS IN HOSPITALS. The following were the number of patients in the several hospitals at the close of the fiscal year ending September 30, 1895, 1896, 1897, 1898 and 1899:

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The number of inmates in certain State institutions at the close of the fiscal year ending September 30, 1893, 1896, 1897, 1898 and 1899, was as follows:

1895. 1896. 1897. 1898. 1899. Western House of Refuge, Albion

76 105 117 120 130 State School for Blind, Batavia

123 103 88 120 109 State Soldiers and Sailors' Home

1,122 1,173 1,355 1,287 1,359 State Reformatory, Elmira

1,257 1.365 1,524 1,445 1.384 House of Refuge for Women, Hudson

303
312 292

283

274 Custodial Asylum, Newark

344 375 391 406 415 Juvenile Delinquents,

Randall's Island.. 729 818 752 786 829 Custodial Asylum, Rome

187 243 341 343 3:56 State Industrial School, Rochester

801 840 827 882 825 State Institution for

Feeble-Minded Children, Syracuse

524 510 513 509 499 Thomas Asylum, Versailles

102 116 112 Craig Colony for Epileptics, Sonyea

104 104

133 214 326 378

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EXPENDITURES FOR CANALS. The receipts into and payments from the treasury on account of the canals for the fiscal year ending Septeinber 30, 1899, were as follows:

Receipts: Taxes

$1,600,000 00 Interest on deposits

38,488 30 Interest on investments

22,975 96 Bonds sold and paid

147,750 00 Cancellation of contract

No.

3, Western Division

16,103 46 Miscellaneous

10,562 63

$1,835,880 35

Payments by warrant:
Maintenance and ordinary repairs
Collecting statistics

Transfer office, agent and expenses of loan..
New work and damages
Interest on debt
Investment for Sinking Fund

$886,481 11 22,566 19

2,038 50 484,924 88 255,000 00 526,972 41

$2,177,983 09

EXPENDITURES FOR NEW CAPITOL. Statement of amount expended in the purchase of lands and construction of the New Capitol from 1863 to 1899, inclusive: 1863. Purchase of land

$51,593 66 1864. Purchase of land

9,453 55 1865. Purchase of land

10,860 08 1866. Purchase of land

65,250 00 1867. Construction

10,000 00 1868. Construction

50,000 00 1869. Construction

451,215 63 1870. Purchase of land

396,022 24 1870. Construction

827.575 49 1871. Construction

482,942 37 1872. Construction

856, 106 98 1873. Construction

1,175,600 00 1874. Construction

610,275 16

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