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Ørtlruntent - State Law Publisher

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1190 GOVERNMENT<br />

adjacent to Lot 18 Davies Road; thence westerly<br />

across Davies Road to and along the centre of the<br />

said right-of-way to a point opposite the eastern<br />

boundary of Lot 21 Lapsley Road; thence southerly<br />

across the said right-of-way to and along the<br />

eastern boundary of the said Lot 21 and its prolongation<br />

across Lapsley Road and across Lot 1366<br />

Lapsley Road to a point on the northwestern alignment<br />

of Metropolitan Water Board Sewerage<br />

easement (diagram No. 12365); thence southwesterly<br />

along the northwestern alignment of the<br />

said sewerage easement for a distance of approximately<br />

135 feet; thence westerly across the said Lot<br />

1366 to a point in the centre of Elliott Road; thence<br />

northerly along the centre of Elliott Road and its<br />

prolongation across the recreation reserve to a<br />

point opposite the centre of Lakeway; thence<br />

westerly across the recreation reserve to a point<br />

in the centre of Narla Road; thence northerly along<br />

the centre of Narla Road and its continuation<br />

across Alfred Road and the Cottesloe Golf Course<br />

to a point opposite the northern boundary of Lot<br />

178 Mayfair Street; thence easterly across the Cottesloe<br />

Golf Course to a point in the centre of<br />

right-of-way adjacent to the said Lot 178; thence<br />

northerly along the centre of the said right-of-way<br />

to a point opposite the northern boundary of Lot<br />

204 Mayfair Street; thence easterly across the said<br />

right-of-way to and along the northern boundary<br />

of the said Lot 204 and its prolongation to the<br />

centre of Mayfair Street; thence northerly along<br />

the centre of Mayfair Street and its prolongation<br />

to the point of commencement and as shown as a<br />

dark border on plan M.W.B. 11411.<br />

The Times when and Place at which Plans,<br />

Sections and Specifications may be Inspected.<br />

At the office of the Board, corner of Kings<br />

Park Road and Havelock Street West Perth, for<br />

one month on and after the 19th day of May,<br />

1972 between the hours of 9 a.m. and 3.30 p.m.<br />

H. E. J. HEWITT,<br />

General Manager.<br />

NOTE<br />

Sections 22 and 23 of the Metropolitan Water<br />

Supply, Sewerage and Drainage Act, 1909-1970<br />

provide that:<br />

(a) Any local authority or person interested<br />

may lodge a written objection with the<br />

Board against the construction or provision<br />

of the proposed works, within one<br />

month after the date of publication of<br />

the above notice.<br />

(b) If, after that month has expired, the<br />

objections lodged are not sufficient to require<br />

approval to be withheld and provided<br />

other requirements of the Act have<br />

been complied with, the Governor may<br />

make an Order, to be notified in the<br />

Gazette, empowering the Board to undertake<br />

the construction of the proposed<br />

works.<br />

SHIRE OF WAGIN.<br />

STATEMENT OF RECEIPTS AND PAYMENTS FOR YEAR<br />

ENDED 30th JUNE, 1971.<br />

Receipts.<br />

Rates . 95,803.48<br />

Licenses 47,643.82<br />

Government Grants 114,387.00<br />

Income from Property 17,768.56<br />

Private Works ... 3,907.92<br />

Contribution to Works 200.00<br />

Sanitation Income 10,438.40<br />

Traffic Scheme (group) 409.98<br />

Health Scheme (group) 42.39<br />

Infant Health Services 1,178.22<br />

Fines and Penalties .... 2,974.66<br />

Cemetery Receipts 787.50<br />

Vermin Receipts .... 6.50<br />

Sale of Assets .... 16,230.00<br />

Other Sundry Receipts .. 12,168.39<br />

Total Receipts .... $323,946.82<br />

GAZETTE, W.A. [19 May, 1972.<br />

Payments.<br />

Administration: $<br />

Staff .. 21,891.64<br />

Members 1,475.85<br />

Debt Service .... .... .... 68,898.04<br />

Public Works and Services .. 113,718.02<br />

Building Construction and Equipment....<br />

.... .... .... .... 14,431.51<br />

Building Maintenance .. .... 9,450.37<br />

Water Supplies .... 99.26<br />

Town Planning .... 39.80<br />

Health Services .... 4,636.20<br />

Sanitation .... .... 10,891.31<br />

Vermin Services .... 943.12<br />

Bush Fire Control 640.62<br />

Traffic Control .... 4,123.89<br />

Building Control .... 1,539.63<br />

Cemeteries .... .... ... 1,132.31<br />

Public Works Overheads 28,196.58<br />

Less Allocated — 28,051.58<br />

145.00<br />

Engineering Scheme (group) 21.69<br />

Purchase of Plant 22,362.07<br />

Purchase of Tools, etc. 414.01<br />

Less Allocated .... — 540.67<br />

Cr. 126.66<br />

Plant Operation Costs ...<br />

22,237.69<br />

Less Allocated — 21,936.84<br />

300.85<br />

Materials Purchased<br />

21,319.35<br />

Less Allocated .... — 20,632.54<br />

686.81<br />

Payment to C.A.R. Fund 40,835.42<br />

Donations and Grants .... 1,171.81<br />

Private Works .... 3,217.45<br />

Refunds and Transfers 305.45<br />

Other Works and Services 4,816.73<br />

Other Expenditure .... 525.00<br />

Total Payments $328,173.19<br />

Credit Balance 1/7/70 ..<br />

Receipts ..<br />

SUMMARY.<br />

334,183.51<br />

Payments .... 328,173.19<br />

Credit Balance 30/6/72 .... $6,010.32<br />

BALANCE SHEET AS AT 30th JUNE, 1971.<br />

Assets.<br />

Currents Assets ..<br />

Deferred Assets ..<br />

Reserve Fund (Contra)<br />

41,218.59<br />

111,304.44<br />

349.33<br />

Fixed Assets .... 466,279.09<br />

Total Assets .. ... $619,151.45<br />

Current Liabilities ....<br />

Deferred Liabilities ....<br />

Reserve Fund (contra)<br />

Total Assets<br />

Total Liabilities ..<br />

Liabilities.<br />

36,882.58<br />

476,676.69<br />

349.33<br />

Total Liabilities . .... $513,908.60<br />

SUMMARY.<br />

10,236.69<br />

323,946.82<br />

619,151.45<br />

513,908.60<br />

Municipal Accumulation Account (surplus) .... $105,242.85<br />

A. G. JUSTINS,<br />

President.<br />

V. S. SPALDING,<br />

Shire Clerk.<br />

I have examined the books and accounts of the Shire<br />

of Wagin for the year ended 30th June, 1971. I certify<br />

that the Annual <strong>State</strong>ment mentioned above corresponds<br />

with the books of account, vouchers, and documents<br />

submitted for audit, and are in my opinion correct,<br />

subject to my report.<br />

P. M. COYNE,<br />

Government Inspector of Municipalities.<br />

LOCAL GOVERNMENT ACT, 1960-1971.<br />

Shire of Nannup.<br />

Honorary Litter Inspectors.<br />

IT is hereby notified for public information that<br />

the following have been appointed Honorary Litter<br />

Inspectors for the Shire of Nannup under section<br />

665A of the Local Government Act, 1960-<br />

1971:—<br />

Robert Henry Brockman.<br />

Michael Paul Tomas.<br />

Leslie Albert Dunnet.<br />

<strong>Law</strong>rence Franklin Dickson.<br />

John Malcolm McKittrick.<br />

Keith Dean.<br />

Shirley Florence Humble.<br />

David Frank Boulter.<br />

Dated this 11th day of May, 1972.<br />

R. H. BROCKMAN,<br />

President.

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