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PART III SECTION I. STATISTICS, 1927-1928 SECTION II. COMPARATIVE STATISTICS SECTION III. STATE FUNDS, 1927-1928 Digitized by the Internet Archive in 2012 with funding from LYRASIS Members and Sloan Foundation http://archive.org/details/biennialrepor192628nort CONTENTS SECTION I. STATISTICS, 1927-1928 A. Financial Page Table I, Miscellaneous Summary of Receipts and Expenditures 6 Table II. Summary of Receipts, Expenditures and Balances by Funds 12 Table III. Receipts for Current Expense Fund 26 Table IV. Receipts for Capital Outlay and Debt Service Funds 42 Table V. Summary of Expenditures by Funds 56 Table VI. Expenditures for General Control 70 Table VII. Expenditures for Instructional Service 84 Table VIII. Expenditures for Operation of Schools 98 Table IX. Expenditures for Maintenance and Fixed Charges 112 Table X. Expenditures for Transportation and other Auxiliaries 126 Table XI. Expenditures for Capital Outlay—New Construction 140 Table XII. Expenditures for Capital Outlay—Repairs, Alterations, etc. 154 Table XIII. Expenditures for Debt Service 168 Table XIV. Summary of Expenditures—Six Months Term 182 B. Pupil Table XV. Population, Enrollment and Attendance—-All Children 196 Table XVI. Percentage of Enrollment in Average Daily Attendance 212 Table XVII. Population, Enrollment and Attendance—Ages 7-13, In-clusive 220 Table XVIII. Enrollment by Age and Grade, White 222 Table XIX. Enrollment by Age and Grade, Colored 226 Table XX. Enrollment by Term 230 C. Teacher Table XXI. Number of Teachers, Principals, etc 232 Table XXII. Scholarship of Teachers 248 Table XXIII. Average Annual Salaries and Length of Term 251 D. Property Table XXIV. School Districts 284 Table XXV. Schoolhouses and School Property 268 Table XXVI. Number of Rural Schools Taught 282 Table XXVII. Consolidated Rural Schools 284 Table XXVIII.Transportation 288 Table XXIX. Rural Schoolhouses 294 Table XXX. School Libraries 1__ J 296 SECTION II. COMPARATIVE STATISTICS Table T. Assessed Valuation of Taxable Property—5 Year Periods__ 2)8 Table II. County School Fund Tax Rates—5 Year Periods 301 Table I'll. Educational Progress—5 Year Periods 304 Table IV. Educational Progress—10 Year Periods 308 Table V. Scholarship of White Teachers—5 Year Periods 303 Table VI. Scholarship of Colored Teachers—5 Year Periods 30.) SECTION III. STATE FUNDS, 1927-1928 Table I. State Literary Fund 310 Table II. 1925 Special Building Fund 314 Table III. 1927 Special Building Fund 315 Table IV. Indebtedness of Counties to State Loan Funds_ 321 Table V. State Public School Fund—Receipts and Expenditures 324 Table VI. Equalizing Fund Apportionment to Counties 328 Table VII. Other State Aid and Farm Life Apportionments to Counties 331 Table VIII. Vocational Education Apportionments to Counties 336 Table IX. General Education Board 340 Table X. Julius Rosenwald Fund ; 342 Table XI. Summary of Apportionments to Counties 3 15 SECTION I. STATISTICS, 1927-1928 A. FINANCIAL TABLE 1. MISCELLANEOUS SUMMARY OF RECEIPTS AND EXPENDITURES Section A. Receipts For the years 1927-1928 and 1926-1927 this summary shows the total amount of funds available in the State for school purposes; the average amount avail-able for each child of school age; the average amount available for each child enrolled in the school; the amount of funds received from State, county, local, and other sources; and the percentages of the total derived from each source. Year Rural Charter North Carolina Total Receipts (exclusive of temporary loans) . Total Receipts (exclusive of temporary loans) . . 1927-1928 1926-1927 $ 28,682,146.60 27,846,193.27 835,953.33 741,623 725,245 16,378 633,726 615,488 18,238 $ 38.67 38.39 .28 45.26 45.24 .02 26.87 27.27 .40 $ 17,226,015.91 17,085,328.02 140,687.89 253,499 244,378 9,121 215,052 208,663 6,389 $ 67.95 69.91 1.96 80.10 81.88 1.78 44.76 46.63 1.87 $ 45,908,162.51 44,931,521.29 976,641.22 1927-1928 1926-1927 995,122 969,623 25,499 1927-1928 1926-1927 848,778 824,151 24,627 1927-1928 1926-1927 $ 46.13 46.34 .21 Average amount available for each child enrolled. Average amount available for each child enrolled. 1927-1928 1926-1927 54.09 54.52 .43 Current expense available for each child enrolled. Current expense available for each child enrolled. 1927-1928 1926-1927 31.41 32.17 .76 Receipts for Current Expense: 1927-1928 1926-1927 $ 3,600,407.49 1,889,257.48 1,711,150.01 8,865,079.50 9,434,765.26 569,685.76 2,648,346.42 2,851,044.36 202.697.94 1,328,628.29 1,427,828.77 99,200.48 138,947.22 468,722.39 329,775.17 $ 34,507.68 44,906.74 10,399.06 5,751,220.67 5,775,121.92 23,901.25 3,052,854.06 3.329,280.81 276,426.75 19,021.00 40,299.07 21,278.07 267,797.91 374,395.03 106,597.12 $ 3,634,915.17 From State ... 1,934,164.22 1,700,750.95 1927-1928 1926-1927 14,616,300.17 15,209,887.18 593,587.01 Local ad valorem taxes- . 1927-1928 1926-1927 5,701,200.48 6,180,325.17 479,124.69 1927-1928 1926-1927 1,347,649.29 1,468,127.84 •120,478.55 1927-1928 1926-1927 406,745.13 Other receipts _ .. 843,117.42 Increase. •436,372.29 •Decrease Receipts, 1 927 J 928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina Balance June 30, 1927 1927-1928 1926-1927 $ 449,093.63 714,235.25 '"265,141.62 17,030,502.55 16,785,853.51 244,649.04 $ 500,406.75 165,618.03 334,788.72 9,625,808.07 9,729,621.60 103,813.53 $ 949,500.38 Balance June 30, 1926 .1. 879,853.28 69,647.10 Total Current Expense. 1927-1928 1926-1927 26,656,310.62 26,515,475 11 140,835.51 Receipts For Capital Outlay: 1927-1928 1926-1927 $ 2,670,392.76 1,066,313.28 1,604,079.48 3,459,983.81 1,440,223.02 2,019,760.79 1,129,109.17 1,837,209.50 *708, 100.33 223,460.87 370,956.47 147,495.60 292,824.45 2,480,982.21 2,188,157.76 7,775,771.06 7,195,684.48 580,086.58 $ 103,893.22 215,178.62 111,285.40 3,126,061.52 3,850,945.67 724,884.15 797,716.79 463,532.74 334,184.05 123,617.21 128,173.85 4,556.64 852,972.46 427,808.18 425,164.28 5,004,261.20 5,085,639.06 81,377.86 $ 2,774,285.98 State loans . 1,281,491.90 1,492,794.08 1927-1928 1926-1927 6,586,045.33 5,291,168.69 1,294,876.64 Ad valorem taxes 1927-1928 1926-1927 1,926,825.96 2,300,742.24 373,916 28 Other receipts .. . 1927-1928 1926-1927 347,078.08 Other receipts 499,130.32 152,052 24 Balance June 30, 1927... 1927-1928 1926-1927 1,145,796.91 Balance June 30, 1926. . . 2,908,790 39 1,762 993 48 Total Capital Outlay. ... .1927-1928 1926-1927 12,780,032.26 Total Capital Outlay. 12,281,323 54 Increase 498,708.72 County ad valorem taxes 1927-1928 1926-1927 $ 2,403,531.63 2,260,170.49 143,361.14 820,861.18 844,147.76 23,286.58 651,480.18 760,337.03 108,856.85 3,875,872.99 3,864,655.28 11,217.71 $ 409,854.39 668,272.98 258,418.59 1,856,140.50 1,274,632.19 581,508.31 329,951.75 327,162.19 2,789.56 2,595,946.64 2,270,067.36 325,879.28 $ 2,813,386.02 2,928,443.47 Increase •115,057.45 Local ad valorem taxes 1927-1928 1926-1927 2,677,001.68 Local ad valorem taxes... 2,118,779.95 Increase 558,221.73 Balance June, 30, 1927 1927-1928 1926-1927 981,431.93 Balance June 30, 1926 1,087,499.22 Increase 106,067.29 Total Debt Service... 1927-1928 1926-1927 6,471,819.63 Total Debt Service. 6,134,722.64 Increase 537,096.99 " Decrease Receipts, 19274928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina Percentage of Receipts: 1927-1928 1926-1927 59.4 60.3 *.9 27.1 25.8 1.3 13.5 13.9 *.4 55.9 56.9 *1.0 29.0 29.8 *.8 15.1 13.3 1.8 58.1 59 *.9 1927-1928 1926-1927 27.8 27.3 .5 1927-1928 1926-1927 14.1 13.7 .4 Percentages of Current Expense Receipts: 1927-1928 1926-1927 21.1 11.2 9.9 52.1 56.2 *4.1 15.6 17.0 *1.4 7.8 8.5 *.7 .8 2.9 *2.1 2.6 4.2 *1 6 .4 .5 M 59.7 59.4 .3 31.7 34.2 *2.5 .2 .4 *.2 2.8 3.8 *1.0 5.2 1.7 3.5 13.6 7.3 6.3 1927-1928 1926-1927 54.9 57.4 *2.5 1927-1928 1926-1927 21.4 23.3 *1.9 1927-1928 1926-1927 5.1 5.5 *.4 1927-1928 1926-1927 1.5 3.2 *1.7 Balance June 30, 1927 1927-1928 1926-1927 3.5 Balance June 30, 1926. .. . 3.3 .2 Percentages of Capital Outlay Receipts: 1927-1928 1926-1927 34.3 14.8 19.5 44.5 20.1 24.4 14.5 25.5 *11.0 2.1 4.3 *2.2 62.5 75.7 *13.2 15.9 9.1 6.8 21.7 10.4 11.3 1927-1928 1926-1927 51.5 43.1 8.4 1927-1928 1926-1927 15.1 18.7 *3.6 1 1 ''Decrease Receipts, 1927-1928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina 1927-1928 1926-1927 2.9 5.2 *2.3 3.8 34.4 *30.6 62.0 58.5 3.5 21.2 21.8 *.6 16.8 19.7 *2.9 2.5 2.5 2 7 4 1 *1 4 Balance June 30, 1927 1927-1928 1926-1927 17.0 8.4 8.6 15.8 29.4 *13.6 71.5 56.2 15.3 12.7 14.4 *1.7 9 Balance June 30, 1926 23 7 Increase. - •14 7 Percentages of Debt Service Receipts: 1927-1928 1926-1927 43.5 47 8 *4 3 1927-1928 1926-1927 41 3 Local ad valorem taxes 34.5 6 8 Balance June 30, 1927 1927-1928 1926-1927 15 2 Balance June 30. 1926 17.7 *2.5 "Decrease 10 Expenditures, 1927-1928 Section B. Expenditures This section summarizes for the years 1927-1928 and 1926-1927 the total ex-penditures; the amount spent for current expenses; for instructional service, ad-ministration, operation and maintenance, transportation, and other; the amount of capital outlay; and the amount expended for debt service. There is also a series of percentage and per-pupil calculations, showing in detail the pro-portion and the per capita amount of increase in expenditures for these two years. Total Expenditures— (exclusive of temporary loans) . (exclusive of temporary loans) . Increase Current Expense: Instructional Service- Instructional Service - Increase Administration. Administration, Increase... Operation and Maintenance- Operation and Maintenance- Increase Transportation. Transportation _ Increase-.. Other Other Increase. Total Current Expense. Total Current Expense. Increase Total Capital Outlay . Total Capital Outlay, Increase Total Debt Service . Total Debt Service. Increase Percentage of Total Spent for: Current Expense Current Expense Increase Capital Outlay. Capital Outlay. Increase. .. Debt Service. Debt Service. Increase . Year 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 Rural $ 26,015,911.98 26,275,244.37 *259,332.39 12,891,680.34 12,366,763.15 524,917.19 844,934.06 815,083.21 29,870.85 1,309,952.67 1,282,099.22 27,853.45 1,636,878.91 1,533,744.95 103,133.96 439,512.05 342,059.05 97,453.00 17,122,958.03 16,339,729.58 783,228.45 5,649,137.47 6,905,986.18 *1, 256, 848. 71 3,243,816.48 3,029,528.61 214,287.87 65.8 62.2 3.6 21.7 26.3 *4.6 12.5 11.5 1.0 Charter $ 14,869,620.88 15,276,271.82 *406,650.94 7,632,053.78 7,295,971.54 336,082.24 533,971.46 526,889.03 7,082.43 1,045,771.97 1,084.384.11 *38,612.14 39,562.77 47,374.83 *7,812.06 206,368.39 271,625.64 *65,257.25 9,457,728.37 9,226,245.15 231,483.22 3,425,616.83 4,229,540.45 *803,923.62 1,986,275.68 1,820,486.22 165,789.46 63.6 60.4 3.2 23.0 27.7 4.7 13.4 11.9 1.5 North Carolina $ 40,885,532.86 41,551,516.19 665,983.33 20,523,734.12 19,662,734.69 860,999.43 1,378,905.52 1,341,952.24 36,953.28 2,355,724.64 2,366,483.33 10,758.69 1,676,441.68 1,581,119.78 95,321.90 645,880.44 613,684.69 32,195.75 26,580,686.40 25,565,974.73 1,014,711.67 9,074,754.30 11,135,526.63 2,060,772.33 5,230,092.16 4,850,014.83 -380,077.33 65.0 61.5 3.5 22.2 26.8 4.6 12.8 11.7 1.1 Expenditures, 1927-1928 Section B. Expenditures—Continued 1 1 Year Rural Charter North Carolina Percentage of Current Expense for: 1927-1928 1926-1927 75.3 75.7 *.4 4.9 5.0 .1 7.7 7.8 *.l 9.5 9.4 .1 2.6 2.1 .5 80.7 79.1 1.6 5.6 5.7 .1 11.1 11.7 .6 .4 .5 *.l 2.2 3.0 .8 77.2 77.0 2 1927-1928 1926-1927 5.2 5.2 1927-1928 1926-1927 8.9 9.2 *.3 1927-1928 1926-1927 6.3 6.2 .1 Other 1927-1928 1926-1927 2.4 Other 2.4 Total Amount Spent: 1927-1928 1926-1927 35.08 36.23 *1.15 41.05 42.69 1.64 55.55 59.08 *3 53 1,446 00 1,493.59 *47.59 58.66 62.51 3.85 69.14 73.21 4.07 86.28 91.42 5.14 2,385.24 2,544.35 159.11 41.09 For each child of school age .. 42.85 1.76 1927-1928 1926-1927 48.17 50.42 2.25 For each child in average daily attendance .. For each child in average daily attendance .. 1927-1928 1926-1927 63.82 67.92 4.10 1927-1928 1926-1927 1,687.67 1,760.96 Increase- 73.29 Amount Current Expense: 1927-1928 1926-1927 23.09 22.53 .56 27.02 26.55 .47 36.56 36.74 .18 951.70 928.82 22.88 37.31 37.75 .44 43.98 44.22 .24 54.88 55.22 .34 1,517.12 1,536.68 19.56 26.71 For each child of school age 26.37 Increase .34 For each child enrolled 1927-1928 1926-1927 31.32 For each child enrolled .. 31.02 Increase . .30 For each child in average daily attendance .. For each child in average daily attendance _. Increase. 1927-1928 1926-1927 41.49 41.79 .30 For each teacher employed... ... 1927-1928 1926-1927 1,097.19 For each teacher employed 1,083.49 Increase 13.70 TABLE II. SUMMARY OF RECEIPTS, Counties Total—All Funds, A-B-C Receipts Expendi-tures Balance June 30, 1928 A. Current Expense Receipts Expendi-tures Alamance — Rural Burlington Graham Haw River Mebane. Alexander Alleghany Anson Rural Morven Wadesboro Ashe Avery.. Beaufort Rural Washington... Bertie Bladen Brunswick Buncombe Rural Asheville Burke Rural Glen Alpine.... Morganton Cabarrus. Rural Concord Caldwell Rural Granite Falls.. Lenoir Camden Carteret... Rural. Beaufort. Morehead City » 745,421.51 483,684.27 154,470.82 37,369.26 24,384.62 45,512.54 197,083.42 52,088.65 318,466.19 188,037.49 25,682.24 104,746.46 137,458.23 130,871 .35 467,026.48 333,944.00 133,082.48 288,640.66 276,252.13 452,069.01 4,765,201.35 2,833,324.21 1,931,877.14 285,726.72 163,426.01 24,447.67 97,853.04 670,701.77 530,251.92 140,449.85 357,850 34 202,235.20 45,137.11 110,478.03 122,973.70 278,007.74 134,011.12 105,268.72 38,727.90 t 670,355.46 441,255.74 131,968.54 34,218.23 17,728.86 45,184.09 194,893 71 49,652.63 283,887 24 182,150.99 25,141.17 76,595.08 129,543.39 120,398.59 393,315.89 291,121.69 102,194.20 271,518.99 245,041.67 424,086.30 4,287,675 13 2,678,109.08 1,609,566.05 266,753 11 145,005.15 23,917.69 97,830.27 670,212.13 528,864.21 141,347.92 344,303 48 199,495.50 35,007.96 109,800.02 110,754.65 318,150.47 175,378.53 104,443.48 38,328.46 75,066.05 42,428.53 22,502.28 3,151.03 6,655.76 328.45 2,189.71 2,436.02 34,578.95 5,886.50 541.07 28,151.38 7,914.84 10,472.76 73,710.59 42,822.31 30,888.28 17,121.67 31,210.46 27,982.71 477,526.22 155,215.13 322,311.09 18,973 61 18,420.86 529.98 22.77 1,387.71 898.07 13,546 86 2,739.70 10,129.15 678.01 12,219.05 40,142.73 41,367.41 825.24 399.44 $ 543,463.97 329,686.16 133,698.66 32,973.28 22,426.42 24,679.45 171,012.02 47,158.37 232,203.42 151,398.46 18,990.08 61,814.88 130,358.75 106,923.51 306,726.73 207,851.81 98,874.92 199,528.76 164,386.16 112,595.15 2,384,898.71 1,776,553.61 608,345.10 218,122.12 121,319.61 21,374.41 75,428.10 277,862.75 169,515.27 108,347.48 207,244.64 121,907.35 26,917.24 58,420.05 53,423.66 169,989.87 93,920.55 37,413.42 38,655.90 I 537,034.24 342,877.58 119,193.22 30,518.37 15,770.66 28,674.41 168,301.24 45,102 36 216,134.58 150,314.14 18,466.37 47,354.07 123,617.11 99,815.75 277,422.46 199,540.28 77,882.18 197,929.15 160,044.44 93,934.53 2,353,218.84 1,684,825.32 668,393.52 209,713.08 112,898.75 21,374.41 75,439.92 283,850.74 168,642.82 115,207.92 200,809 50 118,864.04 23,525.41 58,420.05 49,942.62 171,036 98 96,192.34 36,588.18 38,256.46 •Overdraft. 13 EXPENDITURES AND BALANCES BY FUNDS Fund B. Capital Outlay Fund c. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 6,429.73 •13,191.42 14,505.44 2,454.91 $ 137,309.53 130,659.23 3,087.17 1,706.23 375.00 1,481.90 $ 71,789.21 67,547.54 2,856.56 1,010.11 375.00. $ 65,520.32 63,111.69 230.61 696.12 $ 64,648.01 23,338.88 17,684.99 2,689.75 1,583.20 19,351.19 $ 61,532 01 30,830.62 9,918.76 2,689.75 1,583.20 16,509.68 $ 3,116.00 •7,491.74 7,766.23 6,655.76 •3,994.96 1,481.90 2,841.51 2,710.78 12,763.41 13,118.89 •355.48 13,307.99 13,473.58 •165.59 2,056.01 530.01 150.00 b30.01 4,400.27 4,400.27 16,068.84 1,084.32 523.71 14,460.81 46,408.08 25,237.67 3,337.00 17,833.41 29,701.13 21,909.60 3,267.30 4,524.23 16,706.95 3,328.07 69.70 13,309.18 39,854.69 11,401.36 3,355.16 25,098.17 38,051.53 9,927.25 3,407.50 24,716.78 1,803.16 1,474.11 •52.34 381.39 6,741.64 2,549.79 1,347.69 1,202.10 4,549.69 4,578.59 •28 90 7,107.76 2,500.00 1,235.00 1,265.00 21 ,.447. 84 19,347.84 2,100.00 29,304.27 8,311.53 20,992.74 60,172.66 52,929.41 7,243.25 21,465.27 19,244.18 2,221.09 38,707.39 33,685.23 5,022.16 100,127.09 73,162.78 26,964.31 94,428.16 72,337.23 22,090.93 5,698.93 825.55 4,873.38 1,599.61 56,634.47 33,394.20 23,240.27 32,477.43 40,195.64 •7,718.21 4,341.72 66,007.88 39,229.14 26,778.74 45,858.09 45,768.09 90 00 18,660 62 259,273.09 253,841 59 5,431.50 80,200.77 76,310.18 3,890 59 31,679 87 91,728.29 •60,048.42 1,824,389.40 846,802.36 977,587.04 1,557,460.41 810,181.14 747,279.27 266,928.99 36,621.22 230,307.77 555,913.24 209,968.24 345,945.00 376,995.88 183,102.62 193,893.26 178,917.36 26,865.62 152,051.74 8,409.04 8,420.86 26,684.99 14,151.02 1,961.28 10,572.69 16,680.58 4,151.02 1,961.28 10,568.28 10,004.41 10,000.00 40,919.61 27,955.38 1,111.98 11,852.25 40,359 45 27,955.38 582.00 11,822.07 560.16 529.98 •11.82 4.41 30.18 •5,987.99 872.45 •6,860.44 166,209.91 159,347.54 6,862 37 156,630.85 155,730.85 900.00 9,579.06 3,616.69 5,962.37 226,629.11 201,389.11 25,240.00 229,730.54 204,490.54 25,240.00 •3,101.43 •3,101.43 6,435.14 3,043.31 3,391.83 94,250.86 64,695.50 2,178.58 27,376.78 91,440.21 64,155.98 2,178.58 25,105.65 2,810.65 539.52 56,354.84 15,632.35 16,041.29 24,681.20 52,053.77 16,475.48 9,303.97 26,274.32 4,301.07 •843.13 6,737.32 2,271.13 •1,593.12 3,481.04 48,601.80 44,929.73 3,672.07 20,948.24 15,882 30 5,065.94 •1,047.11 •2,271.79 825.24 77,510.87 9,583.57 67,855.30 72.00 82,649.17 14,721.87 67,855.30 72.00 •5,138.30 •5,138.30 30,507.00 30,507.00 64,464.32 64,464.32 •33,957 32 •33,957.32 399.44 14 Receipts and Table II. Summary of Receiptf, Counties Caswell- Catawba Rural ... Hickory. Newton. Chatham Cherokee Rural Andrews. Murphy. Chowan Rural Edenton. Clay Cleveland _. Rural Kings Mountain. Shelby Columbus. Craven Rural New Bern. Cumberland Rural Fayetteville. Currituck Dare- Davidson Rural Lexington... Thomasville. Davie Rural Moeksvillc. Duplin. Durham Rural... Durham. Total—All Funds, A-B-C Receipts $ 126,521 45 656,774.58 * 442,858.62 146,542.29 67,373.67 245,232.28 181,762 87 117,504.28 37,227.12 27,031.47 118,289.58 73,535.99 44,753.59 63,208.45 527,563.22 289,756.89 43,505.55 194,300.78 474,513.71 540,666.97 433,904.85 106,762.12 534,136.11 316,917.42 217,218.69 109,800 84 70,199.11 838,733.15 429,027.52 238,555.82 171,149.81 180,989.73 139,136.05 41,853.68 764,461.81 2,489,729.62 663,020.23 1,826,709.39 Expendi-tures $ 122,408.32 631,762.93 429,451.05 140,818.64 61,493.24 224,108 93 142,125.52 80,782.66 35,066.13 26,276.73 107,202 33 63,435.55 43,766.78 40,653.48 482,084 03 245,970.15 43,172.21 192,941.67 404,834.92 492,645.08l 386,123.88 106,521.20 479,577 15 281,328.73 198,248.42 101,532.33 65,353.48 729,868.14 382,433.80 238,371.59 109,062.75 175,862.10 134,233.92 41,628.18 563,943 52 1,990,329.74 600,825.86 1,389,503.88 Balance June 30, 1928 4,113.13 25,011.65 13,407.57 5,723.65 5,880.43 21,123.35 39,637.35 36,721.62 2,160.99 754.74 11,087.25 10,100.44 986.81 22,554.97 45,479.19 43,786.74 333.34 1,359.11 69,678.79 48,021.89 47,780.97 240.92 54,558.96 35,588.69 18,970.27 8,268.51 4,845.63 108,865.01 46,593.72 184.23 62,087.06 5,127.63 4,902.13 225.50 200,518.29 62,194.37 437,205.51 A. Current Expense Receipts $ 103,129.59 438,384.38 285,132.72 107,754.64 45,497.02 196,260.36 113,267.77 59,046.80 31,896.72 22,324.25 92,785.75 57,346.83 35,438.92 33,813.90 386,981.70 196,690.31 37,522.35 152,769.04 319,129.91 260,714 08 173,054.20 87,659.88 363,664.26 254,292.50 109,371.76 82,096 88 57,621.48 425,696.62 259,564.10 103,029.47 63,103.05 153,371.02 119,933.03 33,437.99 381,072.89 857,720.70 232,299.26 625,421.44 Expendi-tures $ 101,815.55 415,441 .99 272,025.64 102,030.99 41,385.36 192,265.22 108,218.39 56,342.42 30,371.31 21,504.66 81,945.97 46,807.61 35,138.36 32,122.68 389,138.21 200,163.32 37,548.81 151,426.08 268,104.70 258,020.96 168,147.61 89,873.35 330,267 72 214,366.23 115,901.49 76,533.47 52,775 85 424,615.02 258,554.10 103,029.47 63,031.45 152,832.24 119,619.75 33,212.49 345,101 90 822,771.77 225,880.35 596,891.42 *Ovcrdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 15 Fund B. Capital Outlav Fund C. Debt Service Fun i Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 1,314.04 $ 10,374 39 $ 6,970 02 $ 3,404 37 $ 13,017.47 $ 13,622.75 $ *605 28 22,942 39 13,107.08 5,723.65 4,111.66 133,779 84 132,760.50 516.74 502.60 133,779 84 132,760.50 516.74 502.60 84,610.36 24,965.40 38,270.91 21,374.05 82,541.10 24,664.91 38,270.91 19,605.28 2,069 26 300.49 1,768 77 3,995 14 27,458 67 13,986.11 13,472 56 21,513.25 17,857.60 3,655.65 5,049.38 2,704.38 1,525 41 51,218 20 49,397.28 635.58 1,185.34 16,838.88 15,753.15 34,379.32 33,644.13 635.58 99.61 17,276.90 9,060.20 4,694.82 3,521.88 17,068.25 8,687.09 4,694.82 3,686.34 208.65 373.11 819.59 1,085.73 •164.46 10,839.78 10,539.22 300.56 3,537 58 876.82 2,660.76 3,185 36 565.58 2,619.78 352 22 311.24 40.98 21,966.25 15,312.34 6,653.91 22,071.00 16,062.36 6,008.64 •104 75 750.02 645.27 1,691 22 21,361.83 21,361.83 8,032.72 8,530.80 498 08 •2,156.51 •3,473.01 •26.46 90,728.58 55,009.64 5,983.20 29,735.74 116,601 42 45,458.48 10,115.49 5,623.40 29,719.59 100,104.00 45,270.10 44,894.15 359.80 16.15 16,497.42 49,852.94 38,056.94 47,487.34 35,691.34 2,365.60 2,365.60 1,342.96 11,796.00 38,782.38 11,796.00 51,025.21 36,626.22 2,156.16 2,693.12 4,906.59 •2,213.47 76,086 31 69,457.40 6,628.91 58,882.43 14,979.87 43,902.56 62,810.27 58,635.75 4,174.52 29,133 98 10,731.42 18,402.56 13,726.04 10,821.65 2,454.39 29,748.45 4,248.45 25,500.00 203,866.58 191,393.25 12,473.33 111,589 42 47,645.05 63,944.37 171,813.85 159,340.52 12,473.33 120,175.45 56,231.08 63,944.37 32,052.73 32,052.73 33,396.54 39,926.27 •6,529.73 8,586.03 8,586.03 5,563 41 2,462 68 2,189 40 273.28 25,241.28 22,809 46 2,431.82 4.845 63 9,113 68 9,113 68 3,463.95 3,463 95 1,081 60 1,010 00 322,847 97 139,271.92 96,838.85 86,737.20 219,451 15 98,074.79 96,654.62 24,721.74 103,396 82 41,197.13 184.23 62,015.46 90,188 56 30,191 50 38,687.50 21,309.56 85,801 97 25,804.91 38,687.50 21,309.56 4,386 59 4,386.59 71.60 538 78 313.28 225.50 2,445 12 1,876.76 568.36 1,792 47 1,224.11 568.36 652 65 652.65 25,173 59 17,326.26 7,847 33 21,237.39 13,390.06 7,847.33 82,101.16 3,936 20 3,936.20 35,970 99 282,747 48 136,740.46 146,007.02 100,641.44 18,540.28 34,948.93 6,418.91 28,530.02 1,271,216 00 150,839.86 1,120,376.14 902,978.62 186,652.90 716,325.72 368,237.38 35,813.04 404,050.42 360,792.92 279,881.11 80,911.81 264,579.35 188,292.61 76,286.74 96,213.57 91,588.50 4,625.07 16 Receipts and Table II. Summary of Receipts, Counties Edgecombe Rural... Tarboro. Forsyth Rural Winston-Salem. Franklin Rural. Franklinton. Louisburg... Gaston Rural. City. Cherryville Gastonia.. Gates. . . Graham. Granville. .. Rural.. Oxford. Greene Guilford... Rural Greensboro. High Point. Halifax... Rural. Enfield Roanoke Rapids. Scotland Neck__. Weldon Harnett. Haywood. .. Rural.. Canton, Henderson Rural Hendersonville. Hertford Total—All Funds, A-B-C Receipts $ 411,650 20 304,337.13 107,313.07 1,348,637.50 383,415.44 965,222.06 399,686.06 265,717.97 67,534.60 66,433.49 1,044,372.05 551,151.48 63,176.96 40,639.94 389,403.67 256,612.08 94,249.16 386,342.00 315,290.73 71,051.27 227,279 93 4,783,702.88 1,341,021.72 2,612,071.59 830,609.57 763,781.61 409,734.35 53,695.34 182,057.46 62,619.41 55,675.05 611,749.85 362,231.39 291,525.32 70,706.07 886,253 36 769,496.20 116,757.16 219,684 59 Expendi-tures $ 367,809.22 265,313.32 102,495.90 1,337,930.06 372,708.00 965,222.06 373,040 15 265,637.24 53,223.61 54,179.30 1,055,148 35 529,640.92 62,953.67 38,769.90 423,783.86 253,060 18 81,033.66 382,701.34 311,821.02 70,880.32 236,982 66 4,271,402 97 1,169,695.77 2,275,308.86 826,398.34 769,894.69 430,861.54 46,447.27 174,437.53 62,409.18 55,739.17 582,670.73 365,872.44 295,517.53 70,354.91 660,129.05 546,839.39 113,289.66 160,491 49 Balance June 30, 1928 43,840.98 39,023.81 4,817.17 10,707.44 10,707.44 26,645 91 80.73 14,310.99 12,254.19 10,776.30 21,510.56 223.29 1,870.04 •34,380.19 3,551.90 13,215.50 3,640.66 3,469.71 170.95 9,702.73 512,299.91 171,325.95 336,762.73 4,211.23 6,113.08 21,127.19 7,248.07 7,619.93 210.23 64.12 29,079 12 3,641.05 3,992.21 .351.16 226,124.31 222,656.81 3,467.50 59,193 10 A. Current Expense Receipts $ 291,047.58 203,915.40 87,132.18 1,035,048.75 307,392.02 727,656.73 211,306 08 144,547.54 39,201.62 27,556.92 725,061.00 414,038.51 37,267.24 37,155.95 236,599.30 127,346.97 58,461.34 314,422.67 255,396.76 59,025.91 135,693.56 2,173,512.37 466,306.47 1,128,213.02 578,992.88 501,817.70 271,322.38 30,987.93 126,601.45 31,241.40 41,664.54 317,823 71 226,210 50 169,782.55 56,427.95 391 , 884 41 294,603.55. 97,280.86 124,743 32 Expendi-tures $ 273,204.28 190,075.15 83,129.13 1,028,504.81 300,848.08 727,656.73 210,685.12 144,541.20 40,743.95 25,399.97 710,916.19 407,001.17 37,043.95 35,285.91 231,585.16 133,015.14 50,048.87 310,782.01 251,927.05 58,854.96 147,151.50 2,168,607.17 439,905.39 1,153,671.14 575,030.64 502,080.52 275,132.65 35,206.52 118,981.52 31,031.17 41,728.66 311,848.47 234,435.63 178,358.84 56.076.79 338,851.11 245,037.75 93,813.36 133.506.50 Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 17 Fund Balance June 30, 195 $ 17,843.30 13,840.25 4,003.05 6,543.94 6,543.94 620,96 6.34 •1,542.33 2,156.95 14,144 81 7,037.34 223.29 1,870.04 5,014.14 •5,668.17 8,412.47 3,640.66 3,469.71 170.95 •11,457.94 4,905.20 26,401.08 *25,458.12 3,962.24 •262.82 •3,810.27 •4,218.59 7,619.93 210.23 •64.12 5,975.24 •8,225.13 •8,576.29 351.16 53,033.30 49,565.80 3,467.50 •8,763.18 B. Capital Outlay Fund Receipts $ 59,096.00 55,972.06 3,123.94 60,386.55 32,157.47 28,229.08 85,532.81 63,788.57 11,647.00 10,097.24 15,244.36 30,214.77 22,393.56 826.74 •38,190.71 I 21,846.80 27,071.02 6,560.04 5,905.31 654.73 66,611.37 2,078,938.99 526,003.47 1,381,020.33 171,915.19 133,718.04 112,600.82 12,454.15 3,921.04 4,742.03 117,843 39 44,977.83 43,916.46 1,061.37 317,810.64 311,633.94 6,176.70 65,446.74 Expendi-tures $ 35,460.07 33,150.25 2,309.82 49,965.74 21,736.66 28,229.08 63,675.54 61,489.69 2,185.85 48,245.47 23,821.55 22,393.56 826.74 1,203.62 16,640.68 23,722 83 6,560.04 5,905.31 654.73 66,583.21 1,568,465.02 381,078.60 1,015,720.22 171,666.20 154,975.02 145,324.46 987.49 3,921.04 4,742.03 94,739 51 19,819.90 18,758.53 1,061.37 144,719.63 138,542.93 6,176.70 8,830.03 Balance June 30, 1928 $ 23,635.93 22,821.81 814.12 10,420 81 10,420.81 21,857.27 2,298.88 9,461.15 10,097.24 •33,001.11 6,393.22 •39,394.33 5,206.12 3,348.19 28.16 510,473.97 144,924.87 365,300.11 248.99 •21,256.98 •32,723.64 11,466.66 23,103.88 25,157.93 25,157.93 173,091.01 173,091.01 56,616.71 C. Debt Service Fund Receipts $ 61,506.62 44,449.67 17,056.95 253,202.20 43,865.95 209,336.25 102,847.17 57,381.86 16,685.98 28,779.33 304,066 69 106,898.20 3,516.16 2,657.25 190,995.08 107,418.31 8,716.80 65,359.29 53,988.66 11,370.63 24,975.00 531,251.52 348,711.78 102,838.24 79,701.50 128,245.87 25,811.15 10,253.26 51,534.97 31,378.01 9,268.48 176,082.75 91,043.06 77,826.31 13,216.75 176,558.31 163,258.71 13,299.60 29,494.53 Expendi-tures Balance June 30. 1928 $ 59,144.87 42,087.92 17,056.95 259,459.51 50,123.26 209,336.25 98,679.49 59,606.35 10,293.81 28,779.33 295,986 98,818 3,516. 2,657. 190,995. 103,404.36 7,261.96 65,359. 53, 11,370. 29 ,66 .63 23,247.95 534,330. 348,711. 105,917. 79,701. 112,839. 10,404. 10,253 51,534 31,378 9,268 176,082 75 91 16 75 111,616 98,400 13,216 176,558 163,258, 13,299. $ 2,361.75 2,361.75 •6,257.31 •6,257.31 4,167.68 '2,224.49 6,392.17 8,080 00 8,080.00 4,013.95 1,454.84 1,727.05 '3,079 26 "3,079.26 15,406 72 15,406.72 '20,573 85 '20,573.85 18,154.96 11,339.57 18 Receipts and Table II. Summary of Receipts Counties Hoke. Hyde. Iredell Rural Mooresville. Statesvil'e.. Jackson_ Johnston. _. RuraL. Benson. Jones Lee Rural-.. Sanford. Lenoir Rural... Kinston. Lincoln Rural Lincolnton. Macon Madison- Martin. McDowell.. Rural. . Marion. Mecklenburg. Rural.-.. Charlotte Davidson Mitchell Montgomery- Moore. Rural Aberdeen Carthage. Southern Pines. Total—All Funds, A-B-C Receipts $ 187,050.87 104,832 39 629,803 25 358,926.55 106,376.00. 164,500.70 184,687.92 1,453,539 43 1,403,682.61 49,856.82 99,701.49 231,899 62 169,945.88 61,953.74. 743,566 73 412,788.41 330,778.32 247,248.39 185,651.65 61,596.74 128,830.07 284,711.07 334,730.74 463,837.91 398,050.66 65,787.25 2,309,275 23 1,134,047.11 1,152,538.55 22,689.57 149,996 14 308,308 58 500,835 37 331,391.51 41,046.24 45,240.42 62,649.69 20.507.51 Expendi-tures $ 156,390 67 100,584.14 505,369.78 248,220.59 92,710.16 164,439.03 177,434.43 1,357,315 26 1,309,534.73 47,780.53 Balance June 30, 1928 30,660.20 4,248.25 124,433.47 110,705.96 13,665.84 61.67 7,253 49 96,224.17 94,147.88 2,076.29 102,506.61 *2,805.12 199,785 82 32,113.80 134,518.90 35,426.98 65,266.92 •3,313.18 633,287 42 110,279.31 307,490.11 105,298.30 325,797.31 4,981.01 213,326.23 33,922.16 152,529.88 33,121.77 60,796.35 800.39 112,490 36 16,339.71 280,222 73 4,488.34 217,621.11 117,109.63 396,373 70 67,464 21 330,755.27 67,295.39 65,618.43 168.82 2,180,385 86 128,889 37 1,034,301 12 99,745.99 1,123,395.17 29,143.38 22,689.57 144,899 58 5,096 56 303,735 91 4,572.67 447,687 54 53,147.83 286,868.64 44,522.87 39,495.04 1,551.20 40,612.06 4,628.36 61,123.65 1,526.04 19,588.15 919.36 A. Current Expens Receipts $ 99,849.79 77,499 93 452,843.06 262,783.23 81,406.02 108,653.81 130,859.48 1,128,552.73 1,100,796.50 27,756.23 78,254.71 175,640.55 126,885.07 48,755.48 290,543.25 158,784.42 131,758.83 168,037.49 126,648.72 41,388.77 107,676.77 175,067 25 173,590 39 227,062 38 180,644.27 46,418.11 ,076,158.25 374,254.87 682,261.09 19,642.29 125,160.08 158,695.45 288,623.67 176,734.05 27,870.37 32,270.44 37,158.24 14,590.57 Expendi-tures $ 94,027.61 80,085 54 384,084.70 207,752.38 67,740.18 108,592.14 134,297 68 1,089,685.58 1,062,994.31 26,691.27 81,059.83 144,439.85 92,319.19 52,120.66 280,636 38 152,905.86 127,730.52 159,739.66 119,151.28 40,588.38 94,588 33 170.578.91 160,945 95 199,294 97 146,995.96 52,299.01 1,106,988 76 385,841.69 701,504.78 19,642.29 117,646 54 153,844.72 282,239.78 176,044.95 27,107.24 27,642.08 37,032.20 14,413.31 •Overdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 19 Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 5,822.18 $ 43,143 33 $ 31,714.85 $ 11,42848 $ 44,057 75 $ 30,648 21 $ 13,409.54 •2,585.61 12,500 38 6,982.99 5,517.39 14,832 08 13,515.61 1,316.47 68,758.36 55,030.85 13,665.84 61 67 82,713.45 66,967.41 2,309.94 13,436.10 33,069.49 17,323.45 2,309 94 13,436.10 49,643.96 49,643.96 94,246.74 29,175.91 22,660.04 42,410.79 s 88,215.59 23,144.76 22,660.04 42,410.79 6,031.15 6,031.15 3,438.20 28,827.74 18,136 05 10,691.69 25,000 70 25,000.70 38,867.15 37,802.19 1,064.96 2,805.12 31,200.70 192,076 43 191,065.10 1,011.33 154,963 91 154,963.91 37,112.52 36,101.19 1,011.33 132,910 27 111,821.01 21,089.26 112,665 77 91,576.51 21,089.26 20,244.50 20,244.50 5,666 00 5,666.00 15,780 78 15,780 78 17,18*5 48 16,173.88 1,011.60 16,272.38 15,312.78 959.60 913.10 861.10 52.00 39,073 59 26,886.93 12,186.66 39,073 59 26,886.93 12,186.66 34,565.88 3,365.18 9,906.87 5,878.56 151,919 26 130,863.02 21,056.24 49,027 13 31,443.28 17,583.85 102,892 13 99,419.74 3,472.39 301,104 22 123,140.97 177,963.25 303 , 623 . 91 123,140.97 180,482.94 2,519.69 4,028.31 2,519.69 8,297 83 7,497.44 800.39 36,016 11 33,472.12 2,543.99 9,488 70 6,944.71 2,543.99 26,527 41 26,527.41 43,194.79 25,530.81 17,663.98 44,097.87 26,433.89 17,663 98 *903 08 903.08 13,088.44 4,479.22 3,466 77 1,012.45 16,674.08 14,435 26 2,238.82 4,488 34 15,737.35 15,737 35 93,906 47 93,906 47 12.644 44 127,468 08 22,581 08 104,887 00 33,672 27 34,094 08 421.81 27,767.41 33,648.31 5,880.90 170,059.86 168,446.44 1,613.42 154,101.82 152,488.40 1,613.42 15,958.04 15,958.04 66,715.67 48,959.95 17,755 72 42,976 91 31,270.91 11,706 00 23,738 76 17,689.04 6,049.72 105,971.32 105,971.32 30,830.51 11,586.82 19,243.69 468,477.97 119,084.89 349,310.80 82.28 8,432.34 414,729.41 113,723.40 300,923.73 82.28 9,989.59 53,748.56 5,361.49 48,387.07 764,639.01 640,707.35 120,966.66 2,965.00 16,403.72 658,667.69 534,736.03 120,966.66 2,965.00 7,513.54 1,557.25 17,263.45 859.73 4,850.73 99,364.76 100,145.13 *780 37 50,248.37 49,746.06 502.31 6,383.89 689.10 763.13 102,736 49 93,685.70 1,035.52 3,609.09 3,970.58 435.60 66,984.82 60,288.70 247.45 3,609.09 2,570.58 269.00 35,751.67 33,397.00 788.07 109,475.21 60,971.76 12,140.35 9,360.89 21,520.87 5,481.34 98,462.94 50,534.99 12,140.35 9,360.89 21.520.87 4,905.84 11,012.27 10,436.77 4,628.36 126.04 177.26 1,400.00 166.60 575.50 20 Receipts and T'.BI.K Summary of Receipts, Counties Nash Rural Rocky Mount. Spring Hope.. New Hanover Rural Wilmington... Northampton Onslow Orange Rural Chapel Hill... Pamlico Pasquotank Rural Elizabeth City Pender Perquimans Person Rural Roxboro Pitt Rural Ayden Greenville Polk Rural Tryon Randolph Rural Asheboro Richmond Rural Hamlet Rockingham.. Robeson Rural Lumberton Maxton Total—All Funds, A-B-C Receipts $ 886,197.67 453,331.41 389,029.43 43,836.83 703,734.92 166,525.05 537,209.87 498,281.44 230,643.73 319,646.74 276,359.93 43,286.81 104,906.18 323,345 05 133,094.86 190,250.19 210,789.38 103,349.24 199,286*29 168,201.47 31,084.82 822,841.61 480,474.53 41,893.21 300,473.87 145,459.82 109,141.69 36,318.13 389,284.77 337,286.34 51,998.43 367,548.41 190,250.54 94,040.74 83,257.13 646,886 90 542,312.14 61,962.97 42,611.79 Expendi-tures 883,273.95 448,917.75 390,671.33 43,684.87 693,239 78 156,029.91 537,209.87 424,168.46 220,266.34 284,018 19 236,543.86 47,474.33 99,436.77 331,548.07 156,949.10 174,598.97 188,021.09 104,309.86 201,150.67 155,291.46 45,859.21 753,933.68 468,250.50 41,177.47 244,505.71 151,776.23 115,519.24 36,256.99 362,127.40 310,255.72 51,871.68 336,573 61 168,786.85 92,813.28 74,973.48 563,559.75 464,771.87 60,073.15 38,714.73 Balance June 30, 1928 2,923.72 4,413.66 1,641.90 151.96 10,495.14 10.495.14 74,112.98 10,377.39 35,628.55 39,816.07 *4,187.52 5,469.41 *8,203.02 *23,854.24 15,651.22 22,768.29 960.62 1,864.38 12,910.01 14,774.39 68,907 93 12,224.03 715.74 55,968.16 6,316.41 6,377.55 61.14 27,157.37 27,030.62 126.75 30,974.80 21,463.69 1,227.46 8,283.65 83,327.15 77,540.27 1,889.82 3,897.06 A. Current Expense Receipts $ 473,342.12 232,374.60 207,996.36 32,971.16 599,622.21 115,597.90 484,024.31 307,309.00 137,657.96 243,842.87 208,818.99 35,023.88 89.913 33 213,496.94 97,071.27 116,425.67 146,199.88 90,545.09 143,941.73 124,046.00 19,895.73 432,291 21 291,735.79 34,233.27 106,322.15 98,475.49 75,687.36 22,788.13 310,577 96 272,492.84 38,085.12 306,572 42 156,232.07 76,927.98 73,412.37 428,615.36 351,996.16 50,872.08 25,747.12 Expendi-tures $ 492,112.17 266,399.23 192,010.76 33,702.18 610,671.08 126,646.77 484,024.31 315,880 87 127,904 04 219,233.88 177,869.25 41,364.63 85,175 72 228,545.86 119,702.06 108,843.80 133,028.06 91,505 71 156,300.02 121,629.90 34,670.12 440,185.73 298,470.86 33,517.53 108,197.34 104,791.90 82,064.91 22,726.99 308,922.51 268,313.77 40,608.74 275,597.62 134,768.38 75,700.52 65,128.72 404,593 52 328,770.78 48,982.26 26,840.48 'Overdraft Expenditures, 1927-1928 21 Expenditure? and Balances by Funds—Continued Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ *18,770 05 •34,024.63 15,985.60 731.02 $ 174,351 10 30,342.82 142,509.20 1,499.08 $ 187,606 50 22,087.92 164,237.07 1,281.51 $ *13,255 40 8,254.90 21,727.87 217.57 $ 238,504.45 190,613.99 38,523.87 9,366.59 $ 203,555 28 160,430.60 34,423.50 8,701.18 $ 34,949.17 30,183.39 4.100.37 665.41 11,048.87 11,048.87 10,980 60 10,980.60 8,809 39 8,809.39 2,171.21 2,171.21 93,132.11 39,946.55 53,185.56 45,837.68 73,759.31 20,573.75 53,185.56 32,531 83 19,372.80 19,372.80 8,571.87 145,134.76 75,755 76 69,379 00 13,305.85 9,753.92 29,794.06 28,885.40 908.66 63,191.71 63,476 90 285 19 24,608.99 30,949.74 6.340.75 11,599.92 11,016.07 583.85 10,334 31 9,858.71 475.60 1,265.61 1,157.36 108.25 64,203 95 56,524.87 7,679.08 54,450 00 48,815.90 5,634.10 9,753 95 7,708.97 2,044.98 4,737.61 1,015.51 1,148 50 132.99 13,977.34 13,112.55 864.79 15,048.92 22,630.79 7,581.87 23,589.19 12,928.00 10,661.19 14,813.28 12,221.44 2,591.84 8,775.91 706.56 8,069 35 86,258.92 23,095.59 63,163 33 88,188 93 25,025.60 63,163.33 1,930.01 1,930.01 13,171.82 18,116 09 14,102 59 4,013 50 46,473.41 40,890.44 5,582.97 960.62 1,500 36 24,831.78 23,348.94 1,482.84 1,500 36 15.581.45 14,098.61 1,482.84 11,303.79 30,512.78 20,806.53 9,706.25 11,303.79 29,269.20 19,562.95 9,706.25 12,358.29 2,416.10 14,774.39 9,250.33 9,250.33 1,243.58 1,243.58 7,894.52 6,735.07 281,169 96 151,593.80 3,576.16 126,000.00 206,943 23 132,634.70 3,576.16 70,732.37 74,226 73 18,959.10 109,380.44 37,144.94 4,083.78 68,151.72 106,804 72 37,144.94 4,083.78 65,576.00 2,575.72 715.74 1,875.19 55,267.63 2,575.72 6,316.41 8,406.34 8,331.34 75.00 8,406 34 8,331.34 75.00 38,577.99 25,122.99 13,455.00 56,661.49 45,793.56 10,867.93 38,577.99 25,122.99 13,455 00 6,377.55 61.14 1,655.45 4,179.07 2,523.62 22,045.32 18,999.94 3,045.38 18,198 42 15,153.04 3,045.38 3,846.90 3,846.90 35,006 47 26,788.91 8,217.56 21,655.02 19,004.65 2,650.37 30,974.80 11,348.98 8,288.08 2,076.14 984.76 149,441.69 146,298.81 1,808.39 1,334.49 11,348.98 8,288.08 2,076.14 984.76 95,126.80 91,983.92 1,808.39 1,334.49 49,627.01 25,730.39 15,036.62 8,860.00 68,829.85 44,017.17 9,282.50 15,530.18 49,627.01 25,730.39 15,036.62 8,860.00 63,839.43 44,017.17 9,282.50 10,539.76 21,463.69 1,227.46 8,283.65 24,021.84 23,225.38 54,314.89 54,314.89 4,990.42 1,889.82 1,093.36 4,9^0.42 Receipts and Table II. Summary of Receipts, Counties Rockingham Rural Madison Reidsville Rowan Rural East Spencer... Salisbury Spencer Rutherford Sampson Rural Clinton Scotland Rural Gibson Laurinburg Stanly Rural Albemarle Stokes Surry Rural... Elkin.... Mount Airy Pilot Mountain Swain Transylvania Tyrrell Union Rural Monroe Vance Rural Henderson Wake Rural Raleigh Wake Forest... Warren Total—All Funds, A-B-C Receipts $ 647,476.61 395,577.73 31,086.39 220,812.49 1,178,577.10 841,076.32 31,528.70 262,076.42 43,895.66 525,333.49 482,674.16 441,434.57 41,239.59 210,763.31 96,065.65 26,563.35 88,134.31 357,441.69 301,325.91 56,115.78 238,987 53 394,608 63 278 , 870 . 69 28,519.19 64,858.37 22,360.38 133,467.89 270,040.55 55,888.37 627,531.73 525,887.27 101,644.46 369,681.88 243,683.59 125,998.29 2,022,215.76 1,249,726.38 730,095.94 42,393.44 218,117.71 217 Expendi- $ 650,199.96 424,410.07 30,074.00 195,715.89 1,135,838 14 785,252.05 31,030.32 276,175.11 43,380.66 492,457.73 467,222.17 427,266.45 39,955.72 186,399.85 83,742.40 25,836.97 76,820.48 333,256.92 284,131.78 49,125.14 198,524.46 386,783.70 264,650.28 28,316.63 71,741.93 22,074.86 121,744.63 247,620.68 54,132 83 538,508.08 437,795.63 100,712.45 367,344.46 241,346.17 125,998.29 1,865,643.63 1,088,609.89 736,320.05 40,713.69 Balance June 30, 1928 $ *2,723.35 *28,832.34 1,012.39 25,096.60 42,738.96 55,824.27 498.38 *14,098.69 515.00 32,875.76 15,451.99 14,168.12 1,283.87 24,363.46 12,323.25 726.38 11,313.83 24,184 77 17,194.13 6,990.64 40,463.07 7,824 93 14,220.41 202.56 6,883.56 285.52 11,723 26 22,419.87 1,755.54 89,023.65 88,091.64 932.01 2,337.42 2,337.42 156,572.13 161,116.49 *6,224.11 1,679.75 451.81 A. Current Expense Receipts $ 435,301 58 296,903.23 24,635.81 113,762.54 563,659 29 282,102.67 25,291.84 212,704.22 43,560.56 407,280 49 313,305 89 277,941.45 35,364.44 182,213 33 82,807.94 22,562.63 76,842.76 269,564 01 220; 300. 31 49,203.70 170,532.19 272,198 55 109,768.65 22,753. 15 63,038.37 16,638.38 109,458 90 211,023 55 48,018.61 373,509.07 316,566.20 56,942.87 321,924 01 216,830.95 105,093.06 1,107,972.12 558,514.23 516,885.68 32,572.21 185,433.07 Expendi-tures $ 417,407.39 304,601.32 24,140.13 88,665.94 561,725.44 267,083.51 24,793.46 226,802.91 43,045.56 371,362.25 310,124.12 275,932.08 34,192.04 157,849.87 70,484.69 21,836.25 65,528.93 268,591.09 222,731.45 45,859.64 163,581.67 .288,739 27 179,468.87 22,550.59 70,366.95 16,352.86 97,735.64 198,588.00 46,263.07 377,049.17 319,538.31 57,510.86 324,067.51 218,974.45 105,093.06 1,014,110.87 470.118.24 513,100.17 30,892.46 186,189.74 "Overdraft. Expenditures, 1927-1028 2?> Expenditures and Balances by Funds—Continued Fund Balance June 30, 1928 $ 17,894.19 7,698.09 495.68 25,096.60 1,933.85 15,019.16 498.38 •14,098.69 515.00 35,918.24 3,181.77 2,009.37 1,172.40 24,363.46 12,323.25 726.38 11,313.83 972.92 2,431.14 3,404.06 6,950.52 16,540.72 9,700.22 202.56 •7,328.58 285.52 11,723 26 12,435.55 1,755 54 •3,540 10 •2,972.11 •567.99 •2,143 50 •2.143.50 93,861.25 88,395.99 3,785.51 1,679.75 •756.67 B. Capital Outlay Fund Receipts 54,978.49 51,060.76 632.35 3,285.38 237,976.50 235,815.62 996.86 828.92 335.10 70,961.67 108,268.10 105,899.18 2,368.92 2,553.84 1,660.96 125.71 767.17 59,001.25 54,707.89 4,293.36 56,608.34 90,751.96 89,048.92 1,053.04 500.00 150.00 9,736.71 40,627.32 1,691.60 193,114 27 187,267.63 5,846.64 7,422.55 7,422.55 677,609.53 584,093.28 89,766.02 3,750.23 9,870 34 Expendi-tures 70,624.15 66,710.94 627.83 3,285.38 211,709 209,549. 996. 828 335. 27,654.52 96,923 94,662 2,261. 2,553 1,660, 125. 767. 40,279. 37,689. 2,589. 22,865.73 66,703 65,128 1,053 372 150 9,736.71 29,455 35 1,691.60 102,050.52 96,203.88 5,846.64 2,941.63 2,941.63 615,689.68 514,365.67 97,573.78 3,750.23 Balance June 30, 1928 $ 15,645.66 15,650.18 4.52 26,266.60 26,266.60 43,307.15 11,344.62 11,237.12 107.50 18,722.02 17,018.16 1,703.86 33,742.61 24,048 15 23,920.63 127.52 11,171.97 91,063 75 91,063.75 4,480.92 4,480.92 61,919 85 69,727.61 7,807.76 1,208 48 C. Debt Service Fund Receipts 157,196.54 47,613.74 5,818.23 103,764.57 376,941.31 323,158.03 5,240.00 48,543.28 47,091.33 61,100.17 57,593.94 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 28,876.43 26,317.71 2,558.72 11,847.00 31,658.12 20,053.12 4,713.00 1,320.00 5,572.00 14,272.28 18,389.68 6,178.16 60.908 39 22,053.44 38,854.95 40,335 32 19,430.09 20,905.23 236,634.11 107,118.87 123,444.24 6,071.00 22,814.30 Expendi-tures 162,168.42 53,097.81 5,306.04 103,764.57 362,402.80 308,619.52 5,240.00 48,543.28 93,440.96 60,174.57 56,672.31 3,502.26 25,996.14 11,596.75 3,875.01 10,524.38 24,386.60 23,710.60 676.00 12,077.06 31,340.62 20,053.12 4,713.00 1,002.50 5 , 572. 00 14,272.28 19,577.33 6,178.16 59,408.39 22,053.44 37,354.95 40,335.32 19,430.09 20,905.23 235,843.08 104,125.98 125,646.10 6,071.00 22,814 30 Balance June 30, 1928 '4,971 88 •5,484.07 . 512.19 14,538.51 14,538.51 46,349.63 925.60 921.63 3.97 4,489.83 2,607.11 1,882.72 230.06 317 50 317.50 '1. 187. 65 1,500 00 791.03 2,992.89 "2.201.86 24 Receipts and Table II. Summary of Receipts, Counties Washington... Rural Plymouth. Watauga. Wayne Rural Dobbersville. Fremont Goldsboro..- Mount Olive. Wilkes Rural North Wilkesboro. Wilson.. Rural Elm City... Lucama Sharpsburg. Wilson Yadkin Rural East Bend. Yancey. Total—All Funds. A-B-C Receipts $ 281,070.55 242,124.16 38,946.39 140,141.36 850,591.52 444,103.12 2,495.46 53,107.09 288,837.41 62,048.44 291,960.60 239,674.52 52,286.08 800,937.08 544,731.59 41,738.88 29,429.97 5,255.18 179,781.46 129,409.03 120,300.96 9,108.07 143,237.17 Expendi-tures $ 284,304.44 245,260.30 39,044.14 139,015.99 820,140.72 420,299.00 2,477.89 46,987.40 288,488.38 61,888.05 257,842.68 209,802.35 48,040.33 758,741.25 511,594.53 41,648.68 29,380.02 5,225.03 170,892.99 124,927.27 115,221.81 9,705.46 132,257.08 Balance June 30, 1928 *3,233 89 *3, 136.14 *97.75 1,125.37 30,450.80 23,804.12 17.57 6,119.69 349.03 160.39 34,117.92 29,872.17 4,245.75 42,195.83 33,137.06 90.20 49.95 30.15 8,888.47 4,481.76 5,079.15 *597.39 10,980.09 A. Current Expense Receipts $ 92,313.73 67,233.17 25,080.56 89,379.54 583,767.03 344,032.12 2,495.46 37,488.18 159,992.11 39,759.16 223,283.92 184,963.09 38,320.83 483,537.90 277,797.40 38,160.40 29,044.02 4,876.80 133,659.28 107,030.45 99,242.46 7,787.99 120,675.31 Expendi-tures $ 95,697.53 70,519.22 25,178.31 87,883.63 563,494.73 327,856.34 2,477.89 33,918.65 159,643.08 39,598.77 218,533 81 184,539.32 33,994.49 277,797.40 38,142.44 28,994.07 4,846.65 133,659.28 106,423.62 98,186.06 8,237.56 110,465.10 North Carolina Rural Charter... $53,949,866.46 35,199,294.63 18,750,571.53 $49,340,395.40 32,077,390.42 17.263,004.98 $4,609,471 06 3,121,904.51 1,487,566,55 $31,853,891.18 21,128,066 79 10,725,824.39 $30,971,473.42 20,310,678.03 10,660,495.39 ^Overdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 25 Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ *3,383 80 *3 286 05 $ 1,462.81 937.87 524.94 47,337.71 80,342.36 61,325.00 $ 1,312.90 787.96 ' 524.94 47,287.60 70,163.86 53,696.66 $ 149 91 149.91 $ 187,294.01 173,953.12 13,340.89 3,424.11 186,482 13 38,746.00 $ 187,294 01 173,953.12 13,340.89 3,844.76 186,482.13 38,746.00 $ *97 75 1,495.91 20,272.30 16,175.78 50.11 10,178.50 7,628.34 *420.65 17.57 3,569.53 6,616.18 12,340.88 60,-30 35,461.60 32,696.80 2,764.80 40,536.23 16,557.97 3,578.48 385.95 55.75 19,958.08 4,720.35 4,381.55 338.80 5,125.31 4,066.02 12,340.88 60.30 11,817.78 10,022.94 1,794.84 17,641.30 2,623.75 3,506.24 385.95 55.75 11,069.61 3,099.89 2,761.09 338.80 4,514.88 2,550.16 9,002.73 116,504.42 22,228.98 33,215.08 22,014.63 11,200.45 276,862.95 250,376.22 9,002.73 116,504.42 22,228.98 27,491.09 15,240.09 12,251.00 257,660.11 231,173.38 349 03 160 39 4,750.11 423.77 4,326.34 98.06 23,643.82 22,673.86 969.96 22,894.93 13,934.22 72.24 5,723.99 6,774.54 •1,050.55 19,202.84 19,202.84 17.96 49.95 30.15 322.63 26,164.10 17,658.23 16,676.95 981.28 17,436.55 322.63 26,164.10 15,403.76 14,274.66 1,129.10 17,277.10 8,888.47 1,620 46 1,620.46 606.83 1,056.40 *449.57 2,254.47 2,402.29 147.82 10,210.21 610.43 159.45 $ 882,417.76 817,088.76 65,329.00 $12,780,032.26 7,775,771.06 5,004,261.20 5,891,271.05 3,787,726.43 1,884,500.01 1,216,534.77 6,295,457.08 3,020,485.94 5,875,141.34 2,814,783.16 420,315.74 205,702.78 26 TABLE III. RECEIPTS FOR A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T.inH.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $226,413.16 207,731.66 8,052.47 5,744.86 4,681.34 202.83 21,129.15 5,378.29 11,237.01 434.56 4,942.87 5,859.58 1,924.34 4,922.73 22,745.99 6,135.94 16,610.05 15,072.53 5,298.90 9,351.82 40,985.40 53,482.13 12,496.73 4,516.90 2,497.43 2^975.30 955.83 10,791.73 2,269.05 8,522.68 12,927.90 573.86 3,643.88 8,710.16 1,497.03 $ 56,798.85 56,798.85 $- . $ 6,168.75 5,678.75 490.00 $ 638.75 500.00 138.75 $ 8,286.00 8,286 00 Alexander 37,849.11 17,075.07 42,710.58 42,710.58 1,500.00 2,130.00 2,062.50 2,017.50 1,687.50 800.00 800.00 1,056 00 800.00 2,062 50 Alleghany 1,336.65 400.00 400.00 4,644.00 4,644 00 330.00 495.00 5,437.50 4,670.00 4,670.00 256.00 2,500 00 1,000.00 1,300.00 1,300.00 57,641.29 33,636.88 53,086.73 53,086.73 1,800.00 1,600 00 4,161 00 Avery .. 2,160.00 6,758.00 Rural 6,758.00 Bertie.. 52,306.83 46,704.44 28,740.70 640.00 611.25 1,489.58 200.00 6,676.66 6,676.66 1,200.00 1,720.00 1,150.00 5,076.00 Bladen 2,627.40 1,153.50 1,950.00 1,950.00 12,882.00 12,882.00 Burke ... 22,289.71 22,289.71 1,800.00 1,800.00 800.00 800.00 146.40 146.40 2,003.91 1,763.91 240.00 466.66 200.00 266.66 500.00 500.00 6,810.00 6,060.00 750.00 38,245.02 38,245.02 1,200.00 1,200.00 962.41 Rural.. 962.41 11,66068 500 00 1,125.00 Overdraft. tTransfer 21 CURRENT EXPENSE FUND Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties $ 9,933 49 9,933.49 4,257.75 295.45 6,871.46 6,871.46 2,102.41 3,160.62 6,585.15 6,585.15 2,273 75 3,834.30 2,441.06 20,471.39 20,471.39 3,851.89 3,851.89 18,467.65 18,467.65 8,069.41 8,069.41 921.65 963 Dog Taxes $ 2,520.00 t2,520.00 801.80 1,507.00 1,507.00 ,675.00 348.00 761 00 761.00 1,380 00 1,110.43 211.00 2,512.00 2,512.00 1,379.00 1,379.00 737.00 964 Interest on Bank Balances $149,913.83 150,000.00 86.17 14,393.18 f4,329.66 14,329.66 3,933.54 3,933.54 30.69 52.90 6,423.78 6.423.78 139.95 139.95 61.67 61.67 965-68 All Other $ 17,735.94 7,241.59 13,975.53 241.00 72.25 t3,794.43 2,126.09 2,162.50 4,111.42 3,167.55 119.87 824.00 f1,924.34 4,595.98 2,458.14 910.08 1,548.06 8,545.00 57.46 2,836.58 16,691.91 10,283.75 6,408.16 2,901.93 633.01, 248.00 2,020.92 3,299.44 2,133.27 1,166.17 637.03 36.00 251.03 350.00 970 Ad Valorem Taxes County 159,610.35 58,760.92 52,548.54 17,287.42 11,236.80 19,776.67 43,031.18 12,778.07 130,329.90 79,877.60 12,907.00 37,545.30 53,139.51 35,035.90 121,337.50 78,449.74 42,887.76 79,442.21 70,759.95 58,853.02 778,544.17 423,942.66 354,601.51 112,173.54 68,161.97 11,310.00 32,701.57 184,048.88 127,603.88 56,445.00 111,107.61 60,035.52 14,755.67 36,316.42 27,920.22 Local 81,066 79 6,229.18 51,493.37 8,413.83 6,436.03 8,494.38 13,819.42 4,468.04 31,648.21 9,298.21 5,350.00 17,000.00 6,844.54 15,025.90 53,090.68 19,195.17 33,895.51 28,056.19 18,773.26 7,604.57 422,985.40 163,153.24 259,832.16 46,801.80 14,145.65 6,694.71 25,961.44 50,562.14 9,338.51 41,223.63 33,566.93 12,523.46 8,000.00 13,043.47 9,062 08 969 Temporary Loans $ 24,205.72 16,005.72 7,000.00 1,200.00 46,700 00 30,000.00 30,000.00 4,925.00 22.577.55 1,074,776 00 1,074,776.00 22,700.00 7,000.00 15,700.00 Total Receipts Current Expense Fund 543,463.97 329,686.16 133,698.66 32,973.28 22,426.42 24,679.45 171,012.02 47,158.37 232,203.42 151,398.46 18,990.08 61,814.88 130,358.75 106,923.51 306,726.73 207,851.81 98,874.92 199,528 78 164,386.16 112,595.15 2,384,898.71 1,776,553.61 608,345.10 218,122.12 121,319.61 21,374.41 75,428.10 277,862.75 169,515.27 108,347.48 207,244.64 121,907.35 26,917.24 58,420.05 53.423 66 28 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $ 4,789.16 845.85 140.12 3,803.19 3,492.72 15,438.42 31,232.99 16,099.09 304.52 423.77 995.91 2,469.86 3,779.36 313.59 9,184.99 6,420.70 2,764.29 2,753.17 36,069.53 11,396.57 467.70 25,140.66 30,375.12 80,949.06 79,282.29 1,666.77 29,947.35 25,694.80 •4,252.55 3,967.42 •1,910.14 45,407.85 15,185.47 10,740.35 19,482.03 1926-1927 func $ 38,693 49 38,693.49 $ 2,757.50 2,757.50 $ 2,519.98 1,089.99 1,129.99 300.00 750.00 436.00 436.00 $ 1,250.00 1,250.00 $ 3,750.00 3,750 00 Caswell 27,409.22 43,847.98 43,847.98 465.00 2,510.00 2,510.00 700.00 4,425.00 4,425.00 2,409.92 Catawba 8,101.50 Rural 8,101.50 32,591.83 42,207.87 42,207.87 1,800.00 1,495.00 870.00 600.00 270.00 700.00 1,000.00 1,000.00 3,910.50 3,096.40 2,741.50 354.90 12,232.86 12,232.86 1,170.00 675.00 495.00 330.00 5,463.79 1,555.00 2,476.50 2,476.50 Clay.. 14,355.70 47,201.93 47,201.93 800.00 330.00 1,116.00 Cleveland 700.00 700.00 10,182.50 7,816.50 330.00 Shelby 3,908.79 7,092.50 1,290.00 930.00 360.00 1,735.00 1,735.00 2,366.00 82,766.21 8,461 36 8,461.36 1,667.50 1,735.00 1,735.00 1,000 00 4,425.00 4,425.00 7,257.94 47,611.04 47,611.04 500.00 500.00 4,235.93 4,235.93 16,926.93 22,176.73 J67.185 69 J67.185.69 4,025 00 180.00 1,830.00 1,830.00 500 00 1,200.00 1,072 59 800.00 Dare .... 1,200.00 2,625.00 Rural 2,625.00 1,072.59 . •Overdraft. tTransfer. ^Includes payment from Receipts, 1927-1928 29 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties 963 Dog Taxes Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund $ 1,508 00 1.508.00 $ 500.00 500.00 8,785.06 13,561 99 13,561.99 3,586.50 2,726.66 2,726.66 3,009.55 3,009.55 921.59 13,137.75 13,137.75 5,288.89 3,917.47 3,917.47 9,932.00 9,932.00 1,173.04 2,604.00 14,461.76 14,461.76 1,273.81 1,844.00 1,844.00 $ 1,518.97 .25 1,513.72 5.00 4,152.63 6,871.86 3,196.18 3,675.68 2,474.00 26.25 26.25 t1 ,324.70 t 1,324. 70 300 00 1,809.25 t2,322.20 307.71 307.71 849.83 849.83 823 56 150.00 5.00 483.91 806.19 365.06 441.13 ,664.77 987.67 677.10 211.55 581.54 383.77 246.24 6,359.59 ,637.65 ,751.80 885.85 ,238.20 ,212.71 ,025.49 451.76 ,765.24 ,050.00 120.00 930.00 95,588.15 43,525.47 25,000.00 27,062.68 37,479.81 188,373.57 111,328.01 50,868.92 26,176.64 80,220.90 36,057.97 3,454.60 18,608.58 13,994.79 43,388.33 25,267.85 18,120.48 12,259.92 189,328.93 96,544.34 22,541.38 70,243.21 129,696.93 103,553.93 53,756.21 49,797.72 228,220.62 161,813.55 66,407.07 39,447.63 24,601.74 227,961.61 127,827.74 60,404.32 39,729.55 $ 10,504.74 6,600.00 6,519.71 3,985.03 6,584.66 152,974.06 64,649.07 69,309.13 19,015.86 37,039.09 27,472.34 3,820.06 16,432.44 7,219.84 18,583.45 6,276.70 12,306.75 3,730.69 78,362.12 33,153.25 12,736.80 32,472.07 48,138.18 46,436.90 18,487.36 27,949.54 79,788.99 45,097.24 34,691.75 13,981.54 5,648.91 84,992.30 30,328.44 30,954.80 23,709.06 3,100.00 3,500.00 9,626.76 31,534.86 2,400.00 2,400.00 2,753.17 74,132.66 6,396.57 62.70 67,673.39 7,000 00 7,000.00 11,500.00 11,500.00 t20,890.18 t20,890.1S 169,989.87 93,920.55 37,413.42 38,655.90 103,129.59 438,384.38 285,132.72 107,754.64 45,497.02 196,260.36 113,267.77 59,046.80 31,896.72 22,324.25 92,785.75 57,346.83 35,438.92 33,813.90 386,981.70 196,690.31 37,522.35 152,769.04 319,129 91 260,714 08 173,054.20 87,659.88 363,664.26 254,292.50 109,371.76 57,621.48 425,696.62 259,564.10 103,029.47 63,103.04 30 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 9C0-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Davie $ 5,206.67 2,954.17 2,252.50 63,310.23 44,426.14 45,623.25 *1,197.11 44,466.30 41,373.48 3,092.82 12,550.18 12,550.18 $ 21,664.93 21,664.93 $. $ 1,695.00 170.00 1,525.00 1,750.00 5,541.70 2,250.00 3,291.70 3,490.00 2,920.00 570.00 * 1,000.00 1,000.00 $ 2,119 50 Rural 2,119 50 66,902 68 400.00 2,850.00 2,850.00 1,000 00 4,056.66 4,056.66 3,325 25 Durham.. .. . 24,301.68 24,301.68 1,600.00 1,600.00 500.00 500.00 8,276 78 Rural .! 8,276.78 Forsyth ... .. __ 1,380.00 1,380.00 16,853.00 Rural 16,853.00 Franklin.. 16,422.29 23,821.90 *9,369.65 1,970.04 24,765.62 64,029 84 64,029.84 6,239.06 3,984.06 1,940.00 315.00 3,802.00 3,360.00 232.00 210.00 800.00 800.00 3,250.00 3,250.00 1,650.00 1,650.00 12,693 95 12,243.95 11,607.31 8,089.92 5,068.39 15,011.57 450.00 Gates 23,212.73 6,173.57 24,737.40 24,737.40 1,200 00 700.00 600.00 600.00 266.66 1,102.50 28,285.10 27,930.78 354.32 40,399.60 196,037.76 3,925 00 Rural 3,925.00 Oxford . Greene... 21,854.25 2,100 00 1,371.25 1,371.25 2,460.00 4,502.91 4,192.91 310.00 1,500.00 3,922.20 Guilford 19,264.50 19,264.50 67,069.12 High Point 128,968.64 Overdraft. [Transfer. Receipts, J 9270 928 31 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties 963 Dog Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund 2,072 90 2,072.90 $ 1,277.00 1,277.00 1,262.40 36,970.42 36,970.42 11,874.56 11,874.56 69,568.02 69,568.02 6,902 50 6,902.50 20,906.38 20,906.38 1,341.50 1,972.03 6,698 20 6,698.20 5,465.73 34,387.90 34,387.90 200.00 2,672.24 2,672.24 3,206.49 3,206.49 3,782.00 3,782.00 1,750.00 1,750.00 t19,959.25 t20,000.00 2,113 00 2,113.00 40.75 763.71 763.71 377.00 1,020.00 1,020.00 1.185.78 4,489 00 4,489.00 t27,778.90 t27,898.90 120.00 134.75 5,889.62 4,538.78 1,350.84 $ 3,450.71 3,365.49 85.22 4,075.06 18,209.63 10,799.30 7,410.33 5,921.83 1,779.30 4,142.53 16,464.26 6,512.10 9,952.16 4,057.40 1,690.41 731.35 1,635.64 26,172.76 3,603.59 257.00 1,663.16 20,649.01 5,009 46 1,145.41 4,056.43 2,716.03 1,340.40 2,632.85 38,238.52 6,435.70 30,574.83 1,227.99 $ 60,781.34 48,330.11 12,451.23 117,421 .05 611,092 05 237,849.32 373,242.73 123,407 97 68,378.98 55,028.99 460,899.80 127,463.89 333,435.91 74,666.05 32,450.26 23,223.31 18,992.48 459,085.80 278,291.10 23,852.44 23,942.26 133,000.00 31,478.71 30,972.45 133,172.14 95,546.14 37,626.00 87,848.95 972,063.35 391,626.43 331,106.76 249,330.16 $ 21,888 97 11,978.93 9,910.04 42,947.87 212,512.01 26,792.74 185,719.27 64,001.97 39,704-: 13 24,297.84 453,551 49 69,282.83 384,268.66 49,958.14 23,678.52 21,676.61 4,603.01 181,358 72 91,870.49 8,355.72 3,250.61 77,881.90 5,093.00 6,313.43 38,607.30 23,622.11 14,985.19 22,991.43 315,267.56 $ 32,214 00 25,000.00 7,214.00 205,098 81 180,610 15 tl34,892.43 54,282.28 3,190 05 2,190.05 1,000.00 t8,250.94 t8,250.94 45,000.00 9,438.29 101,100.00 96,500.00 4,600.00 23,997 22 582,000 00 262,801.47 52,466.09 435,000.00 147,000.00 $ 153,37102 119,933.03 33,437.99 381,072 89 857,720 70 232,299.26 625,421.44 291,047 58 203,915.40 87,132.18 1,035,048 75 307,392.02 727,656.73 211,306 08 144,547.54 39,201.62 27,556.92 725,061.00 414,038.51 37,267.24 37,155.95 236,599.30 127,346 97 58,461.34 314,422.67 255,396.76 59,025.91 135,693.56 2,173,512.37 466,306.47 1,128,213.02 578,992.88 32 Receipts, 1927-1928 Table III. RECEIPTS FOR A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Halifax $ 24,124.98 3,035.16 3,040.53 22,674.06 1,308.16 137.39 *5,503.06 40,816.77 44,976.72 4,159.95 25,771.71 25,105.99 665.72 9,819.03 4,233.64 5,552.51 24,415.82 5,166.39 12,960.30 6,289.13 3,442.49 8,991.73 10,918.02 1,926.29 35,264.81 12,059 75 20,941.73 8,881.98 13,678.77 •13,880.52 201.75 •4,874 32 •4,976.46 102.14 $ 7,620 66 7,620.66 $ 2,400.00 2,400.00 $ 1,366 49 $-— - $ 3,531 00 Enfield .. 831 00 142.00 711.99 512.50 3,525.52 . 645.00 645.00 2,700.00 Harnett 72,238.87 33,469.87 33,469.87 3,753.33 100 00 700 00 700.00 6,466.70 Haywood_ . . 438.00 438.00 25,944.71 25,944.71 1,200.00 1,200.00 980.00 560.00 420.00 2,227.50 285.00 2,300 63 2,300.63 Hertford 32,102.46 8,568.77 29,648.05 37,839.31 37,839.31 990.00 615.00 900.00 3,865.82 Hoke Hyde 1,300.00 4,500.00 4,500.00 1,353.00 Iredell... 2,100.00 2,100.00 1,910.00 1,910.00 1,462.00 1,462.00 28,902.98 161,645.56 J61.645.56 1,200.00 1,625.00 1,625.00 210.00 310.00 310.00 500.00 300.00 300.00 3,087.00 Johnston .' . 4,986.00 4,986.00 Jones 22,547.44 25,167.91 25,167.91 1,600.00 550.00 550.00 441.00 400 00 1,000.00 800.00 800.00 2,160.00 Lee 2,679.00 2,679.00 400.00 3,130.00 3,130.00 Lenoir 19,658.69 19,658.69 1,300 00 1,300.00 500.00 500.00 5,626.50 5,626.50 42,730.28 42,730.28 1,637.50 1,187.50 450.00 750.00 750.00 3,338.25 3,338.25 Lincolnton •Overdraft. tTransfer. JIncludes payment from 1926-1927 fund. Receipts, 1927-1928 33 Current Expense Fund—Continued Expense Fund County and Local Tax Funds Fines Forfeitures, Penalties $ 10,929.66 9,643.13 621.03 544.50 121.00 14,002.84 5,843.45 5,843.45 6,975.30 6,975.30 3,474.21 3,575.17 472.92 7,549.12 7,549.12 3,489.04 12,487 37 12,487.37 603 00 2,334.82 2,334.82 19,749.66 19,749.66 8,303.30 8,303.30 963 Dog Taxes 1,170 17 635.00 635.00 1,414.89 572 50 1,250.00 782.00 782.00 1,792.00 1,792.00 1,055.00 1,055.00 964 Interest on Bank Balances 1,460 64 90.00 7.74 1,001.56 8.33 353.01 151 36 72 00 72.00 497.96 358.98 138.98 25.23 25.23 965-68 All Other $ 11,291.70 2,549.15 195.00 6,185.05 1,633.30 729.20 9,538.01 3,212.04 1,983.72 1,228.32 5,965 45 2,621.33 3,344.12 1,775.59 9,505.31 t3,552 51 5,980.79 2,897.10 1,928.69 1,155.00 1,325.62 13,538.83 10,149.07 3,389.76 608.05 6,236.09 5,259.18 976.91 13,156.52 9,516.22 3,640.30 5,121.44 3,121.44 2,000.00 970 Ad Valorem Taxes County 237,551.31 118,119.46 21,251.09 55,812.10 21,454.09 20,914.57 125,519.56 104,987 08 71,301.92 33,685.16 137,571.61 64,260.59 73,311.02 48,772 33 59,831.29 32,418.10 228,952.57 133,562.33 38,133.78 57,256.46 47,465.96 320,311.31 302,173.97 18,137.34 39,195.42 69,281 81 40,272.80 29,009.01 178,880.81 85,901.15 92,979.66 74,379.60 47,346.64 27,032.96 Local 85,241.26 18,935.14 5,662.57 38,865.65 2,881.03 18,896.87 62,987 80 48,465 32 31,548.80 16,916.52 13,600 00 13,600.00 19,250 13 13,235 61 11,735 36 98,061 45 27,258.98 28,383.25 42,419.22 29,445.39 120,634 43 116,470.57 4,163.86 9,151.22 45,349.17 18,097.63 27,251.54 63,885 44 28,948.32 34,937.12 35,571 .21 23,767.54 11,803.67 969 Temporary Loans $ 116,300.00 115,000.00 , 1,300.00 24,023 97 69,266 51 69,266.51 170,940.00 165,000.00 5,940.00 40,000.00 40,000.00 11,791 00 601,208.00 601,208.00 34,963.39 10,000 00 10,000.00 t3,457.60 t3,457.60 Total Receipts Current Expense Fund 501,817.70 271,322.38 30,987.93 126,601.45 31,241.40 41,664.54 317,823.71 226,210 50 169,782.55 56,427.95 391,884 41 294,603.55 97,280.86 124,743.32 99,849.79 77,499.93 452,843 06 262,783.23 81,406.02 108,653.81 130,859 48 1,128,552 73 1,100,796.50 27,756.23 78,254.71 175,640.55 126,885.07 48,755.48 290,543 25 158,784.42 131,758.83 168,037.49 126,648.72 41,388.77 34 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 96(9-1* Equalizing Fund 960-2 Rural Supervisors Summer School T.T. inH.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $ 48,529.28 2,406.33 22,018 80 64,825.28 67,151.00 2,325.72 190,519.47 15,741.93 199,071.96 7,189.44 5,875.33 34,331.36 22,383.10 337.11 14,596.73 2,691.11 4,785.24 27.09 65,891.87 69,766.86 7,810.82 3,935.83 24,713.06 24,713.06 $ 40,143.53 49,111.62 33,923.43 10,510.68 10,510.68 $ 1,800.00 $ $ 500.00 800.00 100 00 500.00 500.00 $ 220.00 2,275.00 2,830.00 2,490.00 340.00 1,861.60 1,861.60 3,573.00 Martin 3,082 50 McDowell ... 2,599.18 2,599.18 Mecklenburg ______ _ _ 1,470.00 1,470.00 2,077.50 2,077.50 Charlotte Davidson __ .. _ ___ Mitchell 17,015.78 42,663 29 28,998.84 28,998.84 1,700.00 1,620.00 4,055 00 4,261.24 3,861.24 800.00 600.00 600.00 3,273.00 Moore _ _ _ 1,900.00 4,395.00 1,900.00 4,395.00 400.00 Vass ... _ _ Nash 73,894 72 73,994.72 600.00 600.00 5,419.16 2,619.16 5,225.00 5,225.00 13,104 19 10,309 67 2,794.52 2,800.00 2,401.12 2,401.12 New Hanover _ _ _ 9,039.96 Rural. . -__ _ ._ 9,039.96 Northampton.. . _ 9,970.54 25,625 59 38,298.95 33,465.35 4,833.60 1,827.50 77,654.19 59,924.74 17,729.45 45,321.74 34,559 86 22,739.59 22,739.59 1,600.00 5,448.32 1,437.50 1,133.74 1,133.74 1,100.00 500.00 300.00 300.00 4,995.65 Onslow.. .. . _ 3,021.30 Orange . 1,100.00 1,100.00 2,640.97 Rural 2,640.97 " Chapel Hill _ Pamlico . 35,275.73 4,083.51 4,083.51 3,000.00 266.66 266.66 1,200 00 1,600 00 360.00 360.00 1,500.00 Elizabeth City 1,500.00 •Overdraft. fTransfer. Receipts, 1927-1928 35 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties $ 3,340 40 2,506.09 3.461.22 5,587.10 5,587.10 69,443.62 69,443.62 1.317.50 2,020.00 3,626.16 3,626.16 13,970.81 13,970.81 11,917.08 11,917.08 5,189 30 1,529 95 5,274 25 5,274.25 1,328 70 4,797 00 4,797.00 963 Dog Taxes 714.00 968.34 512.40 512.40 914.00 1,488.00 1,488.00 2,842 41 2,842.41 821.95 821.95 1,797 78 1,188 00 600 00 1,875 00 1,875.00 Interest on Bank $--. 33.63 1,013.94 1,001.94 12.00 4,577.44 4,577.44 89.00 5.00 84.00 117 00 156,301 46 t56,301.46 965-68 All Other $ 1,14867 213.67 289.59 1,506.46 1,113.47 392.99 11,594.37 6,259.79 11,241.68 t5,907.10 734.24 1,173.28 5,873.30 2,824.03 849.20 150.00 1,087.61 962.46 5,999 73 5,999.73 1,177.78 659.22 518.56 3,580.95 613.94 6,347.74 2,859.22 3,488.52 1,206.04 15,322.12 7,244.76 112,566.88 970 Ad Valorem Taxes County $ 12,534.51 40,169 03 78,836.55 66,028.58 45,216.32 20,812.26 586,116.45 226,187.07 347,019.50 12,909.88 48,925.39 70,506.30 136,283.47 61,863.83 20,647.57 24,698.44 20,536.17 8,537.46 265,347.30 116,723.51 126,124.60 22,499.19 415,239 02 39,183.06 376,055.96 97,026 25 54,802.82 101,811 08 86,138.67 15,672.41 28,728 31 91,098 49 24,734.24 66,364.25 Local 969 Temporary Loans $ 14,672 31,373 28,634.96 58,348. 43,962. 14,386. 206,537. 82,697. 120,350. 3,489. 12,971 33,290 70,576. 34,114. 2,954. 9,708. 20,235. 3,563. 125,118 49,744. 65,266. 10,107. 47,008 14,379 47,732 32,036 15,696 17,159.43 55,485. 12,086. 43,398. $ 115,705.67 49,473.34 12,800 00 12,800.00 1,960 70 1,960.70 35,000.00 34,331.36 52,915.38 33,400.00 18,015.38 1,500.00 27,611 S8 26,111.98 1,500.00 134,312.24 26,862.45 107,449.79 104,211.00 93,061 53 88,061.53 5,000.00 1,525.62 38,000 00 38,000.00 Total Receipts Current Expense Fund $ 107,676.77 175,067 25 173,590 39 227,062.38 180,644.27 46,418.11 1,076,158.25 374,254.87 682,261.09 19,642.29 125,160.08 158,695 45 288,623.67 176,734.05 27,870.37 32,270.44 37,158.24 14,590.57 473,342 12 232,374.60 207,996.36 32,971.16 599,622.21 115,597.90 484,024 31 307,309 00 137,657 96 243,842 87 208,818.99 35,023.88 89,913.33 213,496 94 97,071 27 116,425.67 36 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T in H.S. 960-3 . Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Pender $ 992.01 909 99 7,103 51 6,699.04 404.47 24,721.88 21,634.59 1,958.67 5,045.96 9,441.81 10,492.06 1,050.25 9,261 53 1,887.16 11,148.69 25,026 20 9,565.20 181.07 15,279.93 3,187.67 5,442.46 99.38 2,354.17 1,674.60 244.05 218.64. 1,211.91 10,221 91 2,234.99 154.34 11,142.84 1,468.40 2,235.74 23,841.18 20,168.27 3,672.91' $ 39,077.31 25,653.74 30,292.63 30,292.63 $ $ 2,990 00^ 2,315.00 2,150.00 2,150.00 $ 1,250.00 1,700.00 1,600.00 1,600.00 $ 1,016.17 Perquimans... 1,360.00 2,296.50 600.00 600.00 Person 3,188.10 2,894.10 294.00 Pitt... 11,178 06 11,178.06 1,530 00 1,530.00 1,752.49 1,752.49 985.00 985.00 11,802.93 Rural 11,802.93 Polk 29,320 85 29,320.85 1,995 00 1,995.00 2,209.00 2,209.00 Tryon 67,705.68 67,705.68 2,036 66 2,036.66 1,900.00 1,400.00 500.00 5,518.75 5,518.75 Rural . Richmond 20,159.04 20,159.04 4,230.00 1,805.00 400.00 2,025.00 4,510.00 2,600.00 360.00 1,550.00 2,045 00 2,045.00 7,711.60 Rural 7,711.60 Robeson „.. 82,859.51 82,859.51 2,500 00 2,500.00 300 00 Rural 300.00 300.00 300.00 Rockingham. .. 39,912 07 39,912.07 1,400 00 1,400.00 13,896 00 Rural 13,524.00 372.00 Rowan 13,254.76 13,254.76 4,776.66 4,776.66 2,383 00 687.50 4,425 00 4,425.00 867 00 Rural 1,695.50 867.00 Rutherford 50,214.44 85,100.04 85,100.04 267.50 1,810.00 1,810.00 7,791.00 7,905.00 7,685.00 220.00 8,670 00 1,050 00 1,050.00 Clinton Overdraft. fTransfer. Receipts, 1927-1928 37 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 963 Dob: Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund 295.58 855.75 1,157.63 1,157.63 2,645.79 2,645.79 $ 2,752 30 4,168 72 3,120.83 1,047.89 15,425.93 6,024.56 190.50 190.50 748 31 748.31 94 83 94.83 2,476 70 2,476.70 tl5,828 89 tl5,828.89 2,314 00 6,145.30 9,401.37 41.65 5.67 35.98 6,052.08 778.53 5,273.55 7,467 86 6,045.00 313.50 1,109.36 8,219.50 6,375.00 1,594.50 250.00 24,935 74 13,994.66 577.25 10,363.83 13,358.21 3,205.99 386.84 5,958.58 3,806.80 86.12 13,327.50 8,398.35 4,929.15 $ 65,934.04 44,923.18 58,673.04 48,870.14 9,802.90 271,091 65 196,868.27 21,963.86 52,259.52 50,481.41 34,799.51 15,681.90 115,154 11 92,289.68 22,864.43 137,661.46 61,209.21 40,718.40 35,733.85 217,733 89 170,130.89 32,453.00 15,150.00 237,389 26 171,148.13 16,720.28 49,520.85 311,764.67 211,685.93 15,578.74 69,000.00 15,500.00 245,228.17 153,045.92 126,219.72 26,826.20 $ 23,789.54 7,596.81 18,884.00 10,537.53 8,346.47 118,345 67 58,327.71 10,310.74 49,707.22 22,026 49 16,006.49 6,020.00 54,722.63 37,426.80 17,295.83 81,101 29,522 32,315 19,264 89,852 64,785 16,365 8,701 113,992 56,378 4,947 52,665 110,149 28,363 9,171 57,258 15,355 42,117.32 53,629 85 46,567.85 7,062.00 6,657.16 ,502.00 10,870.00 10,870.00 62,863 20 59,563.20 3,300.00 3,000.00 3,000.00 2,150 00 2,150.00 1,800.00 1,800.00 99,434.20 89,934.20 9,500.00 38,000 00 18,782.84 18,782.84 $ 146,199 88 90,545.09 143,941.73 124,046.00 19,895.73 432,291.21 291,735.79 34,233.27 106,322.15 98,475.49 75,687.36 22,788.13 310,577.96 272,492.84 38,085.12 306,572.42 156,232.07 76,927.98 73,412.37 428,615 36 351,996.16 50,872.08 25,747.12 435,301 58 296,903.23 24,635.81 113,762.54 563,659 29 282,102.67 25,291.84 212,704.22 43,560.56 407,280.49 313,305 89 277,941.45 35,364.44 Keceipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalising Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 950-3 Vocational Education 980-4-6 Rural High Schools 961 Poll Taxes Scotland 35,455.32 23,965 32 161.16 11,328.84 *978 51 *4.758 44 3.779 93 *599 34 *1 9, 007 32 *14,088.76 168 07 *6.586 63 1.500 00 10,275.60 *13,316.35 16,184.00 2,762.12 2,255.88 506 24 *24,266 22 *24,266.22 $ 10,416 63 10,416.63 $ $ 2,555.00 2,555.00 $ $ 3,548 25 Rural 2,937 00 611 25 Stanly 20,203 59 20,203.59 6,280.00 6,043.75 236.25 580.00 3,012.50 2,562.50 450.00 800.00 800.00 5,235 42 Rural . 4,737.42 498.00 Stokes. 52,234.80 57,232.96 57,232.96 500.00 866.66 866.66 3,000 00 Surry Rural . 1,600.00 1,600.00 6,609 85 6,404.65 Elkin 205.20 10,840.17 20,775.47 12,424.16 97,720.12 97,720.12 800.00 921 50 3,025 00 . 1,315.00 770.00 370.00 400.00 1,785.00 1,785.00 1,323.54 Tyrrell 800.00 500.00 500.00 753.08 9,095.70 ; 8,013.00 1,082.70 5,666.62 5,666.62 255 00 255.00 175.00 175.00 Wake *17,746.15 2,333.33 2,333.33 10,969.07 9,738.32 1,230.75 300.00 300.00. 6,000.00 6,000.00 *18,202.22 456.07 *17,327.67 *1 ,931 .35 *6,772.86 4,841.51 *10,157.85 12,797.58 Wake Forest 41,621.64 20,351.00 20,351.00 1,542.50 1,125.00 1,125.00 1,000.00 500.00 500.00 3,865.23 Washington Watauga. 36,866.18 11,715 98 11,715.98 190 00 5,017.50 4,657.50 750.00 3,040 50 2,205.00 2,205.00 5,192.88 Rural 5,192.88 26.82 484.87 11,988.49 297.40 360.00 Mount Olive I •Overdraft. tTransfer. Receipts, 1927-1928 39 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 963 Dog Taxes $ 380 00 380.00 1 ,138 84 1,138.94 1,500.00 2,091.00 2,091.00 257.00 290 00 2,658.00 2,658.00 2,000 00 2,000.00 853.00 2,001.88 2,001.88 964 Interest on Bank Balances 24 00 115.65 79 22 29.22 50.00 965-68 All Other 8,501.58 1,681.28 1,052.11 5,768.19 4,773.94 1,698.41 3,075.53 3.179 84 ,751.49 ,281.69 816.80 ,203.00 450.00 ,932.96 ,101.61 ,490.55 ,758.61 ,132.24 626.37 253.00 103.00 150.00 ,098.37 ,098.09 ,557.15 443.13 12,019.28 ,194 52 ,559.97 ,634.55 356.40 4,909.88 1,894.45 ,699.47 780.00 535.96 970 Ad Valorem Taxes County 67,599 93 21,601.87 13,746.75 32,251.31 158,298.35 131,919.89 26,378.46 72,178.23 143,773.72 79,490.07 14,901.32 38,432.39 10,949.94 38,788.36 68,623.02 27,558.52 143,897.14 106,427.38 37,469.76 198,983 73 104,039.32 94,944.41 462,732.31 146,452.57 296,000.00 20,279.74 77,521 .19 47,961.38 30,356.88 17,604.50 39,638.96 257,461.89 130,827.35 1,644.31 19,827.57 79,606.35 25,556.31 Local $ 43,563.36 13,089.08 7,602.61 22,871.67 39,467.98 24,172.45 15,295.53 13,317.28 53,885. 15,946. 6,416. 27,989. 3,533. 17,907. 24,658. 3,783. 63,927 47,070. 16,857. 9,998. 194,833 67,139. 116,300 11,393, 19,133.73 20,113 20.113. 7,602.00 136,461.91 42,359.55 549.33 12,616.27 67,567.27 13,369.49 Temporary Loans 4,000 00 ,000.00 29,000.00 29,000.00 20,000.00 30,000.00 99,863.80 35,501 67 35,501.67 120,441.34 120,441.34 375,000.00 295,000.00 80,000.00 40,824.43 10,157.85 138,775.00 136,000.00 275.00 2,500.00 Total Receipts Current Expense Fund $ 182,213.33 82,807.94 22,562.63 76,842.76 269,564 01 220,300.31 49,263.70 170,532.19 272,198.55 169,768.65 22,753.15 63,038.37 16,638.38 109,458.90 211,023.55 48,018.61 373,509.07 316,566.20 56,942.87 321,924.01 216,830.95 105,093.06 1,107,972.12 558,514.23 516,885.68 32,572.21 185,433.07 92,313,73 67,233.17 25,080.56 89,379.54 583,767.03 341,032.12 2,495.46 37,488.18 159,992.11 39,759.16 40 Keceipts, 1927-1928 Tabus III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Wlkes $•14,710.01 •17,730.11 3,020.10 •3,218.38 3,423.84 975.98 6.59 589.84 •8,214.63 •4,344.25 •3,842.25 502.00 •33,891.88 $ 96,17173 96,171.13 $ 180.00 180.00 $ 2,000.00 2,000.00 $ 1,699.71 1,500.00 199.71 $ 6,504.00 Rural 6,504 00 North Wilkesboro Wilson 1,822.50 1,800.00 10,133 81 10,133.81 Elm City 22.50 1,430.00 1,430.00 Yadkin... 48,677 72 48,677.72 900.00 500.00 400.00 1,000 00 3,333.33 Rural 3,333.33 East Bend Yancey 37,924 00 1,400.00 3,813.95 North Carolina $949,500.38 449,093.63 500,406.75 $3,217,290 59 3,217,290.59 $ 86,082.07 86,082.07 $233,983 48 202,672.85 31,310.63 $ 97,559.03 94,361.98 3,197.05 $ 400,645 31 382,922.34 17,722.97 •Overdraft. tTransfer. Receipts, 1927-1028 41 Current Expense Fund—Continued Expense Fund 969 Temporary Loans County and Local Tax Funds Total 962 Fines Forfeitures, 963 Dog Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes Receipts Current Expense Fund Penalties County Local $ 7,749 05 $ 513.82 513.82 $ $ 8,004.33 6,991.33 1,013.00 6,737.16 5,890.50 127.00 2.70 $ 74,956 71 57.206.15 17,750 56 355,510.86 152,997.30 37,057.42 29,034.73 4,286.96 132,134.45 39,504 66 33,277.36 6,227.30 56,476.39 $ 28,431.46 12,094.00 16,337.46 $ 11,783 12 11,783.12 $ 223,283 92 7,749.05 184,963.09 38,320.83 23 075 17 3,117.13 3,117.13 859 65 859.65 85,500 00 76,500.00 483,537 90 23,075 17 277,797 40 38,160.40 29,044.02 4,876.80 . 716.96 4,640.49 4,047.57 592.92 2,061.00 9,000.00 2,800.00 2,800.00 133,659.28 1.833 83 1,833.83 1,729.00 1,729.00 6,525.67 5,455.90 1,069.77 9,371.70 107,030 45 99,242.46 7,787.99 1,897.77 40,622.38 120,675 31 $849,112 81 847,814.78 1,298.03 $97,891.17 97,891.17 t$145,994.38 tl55.627.21 9,632.83 $552,739 51 294,574.43 258,165.08 $14,616,300.17 8,865,079.50 5,751,220.67 $5,701,200.48 2,648,346.42 3,052,854.06 $5,197,580 56 4,097,564.24 1,100,016.32 $31,853,891 18 21,128,066.79 10,725,824.39 42 TABLE IV. RECEIPTS FOR CAPITAL B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Alamance. .. .. $ *19,414.39 * 19, 745. 40 331.01 $ 115,450.00 115,450.00 $ 21,000.00 21,000.00 $ 71.00 71.00 $ $- Burlington .. Graham. . . Haw River Mebane ... _. . . Alexander. ._ 300.00 1,936 90 1,323.80 4,864.64 200.00 *3,740.84 180 70 2,500.00 *899.87 *899.87 7,500.00 38.00 973.10 1,617.00 1,617.00 125.00 100.00 20.01 17,000.00 Rural Morven 17,000.00 101.68 50.00 Avery _ Beaufort 42,500.00 42,500.00 90.90 90.90 4,260.00 306.00 269 50 1,256.00 1,256.00 Bertie. 500.00 67,347.37 992.50 1,371,611.75 394,024.71 977,587.04 *1,399.84 34,000.00 49,750.00 10,500.00 52,695 85 52,695.85 259.85 100.00 Bladen 4,514.71 275,000.00 400,146.84 400,146.84 7,223.92 7,223.92 Burke . .. 8,000.00 11,383.16 Rural 11,383.16 *1,450.80 50.96 *53,955.30 *52,762.67 , *1,192.63 8,000.00 174,777.16 174,777.16 Cabarrus _ ... 10,000.00 10,000.00 918.75 918.75 411.17 Rural 411.17 Caldwell 22,894.92 49,009.19 49,009.19 425.05 100.00 Rural 100.00 425.05 22,994.92 2,507.80 26,999 59 Camden..... .. .... 17,000.00 25,664.16 140.00 35,694.46 643.46 35,051.00 100 00 164.00 164.00 27,442.36 Morehead City *442.77 "Overdraft. •(•Transfer. OUTLAY AND DEBT SERVICE FUNDS B. Capital Outlay Fund C. Debt Service Fund 985; Donations Other $t1,169.36 810.00 t2,213.84 234.48 t300.00 t2,500.00 1,507.46 1,507.46 1180.70 4,737.27 430.50 4,306.77 2,392.84 156,766. 45 5,983.40 t73,076.00 t73,076.00 tl ,592,47 t326.07 t1,266. 40 2,226.25 2,226.25 1,773.39 390.68 1,382.71 4,684.13 261.61 4,422.52 986 Ad Valorem Taxes 21,372.28 13,073.63 4,970.00 1,471.75 375.00 1,481.90 5,100.41 24,959.82 17,248.57 3,137.00 4,574.25 2,398.11 13,744.36 10,898.78 2,845.58 15,221.78 553.99 15,063.86 64,531.04 64,531.04 10,294.14 2,767.86 3,738.15 3,788.13 31,831.88 23,776.88 8,055.00 19,948.31 15,586.31 1,362.85 2,999.15 9,968.69 8,514.50 939.42 514.77 Total Receipts, Capital Outlay Fund Balance June 30, 1927 137,309.53 130,659.23 3,087.17 1,706.23 375.00 1,481.90 12,763.41 530.01 25,237.67 3,337.00 17,833.41 2,549 79 2,500.00 60,172.66 52,929.41 7,243.25 56,634.47 66,007.88 259,273.09 1,824,389.40 846,802.36 977,587.04 26,684.99 14,151.02 1,961.28 10,572.69 166,209 91 159,347.54 6,862.37 94,250 86 64,695.50 2,178.58 27,376.78 77,510.87 9,583.57 67,855.30 72.00 163,202 33 171,338.71 11,636.38 f3.500.00 *2,667.31 *3,488.71 18,516.75 14,461.57 *2,417.50 *1, 637. 68 581.36 1,909.64 825.55 825.55 '58,051.52 28,438.11 28,438.11 *1 ,054.00 *1,054.00 49,313.00 54,885.52 *5,572.52 *12,316.11 7,906.86 "20,222.97 3,593.15 *2,392.85 575.00 *2,967.85 991 Temporary Loans $ 167,329.99 164,000.00 f7.075.52 f86 . 17 10,491.68 4,693.18 2,500.00 16,329 66 4,329.66 12,000.00 t581 38 31,693 23 36,000.00 14,306.77 69,508.01 48,636.17 169,781.24 1,061.24 168,720.00 3,500.00 3,500.00 147,500 00 127,500.00 20,000.00 9,672.00 172.00 9,500.00 1,225.00 1,800.00 1575.00 992 Ad Valorem and Other Local $ 1,699.25 fl5,770.72 6,149.49 3,586.17 1,583.20 6,151.11 10,269.46 24,842 64 10,592.64 750.00 13,500.00 2,650 46 100.00 34,624.75 3,353.67 31,271.08 16,723.44 11,652.98 6,024.20 291,814.41 114,589.41 177,225.00 13,419.64 6,698.63 . 2,030.98 4,690.03 8,586.12 2,843.60 5,742.52 32,976.92 2,753.10 30,223.82 5,261.54 990 Ad Valorem Taxes- County $ 58,821.10 46,448.31 6,974.64 2,689.75 2,708.40 1,012.66 5,388.98 17,199.14 15,270.29 693.00 1,235.85 1,899.23 19,438 20 32,983 56 32,983.56 15,745.30 22,748.62 25,540.40 65,879.48 65,879.48 25,053.97 21,256.75 135.00 3,662.22 21,229.99 16,159.99 5,070.00 26,022.03 15,632.35 5,209.33 5,180.35 12,093 55 31,674.85 28,707.00 2,967.85 Total Receipts, Debt Service Fund $ 64,648.01 23,338.88 17,684.99 2,689.75 1,583.20 19,351.19 13,307.99 4,400.27 39,854.69 11,401.36 3,355.16 25,098.17 4,549 69 21,447 84 100,127.09 73,162.78 26,964.31 32,477.43 45,858 09 80,200 77 555,913 24 209,968.24 345,945.00 40,919 61 27,955.38 1,111.98 11,852.25 226,629.11 201,389.11 25,240.00 56,354.84 15,632.35 16,041.29 24,681.20 20,948.24 30,507 00 30,507.00 u Receipts, 1927-1928 Table IV. Receipts for Capital Outlat Balance June 30, 1927 B. Capital Outlay Fund Counties 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property | 983 Rural Libraries 984 Interest on Bank Balances Caswell - $ 190.77 9.02 $ $. $ 335.00 $. $____ 60,000.00 60,000.00 9,784 00 9,784.00 100.00 100.00 9.02 Chatham 20,400.00 43,350.00 43,350.00 5,150.00 227 43 23 78 23.78 100.00 Rural 1,980.99 193.04 1,787.95 312.42 17,827.93 45.00 45.00 50.00 50.00 Clay 21,250.00 42,500.00 42,500.00 61.83 953.36 583.36 320.00 50.00 2,004.73 154.75 154.75 50.00 50.00 50.00 Cleveland 10,000.00 886.38 Rural Shelby . 17,827.93 43,643.30 •750.00 10,000.00 7,576.51 40,000 00 40,000.00 886.38 32,810.21 10,000.00 10,000.00 100.00 100.00 100.00 14 06 750.00 *5,595 96 •3,339.06 •2,256.90 1,390.00 1,802 98 20,882.85 18,812.99 2,069.86 25,500.00 50.00 50.00 250.00 Rural 250.00 25,500.00 222.50 100 00 100 00 100.00 100.00 50.18 2,975 00 42,900.00 42,900.00 242,615.31 69,890.31 86,000,00 86,725.00 12 20 Rural Lexington 12.20 234.00 234.00 Davie •318.01 863.00 •1,181.01 Duplin 71,857.72 37,825.00 37,825.00 186,313.00 1,074,578.95 70,018.95 1,004,560.00 1,773.06 54,925 01 53,309.00 1,616.01 300.00 50 00 50.00 Durham.. ... •47,403.92 •70,022.00 22,618.08 14,339.17 Rural Durham 401.42 13,937.75 •Overdraft. tTransfer. Receipts, 1927-1928 45 and Debt Service Funds—Continued B. Capital Outlay Fund 985 Donations and Other 79 47 t2.475.20 354 . 18 f2.829.38 T312.42 235.00 235.00 11,046.68 1,200.75 1,200.75 309 73 309 . 73 986 Ad Valorem Taxes 4,235 70 |1,740 00 2,100.00 f3,840.00 1,181 01 1,181.01 1,758 69 3,321 07 2,281.79 1,039.28 9,769.15 63,886.82 62,876.50 507.72 502.60 1,581.24 7,844 42 6,023.50 635.58 1,185.34 3,936 79 234.60 3,702.19 18,275.91 11,876.28 5,663.20 736.43 19,405.93 25,380 81 18,001.90 7,378.91 38,368.66 17,709.20 20,(559.46 700 00 Total Receipts, Capital Outlay Fund 18,077.61 7,568.62 6,668.99 3,840.00 1,348.12 779.76 568.36 20,745.01 133,580.72 56,975.70 76,605.02 $ 10,374 39 133,779.84 132,760.50 516.74 502.60 27,458.67 51,218 20 49,397.28 635.58 1,185.34 3,537.58 876.82 2,660.76 21,361 83 90,728.58 55,009.64 5,983.20 29,735.74 116,601 42 76,086 31 69,457.40 6,628.91 58,882 43 14,979.87 43,902.56 2,462 68 9,113 68 322,847.97 139,271.92 96,838.85 86,737.20 2,445.12 1,876.76 568.36 282,747.48 1,271,216.00 150,839.86 1,120,376.14 C. Debt Service Fund Balance June 30, 1927 $ *3,508.16 9,798 65 18,114.00 1,684.65 •11,214.15 4,500 00 4.500.00 676 55 *66.05 742.60 43,662.54 18,069.56 62.70 25,530.28 7,615.48 260.12 260.12 24,903.63 "10,096.37 35,000.00 176 71 *35 00 •11,161.79 8,200.89 Temporary Loans *19,362.68 68.56 336.85 *268.29 113,352.99 3,965.67 17,606.06 •13,640.39 17,186 00 7,186.00 10,000.00 15,311.81 1,265 20 1,265.20 10,000.00 10,000.00 f24,076.00 1,516.98 t62.70 t25,530.28 1,247.06 145,490 63 145,000.00 490.63 992 Ad Valorem and Other Local $ 3,508 16 30,086 16 11,873.41 10,247.15 7,965.60 12,998 69 3,716 70 12,000 00 35.00 8,032.77 8,032.77 26,800.00 196,495 82 196,495.82 $ 13,017 47 17,539 55 13,091.99 2,723.76 1,723.80 4,413 90 7,795 00 7,795.00 194.82 3,521.88 6,895.83 2,433.38 4,462.45 16,372 43 6,372.43 10,000.00 6,923 07 4,394.75 2,528.32 50,248 27 29,939.10 20,309.17 Ad Valorem Taxes — County 64,640 25 35,000.70 29,639.55 10,771 43 6,887.37 3,884.06 t83,608.19 68,761.68 8,409.48 60,352.20 4,393.87 2,945.01 1,448.86 8,032 72 13,893.97 12,097.97 1,796.00 29,919 84 51,192 76 41,738.38 9,454.38 36,437.52 27,802.32 8,635.20 13,064.57 3,463.95 28,677.33 21,990.61 3,686.80 2,999.92 14,333 60 10,102.04 4,231.56 44,096.64 91,569 75 57,369.75 34,200.00 Total Receipts, Debt Service Fund $ 13,017 47 34.610 36 24,965.40 38,270.91 21,374.05 21,513 25 17,276 90 9,060.20 4,694.82 3,521.88 21,966.25 15,312.34 6,653.91 8,032.72 49,852.49 38,056.49 11,796.00 38,782.38 203,866 58 191,393.25 12,473 33 111,589.42 47,645.05 63,944.37 25,241 28 3,463.95 90,188 56 30,191.50 38,687.50 21,309.56 25,173.59 17,326.26 7,847.33 100,641 44 360,792.92 279,881.11 80.911.81 16 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Not 3s 982 Sale of School Property 983 Rural Libraries - 984 Interest on Bank Balances $ 619.23 619.23 $ 44,000.00 44,000.00 $ $ 258.71 258.71 $ 150.00 150.00 $ Tarboro 7,870.83 1,625.00 6,245.83 150 00 150.00 1,120.62 1,917.56 *894 . 18 97.24 M7.498.55 *2,093.77 *3, 184.83 *2, 105.62 40,114.33 1,070 66 *7,770.98 *92.64 73,550.00 53,550.00 10,000.00 10,000.00 29,000.00 19,000.00 10,000.00 450.00 100.00 100.00 500.00 500.00 450.00 Gaston.. 7,500.00 1,073.20 1,073.20 100.00 100.00 720 00 7,500.00 720.00 12,025.00 37,546 39 1,524,01 57.20 1,678.09 1,621.00 57.09 525 00 9,868 85 8,921.32 947.53 150.00 100.00 100.00 Oxford *92.64 n, i4t.ei "320,549 74 45,336.46 42,500 00 42,500.00 Guilford 2,233,350 02 463,685.42 1,326,765.00 442,899.60 50,000.0C 50,000.00 250.00 250.00 8,919 92 8,040.00 High Point Halifax *320,549.74 11,918.15 879.92 52,500.00 52,500.00 200 00 Enfield 11,918.15 200.00 Weldon 1,203.04 *5,142.88 *2,898.50 2,244.38 2,506.79 2,486.39 20.40 76,500 00 38,250.00 38,250.00 25,000.00 1,312.75 2,634.44 1,100.06 1,534.38 66,458 83 66,458.83 250.00 100 00 100.00 11,480.80 24.22 Rural 24.22 58,037.32 58,037.32 185,000.00 185,000.00 300.00 300.00 Hendersonville •Overdraft tTransfer. Receipts, 1927-1928 47 and Debt Service Funds—Continued B. Capital Outlay Fund Donations and Other Ad Valorem Taxes Total Receipts, Capital Outlay Fund C. Debt Service Fund Balance June 30, 1927 991 Temporary Loans 992 Ad Valorem and Other Local 990 Ad Valorem Taxes — County Total Receipts , Debt Service Fund $ 2,180 55 2,180.55 1350.93 624.07 t975.00 4,012.26 2,312.26 1,700.00 1,700 00 t9,438.29 345.19 354.19 1,426.61 1,650.00 1,250.00 400.00 3,385.25 2,700.00 536.00 $ 11,887.51 8,763.57 3,123.94 52,365.72 30,382.47 21,983.25 10,163.12 7,096.94 2,091.18 975.00 20,337.45 9,823.08 6,378.39 2,932.36 1,203.62 7,518 45 6,676.70 4,529.40 3,839.12 690.28 20,464.91 102,949.94 10,646.73 44,017.80 48,285.41 15,714 64 7,400.82 149.25 113.98 928.87 928.87 f2.486.39 12,486.39 3,721.04 | 59,096.00 55,972.06 3,123.94 60,386 55 32,157.47 28,229.08 85,532.81 63,788.57 11,647.00 10,097.24 15,244.36 30,214.77 22,393.56 826.74 38,190.71 21,846.80 27,071.02 6,560.04 5,905.31 654.73 66,611.37 2,078,938.99 526,003.47 1,381,020.33 171,915.19 133,718 04 112,600.82 12,454.15 3,921.04 4,592.78 14,944 42 8,183.18 6,411.81 1,771.37 7,994.09 1,837.79 6,156.30 4,742.03 117,843 39 44,977.83 43,916.46 1,061.37 317,810 64 311,633.94 6,176.70 $ 8,483.35 8,483.35 10,642 73 1,251.45 11,894.18 "1 2, 455 94 *8, 250.94 '4,205.00 *5,302.22 26,516.96 *26,500.00 *16.96 25,138 83 410,535.41 180,730.50 65,645.09 295,450.00 14,011.44 4,464.07 9,697.84 150.47 7,560.06 56,169.16 56,224.16 55.00 $ 18,624 53 6,548.28 12,076.25 209,336 25 33,000.00 20,000.00 13,000.00 106,543.45 500.00 106,043.45 82,015.48 27,898.90 27,898.90 t25,138.83 t342,899.60 f342,899.60 29,645.00 6,895.00 22,750.00 97,519 22 51,906.62 51,906.62 145,046 25 145,046.25 $ 34,398.74 29,418.04 4,980.70 43,865.95 43,865.95 209,336.25 16,613.78 4,736.45 11,877.33 171,793.11 72,235.47 9,383.76 5,222.25 84,951.63 8,158.62 11,342.59 11,305.00 37.59 187,214 79 107,513.29 79,701.50 97,105.59 10,304.43 7,822.33 61,232.81 8,477.54 9,268.48 17,364.62 f24,242 70 135,119.72 10,877.02 9,000 00 42,590.66 33,896.86 4,791.80 3,902.00 38,186.07 34,662.73 2,383.34 1,140.00 22,546 43 8,716.80 52,634.76 41,284.76 11,350.00 24,975.00 276,400.92 167,981.28 60,970.04 47,449.60 15,506.72 15,506.72 9,000.00 78,368 09 7,209.98 4,815.25 2,394.73 22,512 06 18,212.46 4,299.60 $ 61,506.62 44,449.67 17,056.95 253,202.20 43,865.95 209,336.25 102,847.17 57,381.86 16,685.98 28,779.33 304,066.69 106,898.20 3,516.16 2,657.25 190,995.08 107,418.31 8,716.80 65,359.29 53,988.66 11,370.63 24,975.00 531,251.52 348,711.78 102,838.24 79,701.50 128,245 87 25,811.15 10,253.26 51,534.97 31,378.01 9,268.48. 176,082 75 91,043 06 77,826.31 13,216.75 176,558.31 163,258.71 13,299.60 48 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30. 1927 980 State Loans 981 Sale of Bonds and Note.s 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Hertford . . - . $ % 56,100 00 31,000 00 6,000 00 55,000.00 55,000.00 $ 200 00 11,962 85 $ 431.70 $ 100 00 50 00 150 00 378 37 37S.37 $ Hoke Hyde *1 ,831 89 358.55 202 . 80 155.75 Iredell 853 00 853.00 27,709 24 278 50 4,652 86 4,652.86 100 00 Johnston. .. 873 72 *137.61 1,011.33 2,693.69 11,187.72 11,187.72 153,933 02 Rural . 153,933.02 Jones 35 00 107.15 Rural... 107.15 Lenoir 1,916 21 100.00 1,816.21 3,557 32 3,557.32 83,950 00 68,950.00 15,000.00 25,500.00 25,500.00 51,046.00 51,046.00 976 00 976.00 200 00 200.00 125.01 Rural 125.01 Lincoln 2,095 00 Rural 2,095.00 Macon 15,705 67 •19,678.55 4,049 44 34,478 21 34,478.21 70 00 491 00 2,351 00 1,568 50 1,568.50 50 00 100 00 100 00 23,757.90 50,183 05 130,826 00 130,826.00 Martin.. 55,500.00 29,750.00 29,750.00 McDowell 543.30 Rural - 543.30 2,235.11 4,034.13 72,800.00 72,800.00 5,273 44 5,273.44 175 00 Rural 175.00 1,799.02 Mitchell 582 75 50 00 Montgomery 3,000 00 15,500 00 82,010 55 514.21 •Overdraft. tTranefer. Receipts, 1 927-] 928 4!) and Debt Service Funds—Continued B. Capital Outlay Fund 985 Donations and Other $ 1,01761 2,131.89 1,892.31 1,569.25 323.06 480 34 480.34 2,932 31 2,850 00 2,850.00 4,207.60 4,207.60 15,705.67 1,627.43 4,785 92 3,008.02 1,777.90 1,340 00 936 Ad Valorem Taxes $ 7,597 43 130.48 6,050 38 24,231.22 8,903.99 1,831.13 13,436.10 740 00 32,136 49 32,136.49 3,040 61 2,029.01 1,011.60 9,498 44 5,383.42 4,115.02 4,863 79 2,319.80 2,543.99 4,359.22 1T.067 00 13,657.16 41,850.27 40,236.85 1,613.42 383,208.50 33,794.30 347,532.90 1,881.30 7,799.59 13,000.00 Total Receipts, Capital Outlay Fund 65,446.74 43,143.33 12,500 38 82,713 45 66,967.41 2,309.94 13,436 10 28,827 74 192,076.43 191,065.10 1,011.33 5,666 00 17,185 48 16,173.88 1,011.60 151,919 26 130,863.02 21,056.24 36,016.11 33,472.12 2,543.99 4,479.22 15,737.35 127,468.08 170,059 86 168,446.44 1,613.42 468,477.97 119,084.89 349,310.80 82.28 8,432 34 99,364 76 C. Debt Service Fund Balance June 30, 1927 $ 9,227 13 13,468 72 1,979 38 10,000.00 10,000.00 74.74 70,240.54 63,167.04 7,073.50 34,963 39 15,000.00 15,000.00 92 10 92.10 56.47 56.47 6,761.94 22,231.14 *1,923 39 20,135.61 16,390.69 3,744.92 4, 798. 55 '4,798.55 991 Temporary Loans 6,000 00 3,683 55 125,836 71 t25,836.71 134,963 39 201,400.00 82,000.00 119,400.00 15,000 00 15,000.00 70,000.00 5,610.00 495,932 10 490,000.00 5,932.10 992 Ad Valorem and Other Local $ 14,555.70 37 07 42,765.45 862.32 7,130.39 34,772.74 24,498.86 10,483.10 14,015.76 15,780.78 7,977.48 5,909.42 2,068.06 40,267.36 2,496.99 37,770.37 8,497 83 7,857.43 640.40 122,231.14 27,162 31 17,482.31 9,680.00 166,972.49 44,33S.88 120,966.66 1,666.95 1,050 00 7,878.87 990 Ad Valorem Taxes — County $ 5,711 70 24,589 03 9,132.08 41,481 29 28,313.59 5,529.65 7,638.05 24,925.96 64,007 58 64,007.58 16,096.11 5,977.51 10,118.60 59,344.76 38,551.88 20,792.88 19,640 49 17,673.38 1,967.11 23,436.02 23,906 47 29,985.66 19,417.75 15,086.95 4,330.80 106,532 97 106,368.47 164.50 15,353 72 42,369.50 Total Receipts, Debt Service Fund $ 29,494.53 44,057.75 14,832 08 94,246 74 29,175.91 22,660.04 42,410.79 25,000 70 132,910 27 111,821.01 21,089.26 15,780 78 39,073 59 26,886.93 12,186.66 301,104.22 123,140.97 177,963.25 43,194 79 25,530.81 17,663.98 16,674.08 93,906.47 33,672 27 66,715.67 48,959.95 17,755 72 764,639 01 640,707.35 120,966.66 2,965.00 16,403.72 50,248.37 50 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Moore . . ... $ 35,428.51 33,982.20 $ 50,212.62 50,212.62 $ $ $ $ 46.31 Southern Pines. _ _ 1,400.00 S Nash 98,107.67 *10,113. 68 108,003.78 217.57 25,500.00 25,500.00 21,021.90 4,830.00 2,700.00 2,130.00 200.00 200.00 3,466 55 Rural 21,021.90 3,466 55 New Hanover 73,750 00 55,498.00 1,220 87 1,751.35 1,365.00 1,365.00 200.00 100.00 150.00 150.00 Onslow *1 7, 280 39 4,146.64 4,146.64 260.33 9.16 9 16 Chapel Hill *523 75 *34,827.82 41,798.30 6,970.48 5,395.48 20 46 400 00 400.00 185.00 1,074 71 1,074.71 310.29 310.29 Elizabeth City ... Pender.. 7,654.86 t8,607 78 2,493.25 715.45 Perquimans Person 21,250 00 Rural 21,250.00 Pitt 39,738 33 39,738.33 87,875.00 87,875.00 100,000 00 26,654.50 654.50 150.00 150.00 537.22 537 22 100,000.00 26,000.00 400.00 400.00 Polk 1,138.41 1,138.41 150.00 150.00 Tryon *32,775.23 *33,751.74 976.51 47,010.93 47,010.93 Asheboro. Overdraft. ^Transfer. Receipts, 1927-1928 51 and Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund Donations and Other 36.17 82.48 t46.31 2,200.00 2,200.00 605.00 1,680.50 160.00 135.00 25.00 42,235 71 42,235.71 4,036.33 266.57 241.57 25.00 900.00 900.00 Ad Valorem Taxes 17,059.19 9,490.88 953.04 3,600.09 2,570.58 435.60 19,024.98 9,856.50 7,886.97 1,281.51 10,980.60 10,980.60 13,860.89 43,282.27 5,769.12 5,210.27 558.85 1,354.26 14,796.30 11,105.59 3,690.71 6,428.50 1,479.90 3,181.78 1,698.94 1,482.84 25,948.34 22,397.18 3,551.16 5,817.93 5,742.93 75.00 7,809.62 5,740.75 2,068.87 Total Receipts, Capital Outlay Fund Balance June 30, 1927 102,736.49 93,685.70 1,035.52 3,609.09 3,970.58 435.60 174,351.10 30,342.82 142,509.20 1,499.08 10,980.60 10,980.60 $ 16,133.77 14,940.38 1,174.73 18.66 64,621.39 59,007.30 5,614.09 ,134.76 ,794.06 ,599.92 ,016.07 583.85 1,015.51 589 19 928.00 661 . 19 116.09 500.36 24,831.78 23,348.94 1,482.84 281,169.96 151,593.80 3,576.16 126,000.00 8,406.34 8,331.34 75.00 22,045.32 18,999.94 3.045.38 10,139.98 1,236.19 28,315.34 28,315.34 725.63 "28,065.75 '14,065.75 "14,000.00 13,722.20 1,724.90 1,724.90 3,150.42 3,150.42 23,265.90 21,857.26 1,408.64 991 Temporary Loans 18,587.27 25,000.00 tl4,940.38 46.31 8,500.00 tl8.66 90,168.82 90,168.82 12,350.00 12,350.00 3,446.40 41,475.00 6,231.18 6,231.18 36,990.00 11,990.00 25,000.00 3,150.62 42,000.00 42,000.00 t7,563.20 t7,563.20 992 Ad Valorem and Other Local 61,407.25 23,428.27 11,614.40 8,034.29 12,895.15 5,435.14 76,171.07 39,421.87 33,223.50 3,525.70 4,529.51 6,309.78 21,794.98 16,160.88 5,634.10 106.11 58,228.62 6,065.29 52,163.33 23,260.96 2,301.25 15,116.51 7,616.51 7,500.00 64,230.02 37,144.94 4,083.78 23,001.30 14,958.75 1,503.75 13,455.00 16,625.91 10,000.00 6,625.91 990 Ad Valorem Taxes — County $ 13,346.92 12,543.49 525.95 105.56 125.72 46.20 7,543.17 2,016.00 5,300.37 226.80 80,782.11 27,596.55 53,185.56 27,721.79 14,170.74 7,862.45 5,817.47 2,044.98 13,145.60 19,106 05 19,106.05 6,339.63 9,002.54 17,121 17 14,914.92 2,206.25 23,619.24 23,619.24 24,332.88 21,499.50 2,833.38 Total Receipts. Debt Service Fund $ 109,475 21 60,971.76 12,140.35 9,360.89 21,520.87 5,481.34 238,504.45 190,613.99 38,523.87 9,366.59 93,132.11 39,946.55 53,185.56 45,837.68 63,191.71 64,203.95 56,524.87 7,679.08 13,977.34 86,258.92 23,095.59 63,163.33 46,473.41 11,303.79 30,512 78 20,806.53 9,706.25 109,380.44 37,144.94 4,083.78 68,151.72 38,577.99 25,122.99 13,455.00 56,661.49 45,793.56 10,867.93 OZ Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Richmond ... $ 3,229.78 5,618.75 $ $ _•__.. $ 2,271.84 1,710.90 $ $. Hamlet- . . . . - 2,388.97 437 09 560.94 5,828.55 5,828.55 98,750.00 98,750.00 461.92 24.83 15,585.49 15,928.89 37.35 306.05 6,376.86 200.85 Rockingham . _. 38,250.00 38,250.00 15,828.89 15,828.89 1,599 49 1,599.49 100.00 100.00 Rowan 63,250.00 63,250.00 177,212.49 170,206.47 2,560.00 2,560.00 East Spencer .. .. 6,177.10 1.09 7,006.02 51,070.52 26,775.00 26,775.00 200.00 7,067.50 7,067.50 100.00 16,261.61 16,261.61 44,036 99 44,036.99 Scotland... _ . . 100.00 100.00 Stanly 72,623.26 73,301.90 678.64 42,500 00 42,500.00 72,041.98 72,041.98 4,804.00 2,804.00 2,000.00 50.00 9,316 94 8,441.94 875.00 200.00 Rural... 200.00 Stokes 49,204.22 53,379.45 53,379.45 21,866.94 21,866.94 200.00 200.00 Elkin 6,555.93 12,089.11 4,656.68 3,497.26 3,497.26 50 00 72,250.00 72,250.00 91,722.09 88,722.09 3,000.00 1,476.60 Rural 1,476.60 Monroe Overdraft. fTransfer. Receipts, 1927-1928 and Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund 985 Donations and Other $ t5,468.75 t5,468.75 1,797.17 1,400.00 52.50 344.67 1,819.00 1,819.00 728.77 103.00 685.00 Ad Valorem Taxes 1882.26 tl,516.98 634.72 245.87 11.50 11.50 6,555.93 4,189.34 901.00 901.00 11,316 11 6,427.18 2.076.14 2,812.79 42,628.88 40,320.26 1,293.97 1,014.65 12,966.60 11,211.27 595.00 1,160.33 1,330.87 334.01 18,862.38 13,339.00 11,655.08 1,683.92 2,453.84 1,560.96 125.71 767.17 12,960.79 11,980.79 980.00 7,108.25 5,977.13 5,160.59 178.04 500.00 138.50 9,736.71 28,538.21 2,108.94 23,267.32 20,420.68 2,846.64 Total Receipts, Capital Outlay Fund $ 11,348.98 8,288.08 2,076.14 984.76 149,441.69 146,298.81 1,808.39 1,334.49 54,978.49 51,060.76 632.35 3,285.38 237,976.50 235,815.62 996.86 828.92 335.10 70,961.67 108,268 10 105,899.18 2,368.92 2,553.84 1,660.96 125.71 767.17 59,001.25 54,707.89 4,293.36 56,608.34 90,751.96 89,048.92 1,053.04 500.00 150.00 9,736.71 40,627.32 1,691.60 193,114.27 187,267.63 5,846.64 Balance June 30, 1927 4,266.15 991 Temporary Loans 4,266.15 3,306.48 125.23 3,181.25 40,297.46 28,655.34 11,642.12 139,966.73 28,026.10 28,026.10 72,041 98 72,041.98 -141.71 '1,456.03 *1,456.03 *2,859.57 25,452.91 '12,140.96 25,536.55 25,536.55 4,500.00 62,500.00 500.00 62,000.00 255,012.03 225,452.25 29,559.78 1,516 98 1,516.98 141.71 2,859.57 3,451.56 12,380.76 263.45 t25,536.55 25,800.00 992 Ad Valorem and Other Local $ 33,169.01 9,272.39 15,036.62 8,860.00 51,798.77 35,752.24 4,782.50 11,264.03 31,373.72 3,200.00 28,173.72 33,631.82 21,050.44 5,240.00 7,341.38 990 Ad Valorem Taxes — County $ 16,458 00 16,458.00 8,264.93 8,264.93 115,224.96 3,506.23 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 j68,858 25 169,198.25 340.00 11,168.03 3,440.00 700.00 7,028.03 t25.452.91 t 253.64 20,635.44 7,580.49 13,054.95 60,016.34 47,613.74 1,993.00 10,409.60 48,000 00 48,000.00 71,833.10 29,567.84 29,567.84 24,175.72 21,957.00 2,218.72 11,847.00 21,946.12 20,053.12 1,273.00 620.00 14,272.28 14,938.12 6,192.00 14,472.95 14.472.95 Total Receipts, Debt Service Fund $ 49,627.01 25,730.39 15,036.62 8,860.00 68,829.85 44,017.17 9,282.50 15,530.18 157,196.54 47,613.74 5,818.23 103,764.57 376,941.31 323,158.03 5,240.00 48,543.28 47,091.33 61,100.17 57,593.94 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 28,876.43 26,317.71 2,558.72 11,847.00 31,658.12 20,053.12 4,713.00 1,320.00 5,572.00 14,272.28 18,389.68 6,178.16 60,908.39 22,053.44 38,854.95 54 Receipts, 1927-1928 TABLE IV. Re :bipts for Ca pital Outlay B. Capital Outlay *"und Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notts 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances $ 6,532.55 6,532.55 $ $ $ 405.00 405.00 $ 125.00 125.00 $ Wake 35,993.00 877.13 35,115.87 74,252.47 74,252.47 460,000.00 440,000.00 20,000.00 6,972.54 6,292.72 679.82 150.00 150.00 702.70 702 70 14,919.93 20,777.13 1,361.00 149.91 149.91 200.00 Watauga 3,296.12 1,219.71 43,913.60 18,000.00 18,000.00 30,000.00 30,000.00 12,014.88 11,275.00 200.00 200.00 1,219.71 10.00 729.88 Wilkes 34,147.57 34,147.57 5,257.99 5,257.99 209.75 209.75 100.00 100.00 1,160 05 1,160.05 Wilson 189.56 31,450.00 15,056.78 2,134 00 1,033 40 1,033.40 Elm City _' 182.45 2,134.00 7.11 911.49 911.49 16,393.22 Yadkin 1,625.46 1,625.46 250.00 250.00 *9,817.44 7,901.94 1,915.50 100.00 North Carolina $1,145,796.91 292,824.45 852,972.46 $2,774,285 88 2,670,392.76 103,893.22 $6,586,045.33 3,459,983.81 3,126.061.52 $330,681.60 251,145.97 79,535.63 $ 9,400.94 9,400.94 $ t9,385.13 t38,143.44 Charter 28,758.31 *Overdraft. fTransfer Receipts, 1927-1928 \nd Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund 985 Donations and Other 986 Ad Valorem Taxes Total Receipts, Capital Outlay Fund Balance June 30, 1927 991 Temporary Loans 992 Ad Valorem and Other Local 990 Ad Valorem Taxes — County Total Receipts, Debt Service Fund $ 360.00 360 00 $ $ 7,422.55 7,422.55 $ 16,592.57 16,592.57 $ $ $ 23,742.75 2,837.52 20,905.23 36,267.24 35,703.24 $ 40,335.32 19,430.09 20,905.23 10,772.65 10,772.65 88,766.17 51,748.31 33,267.63 3,750.23 677,609.53 584,093.28 89,766.02 3,750.23 9,870.34 1,462 81 937.87 524.94 47,337.71 80,342.36 61,325.00 12,784.15 *1,353.55 14,137.70 69,800.00 65,000.00 3,800.00 1,000.00 911.40 140,000.00 140,000.00 117,782.72 7,769.18 105,506.54 4,507.00 21,902.90 18,579.76 7,956.99 10,622.77 236,634.11 107,118.87 123,444.24 564.00 132,404.45 23,386.70 23,386.70 6,071.00 2,452.14 32,404.45 5,327.55 2,609.43 2,718.12 13,025.05 *2,199.57 *2, 190.32 *9.25 22,814.30 1,312.90 787.96 524.94 187,294.01 173,953.12 13,340.89 127.99 t13,025.05 54,690.32 2,190.32 3,424.11 24,746.75 24,746.75 3,424.11 1,252.70 850.00 17,655.07 1,000.00 109,244 63 13,999.25 9.25 9,002.73 72,004.42 14,228.98 9,040.99 3,008.70 6,032.29 112,503.15 121,180.52 186,482.13 38,746.00 5,386.47 11,208.30 6,284.36 3,519.56 2,764.80 4,601.53 467.79 604.03 385.95 55.75 3,088.01 1,752.10 1,594.60 157.50 5,025.31 6,616.18 12,340.88 35,461.60 32,696.80 2,764.80 40,536.23 16,557.97 3,578.48 385.95 55.75 19,958.08 4,720.35 4,381.55 338.80 5,125.31 9,002.73 402 70 44,500.00 8,000.00 3,500.00 116,504.42 22,228.98 t11 ,698.12 20,674 09 19,005.93 1,668.16 130,764.94 129,195.70 33,215.08 til, 698. 12 22,014.63 3,500.00 16,900.00 11,200.45 1,127.74 16,694.86 276,862.95 250,376.22 658.00 322.63 t9,000.00 6,212.20 6,118.52 93.68 322.63 469.74 181.30 16,694.86 2,609.15 2,609.15 16,900.00 485.00 1,569.24 8,351.88 7,949.28 402.60 9,936.55 26,164.10 17,658.23 16,676.95 181 30 485.00 t42,537.88 981.28 50,037.88 17,436.55 $ 16,380.67 1,057.40 15,323.27 $1,926,825.96 1,129,109.17 797,716.79 $12,780,032.26 7,775,771.06 5,004,261.20 $981,431.93 651,480.18 329,951.75 $2,844,123.39 2,419,584.09 424,539.30 $2,677,001.68 820,861.18 1,856,140.50 $2,813,386.02 2,403,531.63 409,854.39 $9,315,943.02 6,295,457.08 3,020,485.94 TABLE V. SUMMARY OF Counties Alamance '__'. Rural Burlington Graham Haw River Mebane Alexander Alleghany Anson Rural Morven Wadcsboro Ashe Avery Beaufort « Rural Washington Bertie Bladen Brunswick Buncombe r Rural Asheville Burke Rural Glen Alpine. ._ Morganton Cabarrus Rural Concord Caldwell Rural Granite Falls.. Lenoir Camden Carteret Rural Beaufort Morehead City A. Current Expense Fund 61 General Control 28,806 09 8,759.91 9,713.69 4,574.05 2,270.20 3,488.24 5,493 72 2,123.62 12,426.50 7,550.81 294.27 4,581.42 4,917.45 4,780.80 14,377.83 8,698.33 5,679.50 9,248.72 6,092.79 6,535.86 54,039.30 32,187.80 21,851.50 15,694.95 6,412.43 3,321 27 5,961.25 17,737 01 11,547.99 6,189.02 16,691 27 7,998.50 2,856.79 5,835.98 2,834.59 14,593.83 6,456.28 3,721.06 4,416.49 62 Instructional Service 284,280.07 148,497.91 82,305.65 20,764.84 11,033.26 21,678.41 90,681 55 38,673.83 165,105 09 111,910.28 14,549.69 38,645.12 109,081 84 77,862.59 215,485.84 152,862.56 62,623.28 143,005 52 113,455 09 67,929 24 1,032,135.60 453,400.85 578,734.75 145,095 21 78,430.03 13,414.48 53,250.70 232,217 95 133,178.06 99,039.89 158,634 55 94,527.27 18,603.00 45,504.28 34,572.45 122,911.83 68,059.78 26,511.23 28,340.82 63 Operation of Plant 21,731 09 7,898.20 8,671.58 2,424.49 1,145.01 1,591.81 6,510 72 212 15 11,518 32 6,847.74 1,242.37 3,428.21 3,107.72 4,351.14 14,221.75 7,698.40 6,523.35 10,258 22 5,343 91 4,946 06 101,396 29 58,440.98 42,955.31 11,675.98 4,072.94 1,426.48 6,176.56 12,601 63 6,657.01 5,944.62 14,917.29 7,236.89 1,403.61 6,276.79 4,054.57 10,962.85 5,165.23 3,489.59 2,308.03 64 Maintenance of Plant 10,304 31 5,014.91 1,893.01 903.89 1,246.91 1,245.59 2,012 93 2,956 76 4,346.50 2,755.06 968.62 622.82 1,732 10 3,999 62 9,068.50 6,788.93 2,279.57 4,850.36 4,922.69 998.10 52,845.88 34,138.44 18,707.44 5,167.65 3,001.50 689.19 1,476.96 7,912.20 6,033.81 1,878.39 3,886.44 3,374.09 250.21 262.14 1,302.48 5,341.60 2,602.99 1,026.87 1,711.74 Fixed Charges 5,873.68 2,985.21 1,568.61 649.50 670.36 1,029.26 1,136.00 2,630.50 1,980.30 573 . 70 76.50 75.00 382.11 8,138.21 7,840.01 298.20 1,729.46 3,297.60 1,173.75 16,449.19 13,381.92 3,067.27 3,256.19 1,515.50 37.45 1,703.24 5,496.80 3,340.80 2,156.00 1,910.30 957.64 411.80 540.86 6.00 2,629.48 1,981.27 368.41 279.80 Auxiliary Agencies $ 186,039.00 169,721.44 15,040.68 1,201.60 75.28 62,573.06 20,107 67 19,269.95 837.72 4,703 00 8,439.49 16,130.33 15,652.05 478.28 28,836 88 26,932.36 12,351.52 1,096,352 58 1,093,275.33 3,077.25 28,823.10 19,466.35 2,485.54 6,871.21 7,885.15 7,885.15 4,769.65 4,769.65 7,172.53 14,597.39 11,926.79 1,471.02 1,199.68 57 EXPEND 1TURES BY FUN.DS B. Capital Outlay Fund 68 C. Debt Service Fund 69 Total Expenditures (A,B,C) Net C. E. Expenditures A less 668 Net C. 0. Expenditures B less 687 Net A. and B. Expenditures WandC Total Current Expense Fund Net A. and B Expenditures Colored $ 537,034 24 $ 71,789.21 $ 61,532 01 $ 670,355.46 $ 374,034.24 $ 69,789 21 $ 443,823.45 $ 43,448 04 342,877.58 67,547.54 30,830.62 441,255.74 192,877.58 65,547 54 258,425.12 29,040.24 119,193.22 2,856.56 9,918.76 131,968.54 106,193.22 2,856.56 109,049.78 6,496.69 30,518.37 1,010.11 2,689.75 34,218.23 30,518.37 1,010.11 31,528.48 4,420.26 15,770.66 375.00 1,583.20 17,728.86 15,770.66 375.00 16,145.66 727.62 28,674.41 16,509.68 45,184.09 28,674.41 28,674.41 2,763.23 168,301.24 13,118.89 13,473.58 194,893.71 111,801.24 13,118.89 124,920 13 4,690 65 45,102.36 150.00 4,400.27 49,652.63 45,102.36 150 00 45,252.36 845.70 216,134 58 29,701.13 38,051.53 283,887.24 216,134.58 29,701.13 245,835.71 59,716.95 150,314.14 21,909.60 9,927.25 182,150.99 150,314.14 21,909.60 172,223.74 44,059.58 18,466.37 3,267.30 3,407.50 25,141.17 18,466.37 3,267.30 21,733.67 5,243.52' 47,354.07 4,524.23 24,716.78 76,595.08 47,354.07 4,524.23 51,878.30 10,413.85 123,617.11 1,347.69 4,578.59 129,543.39 123,617.11 1,347.69 124,964 80 2,948 22 99,815.75 1,235.00 19,347.84 120,398.59 99,815.75 1,235.00 101,050.75 1,888 63 277,422.46 21,465.27 94,428.16 393,315 89 277,422.46 21,465.27 298,887.73 52,857 44 199,540.28 19,244.18 72,337.23 291,121.69 199,540.28 19,244.18 218,784.46 35,818.88 77,882.18 2,221.09 22,090.93 102,194.20 77,882.18 2,221.09 80,103.27 17,038.56 197,929.15 33,394.20 40,195.64 271,518.99 182,929.15 33,394.20 216,323.35 58,988.63 160,044.44 39,229.14 45,768.09 245,041.67 160,044 44 39,229.14 199,273 58 51,530.21 93,934.53 253,841.59 76,310.18 424,086.30 93,934.53 234,252.87 328,187.40 39,904 00 2,353,218.84 1,557,460.41 376,995.88 4,287,675.13 1,353,218 84 1,557,460.41 2,910,679.25 138,653.68 1,684,825.32 810,181.14 183,102.62 2,678,109.08 684,825.32 810,181.14 1,495,006.46 49,856.37 668.393.52 747,279.27 193,893.26 1,609,566.05 668,393.52 747,279.27 1,415,672.79 88,797.31 209,713 08 16,680 58 40,359.45 266,753 11 197,213 08 8,692.88 205,905.96 14,265.88 112,898.75 4,151.02 27,955.38 145,005.15 105,898.75 4,151.02 110,049.77 6,631.52 21,374.41 1,961.28 582.00 23,917.69 21,374.41 1,961.28 23,335.69 75,439.92 10,568.28 11,822.07 97,830.27 69,939.92 2,580.58 72,520.50 7,634.36 283,850 74 156; 630. 85 229,730.54 670,212.13 283,850.74 156,630 85 440,481.59 39,111.95 168,642.82 155,730.85 204,490.54 528,864.21 168,642.82 155,730.85 324,373.67 28,419.06 115,207.92 900.00 25,240.00 141,347.92 115,207.92 900.00 116,107.92 10,692.89 200,809.50 91,440.21 52,053.77 344,303.48 200,809 50 91,440.21 292,249.71 11,528 66 118,864.04 64,155.98 16,475.48 199,495.50 118,864.04 64,155.98 183,020.02 5,359.90 23,525.41 2,178.58 9,303.97 35,007.96 23,525.41 2,178.58 25,703.99 1,573.59 58,420.05 25,105.65 26,274.32 109,800.02 58,420.05 25,105.65 83,525.70 4,595.17 49,942.62 44,929.73 15,882.30 110,754.65 49,942.62 44,929.73 94,872.35 7,697.00 171,036.98 82,649 17 64,464.32 318,150.47 169,936.98 82,649.17 252,586.15 28,107.21 96,192.34 14,721.87 64,464.32 175,378.53 96,192.34 14,721.87 110,914.21 4,842.89 36,588.18 67,855.30 104,443.48 36,588.18 67,855.30 104,443.48 17,164.36 38,256.46 | 72.00 38,328.46 37,156.46 | 72.00 37,228.46 6,099.96 58 Expenditures, 1927-1928 Table V. Summary of Counties Caswell Catawba Rural. ._ Hickory, Newton _ Chatham Cherokee Rural Andrews. Murphy. Chowan Rural. _ Edenton. Clay- Cleveland... _ Rural King's Mt. Shelby.... Columbus. Craven Rural New Bern Cumberland Rural Fayetteville. Currituck A. Current Expense Fund Davidson Rural Lexington... Thomasville. Davie Rural Mocksville. Duplin 61 General Control Durham Rural. .. Durham. 5,814.71 19,984.70 11,327.64 5,482.56 3,174.50 4,944.85 9,632.03 3,516.81 3,491.10 2,624.12 7,497.22 3,911.81 3,585.41 2,228.68 19,913.20 9,939.22 4,702.49 5,271.49 8,350 48 16,102.83 10,862.75 5,240.08 22,261.31 15,620.74 6,640.57 5,631.09 3,338.77 18,877.60 9,498.43 5,849.44 3,529.73 9,189.29 6,100.56 3,088.73 10,794.76 29,687.56 13,187.03 16,500.53 62 Instructional Service 67,409.41 323,514.58 208,493.28 81,238.21 33,783.09 129,388.45 88,124.32 47,562.47 23,492.72 17,069.13 63,547.11 37,500.15 26,046.96 23,747.55 287,560.70 160,947.66 29,424.84 97,188.20 209,611.85 199,121.96 123,111.50 76,010.46 244,473.12 149,219.52 95,253.60 52,762.38 40,329.55 301,262.95 160,742.58 86,373.29 54,147.08 87,166.60 67,438.34 19,728.26 211,932.74 593,662.49 145,272.59 448,389.90 63 Operation of Plant . 64 Maintenance of Plant 3,684 44 25,412.15 12,461.35 10,058.18 2,892.62 5,578.45 5,552.61 1,637.57 2,415.08 1,499.96 4,224.69 1,964.12 2,260.57 1,720.50 17,179.37 6,836.91 1,995.41 8,347.05 9,919.01 18,344.25 12,225.84 6,118.41 15,134.76 6,995.06 8,139.70 3,950.46 2,790.24 22,098.56 9,660.47 7,556.54 4,881.55 6,782.69 4,161.79 2,620.90 13,009.62 58,137.08 12,666.24 45,470.84 65 Fixed Charges $ 1,832.80 13,875.35 7,952.51 4,773.14 1,149.70 9,231.37 1,997.26 1,164.30 521.51 311.45 1,801.46 1,280.04 521.42 963.90 5,485.62 3,208.47 1,189.31 1,087.84 4,640.32 6,039.53 4,806.85 1,232.68 9,210.39 7,061.87 2,148.52 2,171.21 1,724.46 3,876.00 1,366.80 2,093.03 416.17 5,488.61 4,960.67 527.94 10,216.92 20,837.74 7,693.20 13,144.54 644.25 4,375.23 3,510.88 478.90 385.45 1,059.55 653.10 225.00 428.10 555.21 235.21 320.00 66 Auxiliary Agencies 3,816.28 2,549.61 236.76 1,029.91 3,383.87 581.89 532.39 49.50 4,887.00 2,988.50 1,898.50 802.27 119.90 3,670.54 3,073.87 539.75 56.92 288.77 78.25 210.52 1,636.63 10,986.88 5,213.88 5,773.00 22,429. 28,279. 28,279. 42,062 55 2,259.07 2,236.27 22.80 4,320.28 1,916.28 2,404.00 3,462.05 55,183.04 16,681.45 38,501.59 32,199.17 17,830.50 16,608.28 1,222.22 34,301.14 32,480.54 1,820.60 11,216.06 4,472.93 74,829.37 74,211.95 617.42 43,916.28 36,880.14 7,036.14 97,511.23 109,460.02 41,847.41 67,612.61 Expenditures, 1927-1928 59 Expenditures by Funds—Continued B. Capital Outlay Fund 68 C. Debt Service Fund 69 Total Expenditures (A,B, C) Net C. E. Expenditures A less 668 Net CO. Expenditures B less 687 Net A and B Expenditures WandC Total Current Expense Fund Net A and B Expenditures Colored $ 101,815 55 $ 6,970.02 $ 13,622.75 $ 122,408.32 $ 92,188 79 $ 6,970 02 $ 99,158 81 $ 21,457 49 415,441 99 133,779.84 82,541.10 631,762.93 415,441 99 133,779 84 549,221.83 32,822.78 272,025.64 132,760.50 24,664.91 429,451.05 272,025.64 132,760.50 404,786.14 13,072.86 102,030.99 516.74 38,270.91 140,818.64 102,030.99 516.74 102,547.73 15,875.08 41,385.36 502.60 19,605.28 61,493.24 41,385.36 502.60 41,887.96 3,874.84 192,265.22 13,986.11 17,857.60 224,108.93 167,265.22 8,986.11 176,251 33 25,006 61 108,218.39 16,838.88 17,068.25 142,125 52 108,218.39 16,838.88 125,057.27 1,142.04 56,342.42 15,753.15 8,687.09 80,782.66 56,342.42 15,753.15 72,095.57 452.94 30,371.31 4,694.82 35,066.13 30,371.31 30,371.31 689.10 21,504.66 1,085.73 3,686.34 26,276.73 21,504.66 1,085.73 22,590.39 81,945.97 3,185.36 22,071.00 107,202.33 79,545.97 3,185.36 82,731.33 18,466.56 46,807.61 565.58 16,062.36 63,435.55 46,807.61 565.58 47,373.19 14,448.00 35,138.36 2,619.78 6,008.64 43,766.78 32,738.36 2,619.78 35,358.14 4,018.56 32,122.68 8,530.80 40,653.48 32,122.68 32,122.68 232.29 389,138 21 45,458.48 47,487.34 482,084.03 354,305.27 45,458.48 399,763.75 40,560.34 200,163.32 10,115.49 35,691.34 245,970.15 200,163.32 10,115.49 210,278.81 26,814.40 37,548.81 5,623.40 43,172.21 37,548.81 5,623.40 43,172.21 3,833.67 151,426.08 29,719.59 11,796.00 192,941.67 116,593.14 29,719.59 146,312.73 9,912.27 268,104.70 100,104.00 36,626.22 404,834.92 268,104.70 100,104.00 368,208.70 53,518.66 258,020.96 62,810.27 171,813.85 492,645.08 258,020.96 62,810.27 320,831 23 62,200.04 168,147.61 58,635.75 159,340.52 386,123.88 168,147.61 58,635.75 226,783.36 36,630.52 89,873.35 4,174.52 12,473.33 106,521.20 89,873.35 4,174.52 94,047.87 25,569.52 330,267.72 29,133.98 120,175.45 479,577.15 330,267.72 29,133.98 359,401 70 63,152.66 214,366.23 10,731.42 56,231.08 281,328.73 214,366.23 10,731.42 225,097.65 34,665.18 115,901.49 18,402.56 63,944.37 198,248.42 115,901.49 18,402.56 134,304.05 28,487.48 76,533.47 2,189.40 22,809.46 101,532.33 76,533.47 2,189.40 78,722 87 11,637.65 52,775.85 9,113.68 3,463.95 65,353.48 52,775.85 9,113.68 61,889.53 1,646.72 424,615.02 219,451.15 85,801.97 729,868 14 374,615.02 219,451.15 594,066.17 28,446.93 258,554.10 98,074.79 25,804.91 382,433.80 208,554.10 98,074.79 306,628.89 6,709.81 103,029.47 96,654.62 38,687.50 238,371.59 103,029.47 96,654.62 199,684.09 16,156.07 63,031.45 24,721.74 21,309.56 109,062.75 63,031.45 24,721.74 87,753.19 5,581.05 152,832.24 1,792.47 21,237.39 175,862.10 121,068.24 1,792.47 122,860 71 12,944.07 119,619.75 1,224.11 13,390.06 134,233.92 94,619.75 1,224.11 95,843.86 8,499.25 33,212.49 568.36 7,847.33 41,628.18 26,448.49 568.36 27,016.85 4,444.82 345,101.90 136,740.46 82,101.16 563,943.52 276,701.90 105,540.46 382,242.36 53,266.46 822,771.77 902,978.62 264,579.35 1,990,329.74 757,771.77 902,978.62 1,660,750.39 256,644 82 225,880.35 186,652.90 188,292.61 600,825.86 225,880.35 186,652.90 412,533.25 34,355.66 596,891.42 716,325.72 76,286.74 1,389,503.88 531,891.42 716,325.72 1,248,217.14 222,289.16 60 Expenditures, 1927-1928 Table V. Summary of Counties Edgecombe Rural.. Tarboro Forsyth Rural Winston-Sal nm Franklin Rural Franklinton___ Louisburg Gaston Rural Bessemer City Cherryville.-- Gastonia Gates Graham Granville Rural Oxford Greene Guilford Rural Greensboro . _ . High Point— - Halifax Rural Enfield Roanoke Rapids Scotland Neck Weldon _ Harnett Haywood Rural Canton Henderson Rural Hendersonville A. Current Expense Fund General Control $ 19,235 72 14,175.33 5,060.39 41,187.23 19,497.36 21,689.87 13,783.91 7,305.49 2,712.28 3,766.14 31,089.01 11,360.53 5,160.50 3,768.19 10,799.79 5,164.99 3,357.27 10,153 37 5,406.25 4,747.12 7,618 50 45,284.45 14,126.08 16,826.37 14,332.00 33,076 20 13,899.03 2,887.32 8,485.40 3,045.11 4,759.34 11,571.86 10,161.77 6,346.26 3,815.51 17,234.20 8,800.69 8,433.51 62 . Instructional Service 188,991 75 123,761.21 65,230.54 809,877.23 215,343.31 594,533.92 161,986.03 113,023.38 30,159.88 18,802.77 586,073 64 337,298.23 26,313.90 28,441.12 194,020.39 59,929.65 33,862 36 144,762.98 102,246.18 42,516.80 99,176.23 1,088,255.47 335,682.53 464,810.75 287,762.19 274,929.01 111,721.50 19,754.94 90,951.59 24,351.32 28,149.66 244,470.07 184,960.40 138,274.51 46,685.89 210,176.51 136,595.44 73,581.07 63 Operation of Plant 14,138 57 7,669.93 6,468.64 97,982.53 19,015.46 78,967.07 12,090.23 7,255.95 3,201.27 1,633.01 45,216.64 22,518.01 3,264.50 3,016.80 16,417.33 5,325.59 3,276.66 9,082.58 5,808.38 3,274.20 7,398.75 123,910.84 24,880.41 69,425.34 29,605.09 24,007.84 6,491.45 1,976.72 9,933.17 2,614.93 2,991.57 16,010.00 14,665.97 11,464.82 .3,201.15 25,764 73 17,222.30 8,542.43 Maintenance of Plant 6,922.31 1,686.37 31,904 65 9,194.81 22,709.84 3,977.64 3,699.11 33.25 245.28 10,548.20 5,686.22 1,649.62 59.80 3,152.56 1,915.91 1,423.28 691.24 $ 1,785.83 1,699.59 86.24 7,344.51 1,619.18 2,113.10 1,409.06 522.04 182.00 11,563.01 8,346.56 355.43 691.24 1,130 24 46,775.29 10,254.17 28,097.55 8,423.57 18,308.98 4,906.79 9,464.99 2,631.38 554.48 751.34 7,954.04 9,650.53 9,171.74 478.79 11,366.05 8,817.12 2,548.93 65 Fixed Charges 66 Auxiliary Agencies 2,861.02 1,575.31 1,323.93 3,390.15 2,797.94 592.21 1,097.57 15,628.06 5,039.00 6,007.48 4,581.58 6,900.45 3,141.40 1,067.55 1,532.42 465.33 693.75 5,788.39 1,078.10 979.10 99.00 6,159.08 5,824.61 334.47 40,443.73 35,846.78 4,596.95 38,589.48 30,452.63 8,136.85 16,734.21 11,848.21 4,115.23 770.77 26,425.69 21,791.62 300.00 4,334.07 59,103.69 6,805.37 142,701.69 135,668.30 7,033.39 30,730 21 848,753.06 49,923.20 568,503.65 230,326.21 144,858.04 134,972.48 55.00 5,447.56 4,383.00 26 054.11 13,918.86 12,122.41 1,796.45 68,150.54 67,777.59 372.95 Expenditures, 1927-1928 01 Expendittjres by Funds—Continued Capital Outlay Fund $ 35,460 07 33,150.25 2,309.82 49,965.74 21,736.66 28,229.08 63,675.54 61,489.69 2,185.85 48,245.47 23,821.55 22,393.56 826.74 1,203.62 16,840.68 23,722.83 6,560.04 5,905.31 654.73 66,-583.21 1,568,465.02 381,078.60 1,015,720.22 171,666.20 154,975.02 145,324.46 987.49 3,921.04 4,742.03 94,739.51 19,819.90 18,758.53 1,061.37 144,719.63 138,542.93 6,176.70 C. Debt Service Fund 69 $ 59,144 87 42,087.92 17,056.95 259,459.51 50,123.26 209,336.25 98,679.49 59,606.35 10,293.81 28,779.33 295,986.69 98,818.20 3,516.16 2,657.25 190,995.08 103,404.36 7,261.96 65,359.29 53,988.66 11,370.63 23,247.95 534,330.78 348,711.78 105,917.50 79,701.50 112,839.15 10,404.43 10,253.26 51,534.97 31,378.01 9,268.48 176,082.75 111,616.91 98,400.16 13,216.75 176,558.31 163,258.71 13,299.60 Total Expenditures (A,B,C) $ 367,809.22 265,313.32 102,495.90 1,337,930.06 372,708.00 965,222.06 373,040.15 265,637.24 53,223.61 54,179.30 1 ,055,148 35 529,640.92 62,953.67 38,769.90 423,783.86 253,060.18 81,033.66 382,701.34 311,821.02 70,880.32 236,982.66 4,271,402.97 1,169,695.77 2,275,308.86 826,398.34 769,894.69 430,861.54 46,447.27 174,437.53 62,409.18 55,739.17 582,670.73 365,872.44 295,517.53 70,354.91 660,129.05 546,839.39 113,289.66 NetC. E.' Expenditures A less 668 $ 273,204.28 190,075.15 83,129.13 1,028,504.81 300,
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Title | Biennial report of the Superintendent of Public Instruction of North Carolina to Governor..., for the scholastic years... |
Other Title | Biennial report of the Superintendent of Public Instruction of North Carolina to Governor |
Creator | North Carolina. Department of Public Instruction. |
Date | 1928 |
Place | North Carolina, United States |
Publisher | Raleigh : Dept. of Public Instruction |
Rights | State Document see http://digital.ncdcr.gov/u?/p249901coll22,63754 |
Type | Text |
Language | English |
Format | Reports |
Digital Characteristics-A | 346 p.; 23.9 MB |
Digital Collection | North Carolina Digital State Documents Collection |
Digital Format | application/pdf |
Audience | All |
Pres File Name-M | pubs_education_serial_brsuperintendentpublic1928.pdf |
Pres Local File Path-M | Preservation_content\StatePubs\pubs_education\images_master\ |
Full Text | PART III SECTION I. STATISTICS, 1927-1928 SECTION II. COMPARATIVE STATISTICS SECTION III. STATE FUNDS, 1927-1928 Digitized by the Internet Archive in 2012 with funding from LYRASIS Members and Sloan Foundation http://archive.org/details/biennialrepor192628nort CONTENTS SECTION I. STATISTICS, 1927-1928 A. Financial Page Table I, Miscellaneous Summary of Receipts and Expenditures 6 Table II. Summary of Receipts, Expenditures and Balances by Funds 12 Table III. Receipts for Current Expense Fund 26 Table IV. Receipts for Capital Outlay and Debt Service Funds 42 Table V. Summary of Expenditures by Funds 56 Table VI. Expenditures for General Control 70 Table VII. Expenditures for Instructional Service 84 Table VIII. Expenditures for Operation of Schools 98 Table IX. Expenditures for Maintenance and Fixed Charges 112 Table X. Expenditures for Transportation and other Auxiliaries 126 Table XI. Expenditures for Capital Outlay—New Construction 140 Table XII. Expenditures for Capital Outlay—Repairs, Alterations, etc. 154 Table XIII. Expenditures for Debt Service 168 Table XIV. Summary of Expenditures—Six Months Term 182 B. Pupil Table XV. Population, Enrollment and Attendance—-All Children 196 Table XVI. Percentage of Enrollment in Average Daily Attendance 212 Table XVII. Population, Enrollment and Attendance—Ages 7-13, In-clusive 220 Table XVIII. Enrollment by Age and Grade, White 222 Table XIX. Enrollment by Age and Grade, Colored 226 Table XX. Enrollment by Term 230 C. Teacher Table XXI. Number of Teachers, Principals, etc 232 Table XXII. Scholarship of Teachers 248 Table XXIII. Average Annual Salaries and Length of Term 251 D. Property Table XXIV. School Districts 284 Table XXV. Schoolhouses and School Property 268 Table XXVI. Number of Rural Schools Taught 282 Table XXVII. Consolidated Rural Schools 284 Table XXVIII.Transportation 288 Table XXIX. Rural Schoolhouses 294 Table XXX. School Libraries 1__ J 296 SECTION II. COMPARATIVE STATISTICS Table T. Assessed Valuation of Taxable Property—5 Year Periods__ 2)8 Table II. County School Fund Tax Rates—5 Year Periods 301 Table I'll. Educational Progress—5 Year Periods 304 Table IV. Educational Progress—10 Year Periods 308 Table V. Scholarship of White Teachers—5 Year Periods 303 Table VI. Scholarship of Colored Teachers—5 Year Periods 30.) SECTION III. STATE FUNDS, 1927-1928 Table I. State Literary Fund 310 Table II. 1925 Special Building Fund 314 Table III. 1927 Special Building Fund 315 Table IV. Indebtedness of Counties to State Loan Funds_ 321 Table V. State Public School Fund—Receipts and Expenditures 324 Table VI. Equalizing Fund Apportionment to Counties 328 Table VII. Other State Aid and Farm Life Apportionments to Counties 331 Table VIII. Vocational Education Apportionments to Counties 336 Table IX. General Education Board 340 Table X. Julius Rosenwald Fund ; 342 Table XI. Summary of Apportionments to Counties 3 15 SECTION I. STATISTICS, 1927-1928 A. FINANCIAL TABLE 1. MISCELLANEOUS SUMMARY OF RECEIPTS AND EXPENDITURES Section A. Receipts For the years 1927-1928 and 1926-1927 this summary shows the total amount of funds available in the State for school purposes; the average amount avail-able for each child of school age; the average amount available for each child enrolled in the school; the amount of funds received from State, county, local, and other sources; and the percentages of the total derived from each source. Year Rural Charter North Carolina Total Receipts (exclusive of temporary loans) . Total Receipts (exclusive of temporary loans) . . 1927-1928 1926-1927 $ 28,682,146.60 27,846,193.27 835,953.33 741,623 725,245 16,378 633,726 615,488 18,238 $ 38.67 38.39 .28 45.26 45.24 .02 26.87 27.27 .40 $ 17,226,015.91 17,085,328.02 140,687.89 253,499 244,378 9,121 215,052 208,663 6,389 $ 67.95 69.91 1.96 80.10 81.88 1.78 44.76 46.63 1.87 $ 45,908,162.51 44,931,521.29 976,641.22 1927-1928 1926-1927 995,122 969,623 25,499 1927-1928 1926-1927 848,778 824,151 24,627 1927-1928 1926-1927 $ 46.13 46.34 .21 Average amount available for each child enrolled. Average amount available for each child enrolled. 1927-1928 1926-1927 54.09 54.52 .43 Current expense available for each child enrolled. Current expense available for each child enrolled. 1927-1928 1926-1927 31.41 32.17 .76 Receipts for Current Expense: 1927-1928 1926-1927 $ 3,600,407.49 1,889,257.48 1,711,150.01 8,865,079.50 9,434,765.26 569,685.76 2,648,346.42 2,851,044.36 202.697.94 1,328,628.29 1,427,828.77 99,200.48 138,947.22 468,722.39 329,775.17 $ 34,507.68 44,906.74 10,399.06 5,751,220.67 5,775,121.92 23,901.25 3,052,854.06 3.329,280.81 276,426.75 19,021.00 40,299.07 21,278.07 267,797.91 374,395.03 106,597.12 $ 3,634,915.17 From State ... 1,934,164.22 1,700,750.95 1927-1928 1926-1927 14,616,300.17 15,209,887.18 593,587.01 Local ad valorem taxes- . 1927-1928 1926-1927 5,701,200.48 6,180,325.17 479,124.69 1927-1928 1926-1927 1,347,649.29 1,468,127.84 •120,478.55 1927-1928 1926-1927 406,745.13 Other receipts _ .. 843,117.42 Increase. •436,372.29 •Decrease Receipts, 1 927 J 928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina Balance June 30, 1927 1927-1928 1926-1927 $ 449,093.63 714,235.25 '"265,141.62 17,030,502.55 16,785,853.51 244,649.04 $ 500,406.75 165,618.03 334,788.72 9,625,808.07 9,729,621.60 103,813.53 $ 949,500.38 Balance June 30, 1926 .1. 879,853.28 69,647.10 Total Current Expense. 1927-1928 1926-1927 26,656,310.62 26,515,475 11 140,835.51 Receipts For Capital Outlay: 1927-1928 1926-1927 $ 2,670,392.76 1,066,313.28 1,604,079.48 3,459,983.81 1,440,223.02 2,019,760.79 1,129,109.17 1,837,209.50 *708, 100.33 223,460.87 370,956.47 147,495.60 292,824.45 2,480,982.21 2,188,157.76 7,775,771.06 7,195,684.48 580,086.58 $ 103,893.22 215,178.62 111,285.40 3,126,061.52 3,850,945.67 724,884.15 797,716.79 463,532.74 334,184.05 123,617.21 128,173.85 4,556.64 852,972.46 427,808.18 425,164.28 5,004,261.20 5,085,639.06 81,377.86 $ 2,774,285.98 State loans . 1,281,491.90 1,492,794.08 1927-1928 1926-1927 6,586,045.33 5,291,168.69 1,294,876.64 Ad valorem taxes 1927-1928 1926-1927 1,926,825.96 2,300,742.24 373,916 28 Other receipts .. . 1927-1928 1926-1927 347,078.08 Other receipts 499,130.32 152,052 24 Balance June 30, 1927... 1927-1928 1926-1927 1,145,796.91 Balance June 30, 1926. . . 2,908,790 39 1,762 993 48 Total Capital Outlay. ... .1927-1928 1926-1927 12,780,032.26 Total Capital Outlay. 12,281,323 54 Increase 498,708.72 County ad valorem taxes 1927-1928 1926-1927 $ 2,403,531.63 2,260,170.49 143,361.14 820,861.18 844,147.76 23,286.58 651,480.18 760,337.03 108,856.85 3,875,872.99 3,864,655.28 11,217.71 $ 409,854.39 668,272.98 258,418.59 1,856,140.50 1,274,632.19 581,508.31 329,951.75 327,162.19 2,789.56 2,595,946.64 2,270,067.36 325,879.28 $ 2,813,386.02 2,928,443.47 Increase •115,057.45 Local ad valorem taxes 1927-1928 1926-1927 2,677,001.68 Local ad valorem taxes... 2,118,779.95 Increase 558,221.73 Balance June, 30, 1927 1927-1928 1926-1927 981,431.93 Balance June 30, 1926 1,087,499.22 Increase 106,067.29 Total Debt Service... 1927-1928 1926-1927 6,471,819.63 Total Debt Service. 6,134,722.64 Increase 537,096.99 " Decrease Receipts, 19274928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina Percentage of Receipts: 1927-1928 1926-1927 59.4 60.3 *.9 27.1 25.8 1.3 13.5 13.9 *.4 55.9 56.9 *1.0 29.0 29.8 *.8 15.1 13.3 1.8 58.1 59 *.9 1927-1928 1926-1927 27.8 27.3 .5 1927-1928 1926-1927 14.1 13.7 .4 Percentages of Current Expense Receipts: 1927-1928 1926-1927 21.1 11.2 9.9 52.1 56.2 *4.1 15.6 17.0 *1.4 7.8 8.5 *.7 .8 2.9 *2.1 2.6 4.2 *1 6 .4 .5 M 59.7 59.4 .3 31.7 34.2 *2.5 .2 .4 *.2 2.8 3.8 *1.0 5.2 1.7 3.5 13.6 7.3 6.3 1927-1928 1926-1927 54.9 57.4 *2.5 1927-1928 1926-1927 21.4 23.3 *1.9 1927-1928 1926-1927 5.1 5.5 *.4 1927-1928 1926-1927 1.5 3.2 *1.7 Balance June 30, 1927 1927-1928 1926-1927 3.5 Balance June 30, 1926. .. . 3.3 .2 Percentages of Capital Outlay Receipts: 1927-1928 1926-1927 34.3 14.8 19.5 44.5 20.1 24.4 14.5 25.5 *11.0 2.1 4.3 *2.2 62.5 75.7 *13.2 15.9 9.1 6.8 21.7 10.4 11.3 1927-1928 1926-1927 51.5 43.1 8.4 1927-1928 1926-1927 15.1 18.7 *3.6 1 1 ''Decrease Receipts, 1927-1928 Table I. Miscellaneous Summary of Receipts and Expenditures—Continued Year Rural Charter North Carolina 1927-1928 1926-1927 2.9 5.2 *2.3 3.8 34.4 *30.6 62.0 58.5 3.5 21.2 21.8 *.6 16.8 19.7 *2.9 2.5 2.5 2 7 4 1 *1 4 Balance June 30, 1927 1927-1928 1926-1927 17.0 8.4 8.6 15.8 29.4 *13.6 71.5 56.2 15.3 12.7 14.4 *1.7 9 Balance June 30, 1926 23 7 Increase. - •14 7 Percentages of Debt Service Receipts: 1927-1928 1926-1927 43.5 47 8 *4 3 1927-1928 1926-1927 41 3 Local ad valorem taxes 34.5 6 8 Balance June 30, 1927 1927-1928 1926-1927 15 2 Balance June 30. 1926 17.7 *2.5 "Decrease 10 Expenditures, 1927-1928 Section B. Expenditures This section summarizes for the years 1927-1928 and 1926-1927 the total ex-penditures; the amount spent for current expenses; for instructional service, ad-ministration, operation and maintenance, transportation, and other; the amount of capital outlay; and the amount expended for debt service. There is also a series of percentage and per-pupil calculations, showing in detail the pro-portion and the per capita amount of increase in expenditures for these two years. Total Expenditures— (exclusive of temporary loans) . (exclusive of temporary loans) . Increase Current Expense: Instructional Service- Instructional Service - Increase Administration. Administration, Increase... Operation and Maintenance- Operation and Maintenance- Increase Transportation. Transportation _ Increase-.. Other Other Increase. Total Current Expense. Total Current Expense. Increase Total Capital Outlay . Total Capital Outlay, Increase Total Debt Service . Total Debt Service. Increase Percentage of Total Spent for: Current Expense Current Expense Increase Capital Outlay. Capital Outlay. Increase. .. Debt Service. Debt Service. Increase . Year 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 1927-1928 1926-1927 Rural $ 26,015,911.98 26,275,244.37 *259,332.39 12,891,680.34 12,366,763.15 524,917.19 844,934.06 815,083.21 29,870.85 1,309,952.67 1,282,099.22 27,853.45 1,636,878.91 1,533,744.95 103,133.96 439,512.05 342,059.05 97,453.00 17,122,958.03 16,339,729.58 783,228.45 5,649,137.47 6,905,986.18 *1, 256, 848. 71 3,243,816.48 3,029,528.61 214,287.87 65.8 62.2 3.6 21.7 26.3 *4.6 12.5 11.5 1.0 Charter $ 14,869,620.88 15,276,271.82 *406,650.94 7,632,053.78 7,295,971.54 336,082.24 533,971.46 526,889.03 7,082.43 1,045,771.97 1,084.384.11 *38,612.14 39,562.77 47,374.83 *7,812.06 206,368.39 271,625.64 *65,257.25 9,457,728.37 9,226,245.15 231,483.22 3,425,616.83 4,229,540.45 *803,923.62 1,986,275.68 1,820,486.22 165,789.46 63.6 60.4 3.2 23.0 27.7 4.7 13.4 11.9 1.5 North Carolina $ 40,885,532.86 41,551,516.19 665,983.33 20,523,734.12 19,662,734.69 860,999.43 1,378,905.52 1,341,952.24 36,953.28 2,355,724.64 2,366,483.33 10,758.69 1,676,441.68 1,581,119.78 95,321.90 645,880.44 613,684.69 32,195.75 26,580,686.40 25,565,974.73 1,014,711.67 9,074,754.30 11,135,526.63 2,060,772.33 5,230,092.16 4,850,014.83 -380,077.33 65.0 61.5 3.5 22.2 26.8 4.6 12.8 11.7 1.1 Expenditures, 1927-1928 Section B. Expenditures—Continued 1 1 Year Rural Charter North Carolina Percentage of Current Expense for: 1927-1928 1926-1927 75.3 75.7 *.4 4.9 5.0 .1 7.7 7.8 *.l 9.5 9.4 .1 2.6 2.1 .5 80.7 79.1 1.6 5.6 5.7 .1 11.1 11.7 .6 .4 .5 *.l 2.2 3.0 .8 77.2 77.0 2 1927-1928 1926-1927 5.2 5.2 1927-1928 1926-1927 8.9 9.2 *.3 1927-1928 1926-1927 6.3 6.2 .1 Other 1927-1928 1926-1927 2.4 Other 2.4 Total Amount Spent: 1927-1928 1926-1927 35.08 36.23 *1.15 41.05 42.69 1.64 55.55 59.08 *3 53 1,446 00 1,493.59 *47.59 58.66 62.51 3.85 69.14 73.21 4.07 86.28 91.42 5.14 2,385.24 2,544.35 159.11 41.09 For each child of school age .. 42.85 1.76 1927-1928 1926-1927 48.17 50.42 2.25 For each child in average daily attendance .. For each child in average daily attendance .. 1927-1928 1926-1927 63.82 67.92 4.10 1927-1928 1926-1927 1,687.67 1,760.96 Increase- 73.29 Amount Current Expense: 1927-1928 1926-1927 23.09 22.53 .56 27.02 26.55 .47 36.56 36.74 .18 951.70 928.82 22.88 37.31 37.75 .44 43.98 44.22 .24 54.88 55.22 .34 1,517.12 1,536.68 19.56 26.71 For each child of school age 26.37 Increase .34 For each child enrolled 1927-1928 1926-1927 31.32 For each child enrolled .. 31.02 Increase . .30 For each child in average daily attendance .. For each child in average daily attendance _. Increase. 1927-1928 1926-1927 41.49 41.79 .30 For each teacher employed... ... 1927-1928 1926-1927 1,097.19 For each teacher employed 1,083.49 Increase 13.70 TABLE II. SUMMARY OF RECEIPTS, Counties Total—All Funds, A-B-C Receipts Expendi-tures Balance June 30, 1928 A. Current Expense Receipts Expendi-tures Alamance — Rural Burlington Graham Haw River Mebane. Alexander Alleghany Anson Rural Morven Wadesboro Ashe Avery.. Beaufort Rural Washington... Bertie Bladen Brunswick Buncombe Rural Asheville Burke Rural Glen Alpine.... Morganton Cabarrus. Rural Concord Caldwell Rural Granite Falls.. Lenoir Camden Carteret... Rural. Beaufort. Morehead City » 745,421.51 483,684.27 154,470.82 37,369.26 24,384.62 45,512.54 197,083.42 52,088.65 318,466.19 188,037.49 25,682.24 104,746.46 137,458.23 130,871 .35 467,026.48 333,944.00 133,082.48 288,640.66 276,252.13 452,069.01 4,765,201.35 2,833,324.21 1,931,877.14 285,726.72 163,426.01 24,447.67 97,853.04 670,701.77 530,251.92 140,449.85 357,850 34 202,235.20 45,137.11 110,478.03 122,973.70 278,007.74 134,011.12 105,268.72 38,727.90 t 670,355.46 441,255.74 131,968.54 34,218.23 17,728.86 45,184.09 194,893 71 49,652.63 283,887 24 182,150.99 25,141.17 76,595.08 129,543.39 120,398.59 393,315.89 291,121.69 102,194.20 271,518.99 245,041.67 424,086.30 4,287,675 13 2,678,109.08 1,609,566.05 266,753 11 145,005.15 23,917.69 97,830.27 670,212.13 528,864.21 141,347.92 344,303 48 199,495.50 35,007.96 109,800.02 110,754.65 318,150.47 175,378.53 104,443.48 38,328.46 75,066.05 42,428.53 22,502.28 3,151.03 6,655.76 328.45 2,189.71 2,436.02 34,578.95 5,886.50 541.07 28,151.38 7,914.84 10,472.76 73,710.59 42,822.31 30,888.28 17,121.67 31,210.46 27,982.71 477,526.22 155,215.13 322,311.09 18,973 61 18,420.86 529.98 22.77 1,387.71 898.07 13,546 86 2,739.70 10,129.15 678.01 12,219.05 40,142.73 41,367.41 825.24 399.44 $ 543,463.97 329,686.16 133,698.66 32,973.28 22,426.42 24,679.45 171,012.02 47,158.37 232,203.42 151,398.46 18,990.08 61,814.88 130,358.75 106,923.51 306,726.73 207,851.81 98,874.92 199,528.76 164,386.16 112,595.15 2,384,898.71 1,776,553.61 608,345.10 218,122.12 121,319.61 21,374.41 75,428.10 277,862.75 169,515.27 108,347.48 207,244.64 121,907.35 26,917.24 58,420.05 53,423.66 169,989.87 93,920.55 37,413.42 38,655.90 I 537,034.24 342,877.58 119,193.22 30,518.37 15,770.66 28,674.41 168,301.24 45,102 36 216,134.58 150,314.14 18,466.37 47,354.07 123,617.11 99,815.75 277,422.46 199,540.28 77,882.18 197,929.15 160,044.44 93,934.53 2,353,218.84 1,684,825.32 668,393.52 209,713.08 112,898.75 21,374.41 75,439.92 283,850.74 168,642.82 115,207.92 200,809 50 118,864.04 23,525.41 58,420.05 49,942.62 171,036 98 96,192.34 36,588.18 38,256.46 •Overdraft. 13 EXPENDITURES AND BALANCES BY FUNDS Fund B. Capital Outlay Fund c. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 6,429.73 •13,191.42 14,505.44 2,454.91 $ 137,309.53 130,659.23 3,087.17 1,706.23 375.00 1,481.90 $ 71,789.21 67,547.54 2,856.56 1,010.11 375.00. $ 65,520.32 63,111.69 230.61 696.12 $ 64,648.01 23,338.88 17,684.99 2,689.75 1,583.20 19,351.19 $ 61,532 01 30,830.62 9,918.76 2,689.75 1,583.20 16,509.68 $ 3,116.00 •7,491.74 7,766.23 6,655.76 •3,994.96 1,481.90 2,841.51 2,710.78 12,763.41 13,118.89 •355.48 13,307.99 13,473.58 •165.59 2,056.01 530.01 150.00 b30.01 4,400.27 4,400.27 16,068.84 1,084.32 523.71 14,460.81 46,408.08 25,237.67 3,337.00 17,833.41 29,701.13 21,909.60 3,267.30 4,524.23 16,706.95 3,328.07 69.70 13,309.18 39,854.69 11,401.36 3,355.16 25,098.17 38,051.53 9,927.25 3,407.50 24,716.78 1,803.16 1,474.11 •52.34 381.39 6,741.64 2,549.79 1,347.69 1,202.10 4,549.69 4,578.59 •28 90 7,107.76 2,500.00 1,235.00 1,265.00 21 ,.447. 84 19,347.84 2,100.00 29,304.27 8,311.53 20,992.74 60,172.66 52,929.41 7,243.25 21,465.27 19,244.18 2,221.09 38,707.39 33,685.23 5,022.16 100,127.09 73,162.78 26,964.31 94,428.16 72,337.23 22,090.93 5,698.93 825.55 4,873.38 1,599.61 56,634.47 33,394.20 23,240.27 32,477.43 40,195.64 •7,718.21 4,341.72 66,007.88 39,229.14 26,778.74 45,858.09 45,768.09 90 00 18,660 62 259,273.09 253,841 59 5,431.50 80,200.77 76,310.18 3,890 59 31,679 87 91,728.29 •60,048.42 1,824,389.40 846,802.36 977,587.04 1,557,460.41 810,181.14 747,279.27 266,928.99 36,621.22 230,307.77 555,913.24 209,968.24 345,945.00 376,995.88 183,102.62 193,893.26 178,917.36 26,865.62 152,051.74 8,409.04 8,420.86 26,684.99 14,151.02 1,961.28 10,572.69 16,680.58 4,151.02 1,961.28 10,568.28 10,004.41 10,000.00 40,919.61 27,955.38 1,111.98 11,852.25 40,359 45 27,955.38 582.00 11,822.07 560.16 529.98 •11.82 4.41 30.18 •5,987.99 872.45 •6,860.44 166,209.91 159,347.54 6,862 37 156,630.85 155,730.85 900.00 9,579.06 3,616.69 5,962.37 226,629.11 201,389.11 25,240.00 229,730.54 204,490.54 25,240.00 •3,101.43 •3,101.43 6,435.14 3,043.31 3,391.83 94,250.86 64,695.50 2,178.58 27,376.78 91,440.21 64,155.98 2,178.58 25,105.65 2,810.65 539.52 56,354.84 15,632.35 16,041.29 24,681.20 52,053.77 16,475.48 9,303.97 26,274.32 4,301.07 •843.13 6,737.32 2,271.13 •1,593.12 3,481.04 48,601.80 44,929.73 3,672.07 20,948.24 15,882 30 5,065.94 •1,047.11 •2,271.79 825.24 77,510.87 9,583.57 67,855.30 72.00 82,649.17 14,721.87 67,855.30 72.00 •5,138.30 •5,138.30 30,507.00 30,507.00 64,464.32 64,464.32 •33,957 32 •33,957.32 399.44 14 Receipts and Table II. Summary of Receiptf, Counties Caswell- Catawba Rural ... Hickory. Newton. Chatham Cherokee Rural Andrews. Murphy. Chowan Rural Edenton. Clay Cleveland _. Rural Kings Mountain. Shelby Columbus. Craven Rural New Bern. Cumberland Rural Fayetteville. Currituck Dare- Davidson Rural Lexington... Thomasville. Davie Rural Moeksvillc. Duplin. Durham Rural... Durham. Total—All Funds, A-B-C Receipts $ 126,521 45 656,774.58 * 442,858.62 146,542.29 67,373.67 245,232.28 181,762 87 117,504.28 37,227.12 27,031.47 118,289.58 73,535.99 44,753.59 63,208.45 527,563.22 289,756.89 43,505.55 194,300.78 474,513.71 540,666.97 433,904.85 106,762.12 534,136.11 316,917.42 217,218.69 109,800 84 70,199.11 838,733.15 429,027.52 238,555.82 171,149.81 180,989.73 139,136.05 41,853.68 764,461.81 2,489,729.62 663,020.23 1,826,709.39 Expendi-tures $ 122,408.32 631,762.93 429,451.05 140,818.64 61,493.24 224,108 93 142,125.52 80,782.66 35,066.13 26,276.73 107,202 33 63,435.55 43,766.78 40,653.48 482,084 03 245,970.15 43,172.21 192,941.67 404,834.92 492,645.08l 386,123.88 106,521.20 479,577 15 281,328.73 198,248.42 101,532.33 65,353.48 729,868.14 382,433.80 238,371.59 109,062.75 175,862.10 134,233.92 41,628.18 563,943 52 1,990,329.74 600,825.86 1,389,503.88 Balance June 30, 1928 4,113.13 25,011.65 13,407.57 5,723.65 5,880.43 21,123.35 39,637.35 36,721.62 2,160.99 754.74 11,087.25 10,100.44 986.81 22,554.97 45,479.19 43,786.74 333.34 1,359.11 69,678.79 48,021.89 47,780.97 240.92 54,558.96 35,588.69 18,970.27 8,268.51 4,845.63 108,865.01 46,593.72 184.23 62,087.06 5,127.63 4,902.13 225.50 200,518.29 62,194.37 437,205.51 A. Current Expense Receipts $ 103,129.59 438,384.38 285,132.72 107,754.64 45,497.02 196,260.36 113,267.77 59,046.80 31,896.72 22,324.25 92,785.75 57,346.83 35,438.92 33,813.90 386,981.70 196,690.31 37,522.35 152,769.04 319,129.91 260,714 08 173,054.20 87,659.88 363,664.26 254,292.50 109,371.76 82,096 88 57,621.48 425,696.62 259,564.10 103,029.47 63,103.05 153,371.02 119,933.03 33,437.99 381,072.89 857,720.70 232,299.26 625,421.44 Expendi-tures $ 101,815.55 415,441 .99 272,025.64 102,030.99 41,385.36 192,265.22 108,218.39 56,342.42 30,371.31 21,504.66 81,945.97 46,807.61 35,138.36 32,122.68 389,138.21 200,163.32 37,548.81 151,426.08 268,104.70 258,020.96 168,147.61 89,873.35 330,267 72 214,366.23 115,901.49 76,533.47 52,775 85 424,615.02 258,554.10 103,029.47 63,031.45 152,832.24 119,619.75 33,212.49 345,101 90 822,771.77 225,880.35 596,891.42 *Ovcrdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 15 Fund B. Capital Outlav Fund C. Debt Service Fun i Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 1,314.04 $ 10,374 39 $ 6,970 02 $ 3,404 37 $ 13,017.47 $ 13,622.75 $ *605 28 22,942 39 13,107.08 5,723.65 4,111.66 133,779 84 132,760.50 516.74 502.60 133,779 84 132,760.50 516.74 502.60 84,610.36 24,965.40 38,270.91 21,374.05 82,541.10 24,664.91 38,270.91 19,605.28 2,069 26 300.49 1,768 77 3,995 14 27,458 67 13,986.11 13,472 56 21,513.25 17,857.60 3,655.65 5,049.38 2,704.38 1,525 41 51,218 20 49,397.28 635.58 1,185.34 16,838.88 15,753.15 34,379.32 33,644.13 635.58 99.61 17,276.90 9,060.20 4,694.82 3,521.88 17,068.25 8,687.09 4,694.82 3,686.34 208.65 373.11 819.59 1,085.73 •164.46 10,839.78 10,539.22 300.56 3,537 58 876.82 2,660.76 3,185 36 565.58 2,619.78 352 22 311.24 40.98 21,966.25 15,312.34 6,653.91 22,071.00 16,062.36 6,008.64 •104 75 750.02 645.27 1,691 22 21,361.83 21,361.83 8,032.72 8,530.80 498 08 •2,156.51 •3,473.01 •26.46 90,728.58 55,009.64 5,983.20 29,735.74 116,601 42 45,458.48 10,115.49 5,623.40 29,719.59 100,104.00 45,270.10 44,894.15 359.80 16.15 16,497.42 49,852.94 38,056.94 47,487.34 35,691.34 2,365.60 2,365.60 1,342.96 11,796.00 38,782.38 11,796.00 51,025.21 36,626.22 2,156.16 2,693.12 4,906.59 •2,213.47 76,086 31 69,457.40 6,628.91 58,882.43 14,979.87 43,902.56 62,810.27 58,635.75 4,174.52 29,133 98 10,731.42 18,402.56 13,726.04 10,821.65 2,454.39 29,748.45 4,248.45 25,500.00 203,866.58 191,393.25 12,473.33 111,589 42 47,645.05 63,944.37 171,813.85 159,340.52 12,473.33 120,175.45 56,231.08 63,944.37 32,052.73 32,052.73 33,396.54 39,926.27 •6,529.73 8,586.03 8,586.03 5,563 41 2,462 68 2,189 40 273.28 25,241.28 22,809 46 2,431.82 4.845 63 9,113 68 9,113 68 3,463.95 3,463 95 1,081 60 1,010 00 322,847 97 139,271.92 96,838.85 86,737.20 219,451 15 98,074.79 96,654.62 24,721.74 103,396 82 41,197.13 184.23 62,015.46 90,188 56 30,191 50 38,687.50 21,309.56 85,801 97 25,804.91 38,687.50 21,309.56 4,386 59 4,386.59 71.60 538 78 313.28 225.50 2,445 12 1,876.76 568.36 1,792 47 1,224.11 568.36 652 65 652.65 25,173 59 17,326.26 7,847 33 21,237.39 13,390.06 7,847.33 82,101.16 3,936 20 3,936.20 35,970 99 282,747 48 136,740.46 146,007.02 100,641.44 18,540.28 34,948.93 6,418.91 28,530.02 1,271,216 00 150,839.86 1,120,376.14 902,978.62 186,652.90 716,325.72 368,237.38 35,813.04 404,050.42 360,792.92 279,881.11 80,911.81 264,579.35 188,292.61 76,286.74 96,213.57 91,588.50 4,625.07 16 Receipts and Table II. Summary of Receipts, Counties Edgecombe Rural... Tarboro. Forsyth Rural Winston-Salem. Franklin Rural. Franklinton. Louisburg... Gaston Rural. City. Cherryville Gastonia.. Gates. . . Graham. Granville. .. Rural.. Oxford. Greene Guilford... Rural Greensboro. High Point. Halifax... Rural. Enfield Roanoke Rapids. Scotland Neck__. Weldon Harnett. Haywood. .. Rural.. Canton, Henderson Rural Hendersonville. Hertford Total—All Funds, A-B-C Receipts $ 411,650 20 304,337.13 107,313.07 1,348,637.50 383,415.44 965,222.06 399,686.06 265,717.97 67,534.60 66,433.49 1,044,372.05 551,151.48 63,176.96 40,639.94 389,403.67 256,612.08 94,249.16 386,342.00 315,290.73 71,051.27 227,279 93 4,783,702.88 1,341,021.72 2,612,071.59 830,609.57 763,781.61 409,734.35 53,695.34 182,057.46 62,619.41 55,675.05 611,749.85 362,231.39 291,525.32 70,706.07 886,253 36 769,496.20 116,757.16 219,684 59 Expendi-tures $ 367,809.22 265,313.32 102,495.90 1,337,930.06 372,708.00 965,222.06 373,040 15 265,637.24 53,223.61 54,179.30 1,055,148 35 529,640.92 62,953.67 38,769.90 423,783.86 253,060 18 81,033.66 382,701.34 311,821.02 70,880.32 236,982 66 4,271,402 97 1,169,695.77 2,275,308.86 826,398.34 769,894.69 430,861.54 46,447.27 174,437.53 62,409.18 55,739.17 582,670.73 365,872.44 295,517.53 70,354.91 660,129.05 546,839.39 113,289.66 160,491 49 Balance June 30, 1928 43,840.98 39,023.81 4,817.17 10,707.44 10,707.44 26,645 91 80.73 14,310.99 12,254.19 10,776.30 21,510.56 223.29 1,870.04 •34,380.19 3,551.90 13,215.50 3,640.66 3,469.71 170.95 9,702.73 512,299.91 171,325.95 336,762.73 4,211.23 6,113.08 21,127.19 7,248.07 7,619.93 210.23 64.12 29,079 12 3,641.05 3,992.21 .351.16 226,124.31 222,656.81 3,467.50 59,193 10 A. Current Expense Receipts $ 291,047.58 203,915.40 87,132.18 1,035,048.75 307,392.02 727,656.73 211,306 08 144,547.54 39,201.62 27,556.92 725,061.00 414,038.51 37,267.24 37,155.95 236,599.30 127,346.97 58,461.34 314,422.67 255,396.76 59,025.91 135,693.56 2,173,512.37 466,306.47 1,128,213.02 578,992.88 501,817.70 271,322.38 30,987.93 126,601.45 31,241.40 41,664.54 317,823 71 226,210 50 169,782.55 56,427.95 391 , 884 41 294,603.55. 97,280.86 124,743 32 Expendi-tures $ 273,204.28 190,075.15 83,129.13 1,028,504.81 300,848.08 727,656.73 210,685.12 144,541.20 40,743.95 25,399.97 710,916.19 407,001.17 37,043.95 35,285.91 231,585.16 133,015.14 50,048.87 310,782.01 251,927.05 58,854.96 147,151.50 2,168,607.17 439,905.39 1,153,671.14 575,030.64 502,080.52 275,132.65 35,206.52 118,981.52 31,031.17 41,728.66 311,848.47 234,435.63 178,358.84 56.076.79 338,851.11 245,037.75 93,813.36 133.506.50 Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 17 Fund Balance June 30, 195 $ 17,843.30 13,840.25 4,003.05 6,543.94 6,543.94 620,96 6.34 •1,542.33 2,156.95 14,144 81 7,037.34 223.29 1,870.04 5,014.14 •5,668.17 8,412.47 3,640.66 3,469.71 170.95 •11,457.94 4,905.20 26,401.08 *25,458.12 3,962.24 •262.82 •3,810.27 •4,218.59 7,619.93 210.23 •64.12 5,975.24 •8,225.13 •8,576.29 351.16 53,033.30 49,565.80 3,467.50 •8,763.18 B. Capital Outlay Fund Receipts $ 59,096.00 55,972.06 3,123.94 60,386.55 32,157.47 28,229.08 85,532.81 63,788.57 11,647.00 10,097.24 15,244.36 30,214.77 22,393.56 826.74 •38,190.71 I 21,846.80 27,071.02 6,560.04 5,905.31 654.73 66,611.37 2,078,938.99 526,003.47 1,381,020.33 171,915.19 133,718.04 112,600.82 12,454.15 3,921.04 4,742.03 117,843 39 44,977.83 43,916.46 1,061.37 317,810.64 311,633.94 6,176.70 65,446.74 Expendi-tures $ 35,460.07 33,150.25 2,309.82 49,965.74 21,736.66 28,229.08 63,675.54 61,489.69 2,185.85 48,245.47 23,821.55 22,393.56 826.74 1,203.62 16,640.68 23,722 83 6,560.04 5,905.31 654.73 66,583.21 1,568,465.02 381,078.60 1,015,720.22 171,666.20 154,975.02 145,324.46 987.49 3,921.04 4,742.03 94,739 51 19,819.90 18,758.53 1,061.37 144,719.63 138,542.93 6,176.70 8,830.03 Balance June 30, 1928 $ 23,635.93 22,821.81 814.12 10,420 81 10,420.81 21,857.27 2,298.88 9,461.15 10,097.24 •33,001.11 6,393.22 •39,394.33 5,206.12 3,348.19 28.16 510,473.97 144,924.87 365,300.11 248.99 •21,256.98 •32,723.64 11,466.66 23,103.88 25,157.93 25,157.93 173,091.01 173,091.01 56,616.71 C. Debt Service Fund Receipts $ 61,506.62 44,449.67 17,056.95 253,202.20 43,865.95 209,336.25 102,847.17 57,381.86 16,685.98 28,779.33 304,066 69 106,898.20 3,516.16 2,657.25 190,995.08 107,418.31 8,716.80 65,359.29 53,988.66 11,370.63 24,975.00 531,251.52 348,711.78 102,838.24 79,701.50 128,245.87 25,811.15 10,253.26 51,534.97 31,378.01 9,268.48 176,082.75 91,043.06 77,826.31 13,216.75 176,558.31 163,258.71 13,299.60 29,494.53 Expendi-tures Balance June 30. 1928 $ 59,144.87 42,087.92 17,056.95 259,459.51 50,123.26 209,336.25 98,679.49 59,606.35 10,293.81 28,779.33 295,986 98,818 3,516. 2,657. 190,995. 103,404.36 7,261.96 65,359. 53, 11,370. 29 ,66 .63 23,247.95 534,330. 348,711. 105,917. 79,701. 112,839. 10,404. 10,253 51,534 31,378 9,268 176,082 75 91 16 75 111,616 98,400 13,216 176,558 163,258, 13,299. $ 2,361.75 2,361.75 •6,257.31 •6,257.31 4,167.68 '2,224.49 6,392.17 8,080 00 8,080.00 4,013.95 1,454.84 1,727.05 '3,079 26 "3,079.26 15,406 72 15,406.72 '20,573 85 '20,573.85 18,154.96 11,339.57 18 Receipts and Table II. Summary of Receipts Counties Hoke. Hyde. Iredell Rural Mooresville. Statesvil'e.. Jackson_ Johnston. _. RuraL. Benson. Jones Lee Rural-.. Sanford. Lenoir Rural... Kinston. Lincoln Rural Lincolnton. Macon Madison- Martin. McDowell.. Rural. . Marion. Mecklenburg. Rural.-.. Charlotte Davidson Mitchell Montgomery- Moore. Rural Aberdeen Carthage. Southern Pines. Total—All Funds, A-B-C Receipts $ 187,050.87 104,832 39 629,803 25 358,926.55 106,376.00. 164,500.70 184,687.92 1,453,539 43 1,403,682.61 49,856.82 99,701.49 231,899 62 169,945.88 61,953.74. 743,566 73 412,788.41 330,778.32 247,248.39 185,651.65 61,596.74 128,830.07 284,711.07 334,730.74 463,837.91 398,050.66 65,787.25 2,309,275 23 1,134,047.11 1,152,538.55 22,689.57 149,996 14 308,308 58 500,835 37 331,391.51 41,046.24 45,240.42 62,649.69 20.507.51 Expendi-tures $ 156,390 67 100,584.14 505,369.78 248,220.59 92,710.16 164,439.03 177,434.43 1,357,315 26 1,309,534.73 47,780.53 Balance June 30, 1928 30,660.20 4,248.25 124,433.47 110,705.96 13,665.84 61.67 7,253 49 96,224.17 94,147.88 2,076.29 102,506.61 *2,805.12 199,785 82 32,113.80 134,518.90 35,426.98 65,266.92 •3,313.18 633,287 42 110,279.31 307,490.11 105,298.30 325,797.31 4,981.01 213,326.23 33,922.16 152,529.88 33,121.77 60,796.35 800.39 112,490 36 16,339.71 280,222 73 4,488.34 217,621.11 117,109.63 396,373 70 67,464 21 330,755.27 67,295.39 65,618.43 168.82 2,180,385 86 128,889 37 1,034,301 12 99,745.99 1,123,395.17 29,143.38 22,689.57 144,899 58 5,096 56 303,735 91 4,572.67 447,687 54 53,147.83 286,868.64 44,522.87 39,495.04 1,551.20 40,612.06 4,628.36 61,123.65 1,526.04 19,588.15 919.36 A. Current Expens Receipts $ 99,849.79 77,499 93 452,843.06 262,783.23 81,406.02 108,653.81 130,859.48 1,128,552.73 1,100,796.50 27,756.23 78,254.71 175,640.55 126,885.07 48,755.48 290,543.25 158,784.42 131,758.83 168,037.49 126,648.72 41,388.77 107,676.77 175,067 25 173,590 39 227,062 38 180,644.27 46,418.11 ,076,158.25 374,254.87 682,261.09 19,642.29 125,160.08 158,695.45 288,623.67 176,734.05 27,870.37 32,270.44 37,158.24 14,590.57 Expendi-tures $ 94,027.61 80,085 54 384,084.70 207,752.38 67,740.18 108,592.14 134,297 68 1,089,685.58 1,062,994.31 26,691.27 81,059.83 144,439.85 92,319.19 52,120.66 280,636 38 152,905.86 127,730.52 159,739.66 119,151.28 40,588.38 94,588 33 170.578.91 160,945 95 199,294 97 146,995.96 52,299.01 1,106,988 76 385,841.69 701,504.78 19,642.29 117,646 54 153,844.72 282,239.78 176,044.95 27,107.24 27,642.08 37,032.20 14,413.31 •Overdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 19 Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ 5,822.18 $ 43,143 33 $ 31,714.85 $ 11,42848 $ 44,057 75 $ 30,648 21 $ 13,409.54 •2,585.61 12,500 38 6,982.99 5,517.39 14,832 08 13,515.61 1,316.47 68,758.36 55,030.85 13,665.84 61 67 82,713.45 66,967.41 2,309.94 13,436.10 33,069.49 17,323.45 2,309 94 13,436.10 49,643.96 49,643.96 94,246.74 29,175.91 22,660.04 42,410.79 s 88,215.59 23,144.76 22,660.04 42,410.79 6,031.15 6,031.15 3,438.20 28,827.74 18,136 05 10,691.69 25,000 70 25,000.70 38,867.15 37,802.19 1,064.96 2,805.12 31,200.70 192,076 43 191,065.10 1,011.33 154,963 91 154,963.91 37,112.52 36,101.19 1,011.33 132,910 27 111,821.01 21,089.26 112,665 77 91,576.51 21,089.26 20,244.50 20,244.50 5,666 00 5,666.00 15,780 78 15,780 78 17,18*5 48 16,173.88 1,011.60 16,272.38 15,312.78 959.60 913.10 861.10 52.00 39,073 59 26,886.93 12,186.66 39,073 59 26,886.93 12,186.66 34,565.88 3,365.18 9,906.87 5,878.56 151,919 26 130,863.02 21,056.24 49,027 13 31,443.28 17,583.85 102,892 13 99,419.74 3,472.39 301,104 22 123,140.97 177,963.25 303 , 623 . 91 123,140.97 180,482.94 2,519.69 4,028.31 2,519.69 8,297 83 7,497.44 800.39 36,016 11 33,472.12 2,543.99 9,488 70 6,944.71 2,543.99 26,527 41 26,527.41 43,194.79 25,530.81 17,663.98 44,097.87 26,433.89 17,663 98 *903 08 903.08 13,088.44 4,479.22 3,466 77 1,012.45 16,674.08 14,435 26 2,238.82 4,488 34 15,737.35 15,737 35 93,906 47 93,906 47 12.644 44 127,468 08 22,581 08 104,887 00 33,672 27 34,094 08 421.81 27,767.41 33,648.31 5,880.90 170,059.86 168,446.44 1,613.42 154,101.82 152,488.40 1,613.42 15,958.04 15,958.04 66,715.67 48,959.95 17,755 72 42,976 91 31,270.91 11,706 00 23,738 76 17,689.04 6,049.72 105,971.32 105,971.32 30,830.51 11,586.82 19,243.69 468,477.97 119,084.89 349,310.80 82.28 8,432.34 414,729.41 113,723.40 300,923.73 82.28 9,989.59 53,748.56 5,361.49 48,387.07 764,639.01 640,707.35 120,966.66 2,965.00 16,403.72 658,667.69 534,736.03 120,966.66 2,965.00 7,513.54 1,557.25 17,263.45 859.73 4,850.73 99,364.76 100,145.13 *780 37 50,248.37 49,746.06 502.31 6,383.89 689.10 763.13 102,736 49 93,685.70 1,035.52 3,609.09 3,970.58 435.60 66,984.82 60,288.70 247.45 3,609.09 2,570.58 269.00 35,751.67 33,397.00 788.07 109,475.21 60,971.76 12,140.35 9,360.89 21,520.87 5,481.34 98,462.94 50,534.99 12,140.35 9,360.89 21.520.87 4,905.84 11,012.27 10,436.77 4,628.36 126.04 177.26 1,400.00 166.60 575.50 20 Receipts and T'.BI.K Summary of Receipts, Counties Nash Rural Rocky Mount. Spring Hope.. New Hanover Rural Wilmington... Northampton Onslow Orange Rural Chapel Hill... Pamlico Pasquotank Rural Elizabeth City Pender Perquimans Person Rural Roxboro Pitt Rural Ayden Greenville Polk Rural Tryon Randolph Rural Asheboro Richmond Rural Hamlet Rockingham.. Robeson Rural Lumberton Maxton Total—All Funds, A-B-C Receipts $ 886,197.67 453,331.41 389,029.43 43,836.83 703,734.92 166,525.05 537,209.87 498,281.44 230,643.73 319,646.74 276,359.93 43,286.81 104,906.18 323,345 05 133,094.86 190,250.19 210,789.38 103,349.24 199,286*29 168,201.47 31,084.82 822,841.61 480,474.53 41,893.21 300,473.87 145,459.82 109,141.69 36,318.13 389,284.77 337,286.34 51,998.43 367,548.41 190,250.54 94,040.74 83,257.13 646,886 90 542,312.14 61,962.97 42,611.79 Expendi-tures 883,273.95 448,917.75 390,671.33 43,684.87 693,239 78 156,029.91 537,209.87 424,168.46 220,266.34 284,018 19 236,543.86 47,474.33 99,436.77 331,548.07 156,949.10 174,598.97 188,021.09 104,309.86 201,150.67 155,291.46 45,859.21 753,933.68 468,250.50 41,177.47 244,505.71 151,776.23 115,519.24 36,256.99 362,127.40 310,255.72 51,871.68 336,573 61 168,786.85 92,813.28 74,973.48 563,559.75 464,771.87 60,073.15 38,714.73 Balance June 30, 1928 2,923.72 4,413.66 1,641.90 151.96 10,495.14 10.495.14 74,112.98 10,377.39 35,628.55 39,816.07 *4,187.52 5,469.41 *8,203.02 *23,854.24 15,651.22 22,768.29 960.62 1,864.38 12,910.01 14,774.39 68,907 93 12,224.03 715.74 55,968.16 6,316.41 6,377.55 61.14 27,157.37 27,030.62 126.75 30,974.80 21,463.69 1,227.46 8,283.65 83,327.15 77,540.27 1,889.82 3,897.06 A. Current Expense Receipts $ 473,342.12 232,374.60 207,996.36 32,971.16 599,622.21 115,597.90 484,024.31 307,309.00 137,657.96 243,842.87 208,818.99 35,023.88 89.913 33 213,496.94 97,071.27 116,425.67 146,199.88 90,545.09 143,941.73 124,046.00 19,895.73 432,291 21 291,735.79 34,233.27 106,322.15 98,475.49 75,687.36 22,788.13 310,577 96 272,492.84 38,085.12 306,572 42 156,232.07 76,927.98 73,412.37 428,615.36 351,996.16 50,872.08 25,747.12 Expendi-tures $ 492,112.17 266,399.23 192,010.76 33,702.18 610,671.08 126,646.77 484,024.31 315,880 87 127,904 04 219,233.88 177,869.25 41,364.63 85,175 72 228,545.86 119,702.06 108,843.80 133,028.06 91,505 71 156,300.02 121,629.90 34,670.12 440,185.73 298,470.86 33,517.53 108,197.34 104,791.90 82,064.91 22,726.99 308,922.51 268,313.77 40,608.74 275,597.62 134,768.38 75,700.52 65,128.72 404,593 52 328,770.78 48,982.26 26,840.48 'Overdraft Expenditures, 1927-1928 21 Expenditure? and Balances by Funds—Continued Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ *18,770 05 •34,024.63 15,985.60 731.02 $ 174,351 10 30,342.82 142,509.20 1,499.08 $ 187,606 50 22,087.92 164,237.07 1,281.51 $ *13,255 40 8,254.90 21,727.87 217.57 $ 238,504.45 190,613.99 38,523.87 9,366.59 $ 203,555 28 160,430.60 34,423.50 8,701.18 $ 34,949.17 30,183.39 4.100.37 665.41 11,048.87 11,048.87 10,980 60 10,980.60 8,809 39 8,809.39 2,171.21 2,171.21 93,132.11 39,946.55 53,185.56 45,837.68 73,759.31 20,573.75 53,185.56 32,531 83 19,372.80 19,372.80 8,571.87 145,134.76 75,755 76 69,379 00 13,305.85 9,753.92 29,794.06 28,885.40 908.66 63,191.71 63,476 90 285 19 24,608.99 30,949.74 6.340.75 11,599.92 11,016.07 583.85 10,334 31 9,858.71 475.60 1,265.61 1,157.36 108.25 64,203 95 56,524.87 7,679.08 54,450 00 48,815.90 5,634.10 9,753 95 7,708.97 2,044.98 4,737.61 1,015.51 1,148 50 132.99 13,977.34 13,112.55 864.79 15,048.92 22,630.79 7,581.87 23,589.19 12,928.00 10,661.19 14,813.28 12,221.44 2,591.84 8,775.91 706.56 8,069 35 86,258.92 23,095.59 63,163 33 88,188 93 25,025.60 63,163.33 1,930.01 1,930.01 13,171.82 18,116 09 14,102 59 4,013 50 46,473.41 40,890.44 5,582.97 960.62 1,500 36 24,831.78 23,348.94 1,482.84 1,500 36 15.581.45 14,098.61 1,482.84 11,303.79 30,512.78 20,806.53 9,706.25 11,303.79 29,269.20 19,562.95 9,706.25 12,358.29 2,416.10 14,774.39 9,250.33 9,250.33 1,243.58 1,243.58 7,894.52 6,735.07 281,169 96 151,593.80 3,576.16 126,000.00 206,943 23 132,634.70 3,576.16 70,732.37 74,226 73 18,959.10 109,380.44 37,144.94 4,083.78 68,151.72 106,804 72 37,144.94 4,083.78 65,576.00 2,575.72 715.74 1,875.19 55,267.63 2,575.72 6,316.41 8,406.34 8,331.34 75.00 8,406 34 8,331.34 75.00 38,577.99 25,122.99 13,455.00 56,661.49 45,793.56 10,867.93 38,577.99 25,122.99 13,455 00 6,377.55 61.14 1,655.45 4,179.07 2,523.62 22,045.32 18,999.94 3,045.38 18,198 42 15,153.04 3,045.38 3,846.90 3,846.90 35,006 47 26,788.91 8,217.56 21,655.02 19,004.65 2,650.37 30,974.80 11,348.98 8,288.08 2,076.14 984.76 149,441.69 146,298.81 1,808.39 1,334.49 11,348.98 8,288.08 2,076.14 984.76 95,126.80 91,983.92 1,808.39 1,334.49 49,627.01 25,730.39 15,036.62 8,860.00 68,829.85 44,017.17 9,282.50 15,530.18 49,627.01 25,730.39 15,036.62 8,860.00 63,839.43 44,017.17 9,282.50 10,539.76 21,463.69 1,227.46 8,283.65 24,021.84 23,225.38 54,314.89 54,314.89 4,990.42 1,889.82 1,093.36 4,9^0.42 Receipts and Table II. Summary of Receipts, Counties Rockingham Rural Madison Reidsville Rowan Rural East Spencer... Salisbury Spencer Rutherford Sampson Rural Clinton Scotland Rural Gibson Laurinburg Stanly Rural Albemarle Stokes Surry Rural... Elkin.... Mount Airy Pilot Mountain Swain Transylvania Tyrrell Union Rural Monroe Vance Rural Henderson Wake Rural Raleigh Wake Forest... Warren Total—All Funds, A-B-C Receipts $ 647,476.61 395,577.73 31,086.39 220,812.49 1,178,577.10 841,076.32 31,528.70 262,076.42 43,895.66 525,333.49 482,674.16 441,434.57 41,239.59 210,763.31 96,065.65 26,563.35 88,134.31 357,441.69 301,325.91 56,115.78 238,987 53 394,608 63 278 , 870 . 69 28,519.19 64,858.37 22,360.38 133,467.89 270,040.55 55,888.37 627,531.73 525,887.27 101,644.46 369,681.88 243,683.59 125,998.29 2,022,215.76 1,249,726.38 730,095.94 42,393.44 218,117.71 217 Expendi- $ 650,199.96 424,410.07 30,074.00 195,715.89 1,135,838 14 785,252.05 31,030.32 276,175.11 43,380.66 492,457.73 467,222.17 427,266.45 39,955.72 186,399.85 83,742.40 25,836.97 76,820.48 333,256.92 284,131.78 49,125.14 198,524.46 386,783.70 264,650.28 28,316.63 71,741.93 22,074.86 121,744.63 247,620.68 54,132 83 538,508.08 437,795.63 100,712.45 367,344.46 241,346.17 125,998.29 1,865,643.63 1,088,609.89 736,320.05 40,713.69 Balance June 30, 1928 $ *2,723.35 *28,832.34 1,012.39 25,096.60 42,738.96 55,824.27 498.38 *14,098.69 515.00 32,875.76 15,451.99 14,168.12 1,283.87 24,363.46 12,323.25 726.38 11,313.83 24,184 77 17,194.13 6,990.64 40,463.07 7,824 93 14,220.41 202.56 6,883.56 285.52 11,723 26 22,419.87 1,755.54 89,023.65 88,091.64 932.01 2,337.42 2,337.42 156,572.13 161,116.49 *6,224.11 1,679.75 451.81 A. Current Expense Receipts $ 435,301 58 296,903.23 24,635.81 113,762.54 563,659 29 282,102.67 25,291.84 212,704.22 43,560.56 407,280 49 313,305 89 277,941.45 35,364.44 182,213 33 82,807.94 22,562.63 76,842.76 269,564 01 220; 300. 31 49,203.70 170,532.19 272,198 55 109,768.65 22,753. 15 63,038.37 16,638.38 109,458 90 211,023 55 48,018.61 373,509.07 316,566.20 56,942.87 321,924 01 216,830.95 105,093.06 1,107,972.12 558,514.23 516,885.68 32,572.21 185,433.07 Expendi-tures $ 417,407.39 304,601.32 24,140.13 88,665.94 561,725.44 267,083.51 24,793.46 226,802.91 43,045.56 371,362.25 310,124.12 275,932.08 34,192.04 157,849.87 70,484.69 21,836.25 65,528.93 268,591.09 222,731.45 45,859.64 163,581.67 .288,739 27 179,468.87 22,550.59 70,366.95 16,352.86 97,735.64 198,588.00 46,263.07 377,049.17 319,538.31 57,510.86 324,067.51 218,974.45 105,093.06 1,014,110.87 470.118.24 513,100.17 30,892.46 186,189.74 "Overdraft. Expenditures, 1927-1028 2?> Expenditures and Balances by Funds—Continued Fund Balance June 30, 1928 $ 17,894.19 7,698.09 495.68 25,096.60 1,933.85 15,019.16 498.38 •14,098.69 515.00 35,918.24 3,181.77 2,009.37 1,172.40 24,363.46 12,323.25 726.38 11,313.83 972.92 2,431.14 3,404.06 6,950.52 16,540.72 9,700.22 202.56 •7,328.58 285.52 11,723 26 12,435.55 1,755 54 •3,540 10 •2,972.11 •567.99 •2,143 50 •2.143.50 93,861.25 88,395.99 3,785.51 1,679.75 •756.67 B. Capital Outlay Fund Receipts 54,978.49 51,060.76 632.35 3,285.38 237,976.50 235,815.62 996.86 828.92 335.10 70,961.67 108,268.10 105,899.18 2,368.92 2,553.84 1,660.96 125.71 767.17 59,001.25 54,707.89 4,293.36 56,608.34 90,751.96 89,048.92 1,053.04 500.00 150.00 9,736.71 40,627.32 1,691.60 193,114 27 187,267.63 5,846.64 7,422.55 7,422.55 677,609.53 584,093.28 89,766.02 3,750.23 9,870 34 Expendi-tures 70,624.15 66,710.94 627.83 3,285.38 211,709 209,549. 996. 828 335. 27,654.52 96,923 94,662 2,261. 2,553 1,660, 125. 767. 40,279. 37,689. 2,589. 22,865.73 66,703 65,128 1,053 372 150 9,736.71 29,455 35 1,691.60 102,050.52 96,203.88 5,846.64 2,941.63 2,941.63 615,689.68 514,365.67 97,573.78 3,750.23 Balance June 30, 1928 $ 15,645.66 15,650.18 4.52 26,266.60 26,266.60 43,307.15 11,344.62 11,237.12 107.50 18,722.02 17,018.16 1,703.86 33,742.61 24,048 15 23,920.63 127.52 11,171.97 91,063 75 91,063.75 4,480.92 4,480.92 61,919 85 69,727.61 7,807.76 1,208 48 C. Debt Service Fund Receipts 157,196.54 47,613.74 5,818.23 103,764.57 376,941.31 323,158.03 5,240.00 48,543.28 47,091.33 61,100.17 57,593.94 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 28,876.43 26,317.71 2,558.72 11,847.00 31,658.12 20,053.12 4,713.00 1,320.00 5,572.00 14,272.28 18,389.68 6,178.16 60.908 39 22,053.44 38,854.95 40,335 32 19,430.09 20,905.23 236,634.11 107,118.87 123,444.24 6,071.00 22,814.30 Expendi-tures 162,168.42 53,097.81 5,306.04 103,764.57 362,402.80 308,619.52 5,240.00 48,543.28 93,440.96 60,174.57 56,672.31 3,502.26 25,996.14 11,596.75 3,875.01 10,524.38 24,386.60 23,710.60 676.00 12,077.06 31,340.62 20,053.12 4,713.00 1,002.50 5 , 572. 00 14,272.28 19,577.33 6,178.16 59,408.39 22,053.44 37,354.95 40,335.32 19,430.09 20,905.23 235,843.08 104,125.98 125,646.10 6,071.00 22,814 30 Balance June 30, 1928 '4,971 88 •5,484.07 . 512.19 14,538.51 14,538.51 46,349.63 925.60 921.63 3.97 4,489.83 2,607.11 1,882.72 230.06 317 50 317.50 '1. 187. 65 1,500 00 791.03 2,992.89 "2.201.86 24 Receipts and Table II. Summary of Receipts, Counties Washington... Rural Plymouth. Watauga. Wayne Rural Dobbersville. Fremont Goldsboro..- Mount Olive. Wilkes Rural North Wilkesboro. Wilson.. Rural Elm City... Lucama Sharpsburg. Wilson Yadkin Rural East Bend. Yancey. Total—All Funds. A-B-C Receipts $ 281,070.55 242,124.16 38,946.39 140,141.36 850,591.52 444,103.12 2,495.46 53,107.09 288,837.41 62,048.44 291,960.60 239,674.52 52,286.08 800,937.08 544,731.59 41,738.88 29,429.97 5,255.18 179,781.46 129,409.03 120,300.96 9,108.07 143,237.17 Expendi-tures $ 284,304.44 245,260.30 39,044.14 139,015.99 820,140.72 420,299.00 2,477.89 46,987.40 288,488.38 61,888.05 257,842.68 209,802.35 48,040.33 758,741.25 511,594.53 41,648.68 29,380.02 5,225.03 170,892.99 124,927.27 115,221.81 9,705.46 132,257.08 Balance June 30, 1928 *3,233 89 *3, 136.14 *97.75 1,125.37 30,450.80 23,804.12 17.57 6,119.69 349.03 160.39 34,117.92 29,872.17 4,245.75 42,195.83 33,137.06 90.20 49.95 30.15 8,888.47 4,481.76 5,079.15 *597.39 10,980.09 A. Current Expense Receipts $ 92,313.73 67,233.17 25,080.56 89,379.54 583,767.03 344,032.12 2,495.46 37,488.18 159,992.11 39,759.16 223,283.92 184,963.09 38,320.83 483,537.90 277,797.40 38,160.40 29,044.02 4,876.80 133,659.28 107,030.45 99,242.46 7,787.99 120,675.31 Expendi-tures $ 95,697.53 70,519.22 25,178.31 87,883.63 563,494.73 327,856.34 2,477.89 33,918.65 159,643.08 39,598.77 218,533 81 184,539.32 33,994.49 277,797.40 38,142.44 28,994.07 4,846.65 133,659.28 106,423.62 98,186.06 8,237.56 110,465.10 North Carolina Rural Charter... $53,949,866.46 35,199,294.63 18,750,571.53 $49,340,395.40 32,077,390.42 17.263,004.98 $4,609,471 06 3,121,904.51 1,487,566,55 $31,853,891.18 21,128,066 79 10,725,824.39 $30,971,473.42 20,310,678.03 10,660,495.39 ^Overdraft. Expenditures, 1927-1928 Expenditures and Balances by Funds—Continued 25 Fund B. Capital Outlay Fund C. Debt Service Fund Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 Receipts Expendi-tures Balance June 30, 1928 $ *3,383 80 *3 286 05 $ 1,462.81 937.87 524.94 47,337.71 80,342.36 61,325.00 $ 1,312.90 787.96 ' 524.94 47,287.60 70,163.86 53,696.66 $ 149 91 149.91 $ 187,294.01 173,953.12 13,340.89 3,424.11 186,482 13 38,746.00 $ 187,294 01 173,953.12 13,340.89 3,844.76 186,482.13 38,746.00 $ *97 75 1,495.91 20,272.30 16,175.78 50.11 10,178.50 7,628.34 *420.65 17.57 3,569.53 6,616.18 12,340.88 60,-30 35,461.60 32,696.80 2,764.80 40,536.23 16,557.97 3,578.48 385.95 55.75 19,958.08 4,720.35 4,381.55 338.80 5,125.31 4,066.02 12,340.88 60.30 11,817.78 10,022.94 1,794.84 17,641.30 2,623.75 3,506.24 385.95 55.75 11,069.61 3,099.89 2,761.09 338.80 4,514.88 2,550.16 9,002.73 116,504.42 22,228.98 33,215.08 22,014.63 11,200.45 276,862.95 250,376.22 9,002.73 116,504.42 22,228.98 27,491.09 15,240.09 12,251.00 257,660.11 231,173.38 349 03 160 39 4,750.11 423.77 4,326.34 98.06 23,643.82 22,673.86 969.96 22,894.93 13,934.22 72.24 5,723.99 6,774.54 •1,050.55 19,202.84 19,202.84 17.96 49.95 30.15 322.63 26,164.10 17,658.23 16,676.95 981.28 17,436.55 322.63 26,164.10 15,403.76 14,274.66 1,129.10 17,277.10 8,888.47 1,620 46 1,620.46 606.83 1,056.40 *449.57 2,254.47 2,402.29 147.82 10,210.21 610.43 159.45 $ 882,417.76 817,088.76 65,329.00 $12,780,032.26 7,775,771.06 5,004,261.20 5,891,271.05 3,787,726.43 1,884,500.01 1,216,534.77 6,295,457.08 3,020,485.94 5,875,141.34 2,814,783.16 420,315.74 205,702.78 26 TABLE III. RECEIPTS FOR A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T.inH.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $226,413.16 207,731.66 8,052.47 5,744.86 4,681.34 202.83 21,129.15 5,378.29 11,237.01 434.56 4,942.87 5,859.58 1,924.34 4,922.73 22,745.99 6,135.94 16,610.05 15,072.53 5,298.90 9,351.82 40,985.40 53,482.13 12,496.73 4,516.90 2,497.43 2^975.30 955.83 10,791.73 2,269.05 8,522.68 12,927.90 573.86 3,643.88 8,710.16 1,497.03 $ 56,798.85 56,798.85 $- . $ 6,168.75 5,678.75 490.00 $ 638.75 500.00 138.75 $ 8,286.00 8,286 00 Alexander 37,849.11 17,075.07 42,710.58 42,710.58 1,500.00 2,130.00 2,062.50 2,017.50 1,687.50 800.00 800.00 1,056 00 800.00 2,062 50 Alleghany 1,336.65 400.00 400.00 4,644.00 4,644 00 330.00 495.00 5,437.50 4,670.00 4,670.00 256.00 2,500 00 1,000.00 1,300.00 1,300.00 57,641.29 33,636.88 53,086.73 53,086.73 1,800.00 1,600 00 4,161 00 Avery .. 2,160.00 6,758.00 Rural 6,758.00 Bertie.. 52,306.83 46,704.44 28,740.70 640.00 611.25 1,489.58 200.00 6,676.66 6,676.66 1,200.00 1,720.00 1,150.00 5,076.00 Bladen 2,627.40 1,153.50 1,950.00 1,950.00 12,882.00 12,882.00 Burke ... 22,289.71 22,289.71 1,800.00 1,800.00 800.00 800.00 146.40 146.40 2,003.91 1,763.91 240.00 466.66 200.00 266.66 500.00 500.00 6,810.00 6,060.00 750.00 38,245.02 38,245.02 1,200.00 1,200.00 962.41 Rural.. 962.41 11,66068 500 00 1,125.00 Overdraft. tTransfer 21 CURRENT EXPENSE FUND Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties $ 9,933 49 9,933.49 4,257.75 295.45 6,871.46 6,871.46 2,102.41 3,160.62 6,585.15 6,585.15 2,273 75 3,834.30 2,441.06 20,471.39 20,471.39 3,851.89 3,851.89 18,467.65 18,467.65 8,069.41 8,069.41 921.65 963 Dog Taxes $ 2,520.00 t2,520.00 801.80 1,507.00 1,507.00 ,675.00 348.00 761 00 761.00 1,380 00 1,110.43 211.00 2,512.00 2,512.00 1,379.00 1,379.00 737.00 964 Interest on Bank Balances $149,913.83 150,000.00 86.17 14,393.18 f4,329.66 14,329.66 3,933.54 3,933.54 30.69 52.90 6,423.78 6.423.78 139.95 139.95 61.67 61.67 965-68 All Other $ 17,735.94 7,241.59 13,975.53 241.00 72.25 t3,794.43 2,126.09 2,162.50 4,111.42 3,167.55 119.87 824.00 f1,924.34 4,595.98 2,458.14 910.08 1,548.06 8,545.00 57.46 2,836.58 16,691.91 10,283.75 6,408.16 2,901.93 633.01, 248.00 2,020.92 3,299.44 2,133.27 1,166.17 637.03 36.00 251.03 350.00 970 Ad Valorem Taxes County 159,610.35 58,760.92 52,548.54 17,287.42 11,236.80 19,776.67 43,031.18 12,778.07 130,329.90 79,877.60 12,907.00 37,545.30 53,139.51 35,035.90 121,337.50 78,449.74 42,887.76 79,442.21 70,759.95 58,853.02 778,544.17 423,942.66 354,601.51 112,173.54 68,161.97 11,310.00 32,701.57 184,048.88 127,603.88 56,445.00 111,107.61 60,035.52 14,755.67 36,316.42 27,920.22 Local 81,066 79 6,229.18 51,493.37 8,413.83 6,436.03 8,494.38 13,819.42 4,468.04 31,648.21 9,298.21 5,350.00 17,000.00 6,844.54 15,025.90 53,090.68 19,195.17 33,895.51 28,056.19 18,773.26 7,604.57 422,985.40 163,153.24 259,832.16 46,801.80 14,145.65 6,694.71 25,961.44 50,562.14 9,338.51 41,223.63 33,566.93 12,523.46 8,000.00 13,043.47 9,062 08 969 Temporary Loans $ 24,205.72 16,005.72 7,000.00 1,200.00 46,700 00 30,000.00 30,000.00 4,925.00 22.577.55 1,074,776 00 1,074,776.00 22,700.00 7,000.00 15,700.00 Total Receipts Current Expense Fund 543,463.97 329,686.16 133,698.66 32,973.28 22,426.42 24,679.45 171,012.02 47,158.37 232,203.42 151,398.46 18,990.08 61,814.88 130,358.75 106,923.51 306,726.73 207,851.81 98,874.92 199,528 78 164,386.16 112,595.15 2,384,898.71 1,776,553.61 608,345.10 218,122.12 121,319.61 21,374.41 75,428.10 277,862.75 169,515.27 108,347.48 207,244.64 121,907.35 26,917.24 58,420.05 53.423 66 28 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $ 4,789.16 845.85 140.12 3,803.19 3,492.72 15,438.42 31,232.99 16,099.09 304.52 423.77 995.91 2,469.86 3,779.36 313.59 9,184.99 6,420.70 2,764.29 2,753.17 36,069.53 11,396.57 467.70 25,140.66 30,375.12 80,949.06 79,282.29 1,666.77 29,947.35 25,694.80 •4,252.55 3,967.42 •1,910.14 45,407.85 15,185.47 10,740.35 19,482.03 1926-1927 func $ 38,693 49 38,693.49 $ 2,757.50 2,757.50 $ 2,519.98 1,089.99 1,129.99 300.00 750.00 436.00 436.00 $ 1,250.00 1,250.00 $ 3,750.00 3,750 00 Caswell 27,409.22 43,847.98 43,847.98 465.00 2,510.00 2,510.00 700.00 4,425.00 4,425.00 2,409.92 Catawba 8,101.50 Rural 8,101.50 32,591.83 42,207.87 42,207.87 1,800.00 1,495.00 870.00 600.00 270.00 700.00 1,000.00 1,000.00 3,910.50 3,096.40 2,741.50 354.90 12,232.86 12,232.86 1,170.00 675.00 495.00 330.00 5,463.79 1,555.00 2,476.50 2,476.50 Clay.. 14,355.70 47,201.93 47,201.93 800.00 330.00 1,116.00 Cleveland 700.00 700.00 10,182.50 7,816.50 330.00 Shelby 3,908.79 7,092.50 1,290.00 930.00 360.00 1,735.00 1,735.00 2,366.00 82,766.21 8,461 36 8,461.36 1,667.50 1,735.00 1,735.00 1,000 00 4,425.00 4,425.00 7,257.94 47,611.04 47,611.04 500.00 500.00 4,235.93 4,235.93 16,926.93 22,176.73 J67.185 69 J67.185.69 4,025 00 180.00 1,830.00 1,830.00 500 00 1,200.00 1,072 59 800.00 Dare .... 1,200.00 2,625.00 Rural 2,625.00 1,072.59 . •Overdraft. tTransfer. ^Includes payment from Receipts, 1927-1928 29 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties 963 Dog Taxes Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund $ 1,508 00 1.508.00 $ 500.00 500.00 8,785.06 13,561 99 13,561.99 3,586.50 2,726.66 2,726.66 3,009.55 3,009.55 921.59 13,137.75 13,137.75 5,288.89 3,917.47 3,917.47 9,932.00 9,932.00 1,173.04 2,604.00 14,461.76 14,461.76 1,273.81 1,844.00 1,844.00 $ 1,518.97 .25 1,513.72 5.00 4,152.63 6,871.86 3,196.18 3,675.68 2,474.00 26.25 26.25 t1 ,324.70 t 1,324. 70 300 00 1,809.25 t2,322.20 307.71 307.71 849.83 849.83 823 56 150.00 5.00 483.91 806.19 365.06 441.13 ,664.77 987.67 677.10 211.55 581.54 383.77 246.24 6,359.59 ,637.65 ,751.80 885.85 ,238.20 ,212.71 ,025.49 451.76 ,765.24 ,050.00 120.00 930.00 95,588.15 43,525.47 25,000.00 27,062.68 37,479.81 188,373.57 111,328.01 50,868.92 26,176.64 80,220.90 36,057.97 3,454.60 18,608.58 13,994.79 43,388.33 25,267.85 18,120.48 12,259.92 189,328.93 96,544.34 22,541.38 70,243.21 129,696.93 103,553.93 53,756.21 49,797.72 228,220.62 161,813.55 66,407.07 39,447.63 24,601.74 227,961.61 127,827.74 60,404.32 39,729.55 $ 10,504.74 6,600.00 6,519.71 3,985.03 6,584.66 152,974.06 64,649.07 69,309.13 19,015.86 37,039.09 27,472.34 3,820.06 16,432.44 7,219.84 18,583.45 6,276.70 12,306.75 3,730.69 78,362.12 33,153.25 12,736.80 32,472.07 48,138.18 46,436.90 18,487.36 27,949.54 79,788.99 45,097.24 34,691.75 13,981.54 5,648.91 84,992.30 30,328.44 30,954.80 23,709.06 3,100.00 3,500.00 9,626.76 31,534.86 2,400.00 2,400.00 2,753.17 74,132.66 6,396.57 62.70 67,673.39 7,000 00 7,000.00 11,500.00 11,500.00 t20,890.18 t20,890.1S 169,989.87 93,920.55 37,413.42 38,655.90 103,129.59 438,384.38 285,132.72 107,754.64 45,497.02 196,260.36 113,267.77 59,046.80 31,896.72 22,324.25 92,785.75 57,346.83 35,438.92 33,813.90 386,981.70 196,690.31 37,522.35 152,769.04 319,129 91 260,714 08 173,054.20 87,659.88 363,664.26 254,292.50 109,371.76 57,621.48 425,696.62 259,564.10 103,029.47 63,103.04 30 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 9C0-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Davie $ 5,206.67 2,954.17 2,252.50 63,310.23 44,426.14 45,623.25 *1,197.11 44,466.30 41,373.48 3,092.82 12,550.18 12,550.18 $ 21,664.93 21,664.93 $. $ 1,695.00 170.00 1,525.00 1,750.00 5,541.70 2,250.00 3,291.70 3,490.00 2,920.00 570.00 * 1,000.00 1,000.00 $ 2,119 50 Rural 2,119 50 66,902 68 400.00 2,850.00 2,850.00 1,000 00 4,056.66 4,056.66 3,325 25 Durham.. .. . 24,301.68 24,301.68 1,600.00 1,600.00 500.00 500.00 8,276 78 Rural .! 8,276.78 Forsyth ... .. __ 1,380.00 1,380.00 16,853.00 Rural 16,853.00 Franklin.. 16,422.29 23,821.90 *9,369.65 1,970.04 24,765.62 64,029 84 64,029.84 6,239.06 3,984.06 1,940.00 315.00 3,802.00 3,360.00 232.00 210.00 800.00 800.00 3,250.00 3,250.00 1,650.00 1,650.00 12,693 95 12,243.95 11,607.31 8,089.92 5,068.39 15,011.57 450.00 Gates 23,212.73 6,173.57 24,737.40 24,737.40 1,200 00 700.00 600.00 600.00 266.66 1,102.50 28,285.10 27,930.78 354.32 40,399.60 196,037.76 3,925 00 Rural 3,925.00 Oxford . Greene... 21,854.25 2,100 00 1,371.25 1,371.25 2,460.00 4,502.91 4,192.91 310.00 1,500.00 3,922.20 Guilford 19,264.50 19,264.50 67,069.12 High Point 128,968.64 Overdraft. [Transfer. Receipts, J 9270 928 31 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties 963 Dog Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund 2,072 90 2,072.90 $ 1,277.00 1,277.00 1,262.40 36,970.42 36,970.42 11,874.56 11,874.56 69,568.02 69,568.02 6,902 50 6,902.50 20,906.38 20,906.38 1,341.50 1,972.03 6,698 20 6,698.20 5,465.73 34,387.90 34,387.90 200.00 2,672.24 2,672.24 3,206.49 3,206.49 3,782.00 3,782.00 1,750.00 1,750.00 t19,959.25 t20,000.00 2,113 00 2,113.00 40.75 763.71 763.71 377.00 1,020.00 1,020.00 1.185.78 4,489 00 4,489.00 t27,778.90 t27,898.90 120.00 134.75 5,889.62 4,538.78 1,350.84 $ 3,450.71 3,365.49 85.22 4,075.06 18,209.63 10,799.30 7,410.33 5,921.83 1,779.30 4,142.53 16,464.26 6,512.10 9,952.16 4,057.40 1,690.41 731.35 1,635.64 26,172.76 3,603.59 257.00 1,663.16 20,649.01 5,009 46 1,145.41 4,056.43 2,716.03 1,340.40 2,632.85 38,238.52 6,435.70 30,574.83 1,227.99 $ 60,781.34 48,330.11 12,451.23 117,421 .05 611,092 05 237,849.32 373,242.73 123,407 97 68,378.98 55,028.99 460,899.80 127,463.89 333,435.91 74,666.05 32,450.26 23,223.31 18,992.48 459,085.80 278,291.10 23,852.44 23,942.26 133,000.00 31,478.71 30,972.45 133,172.14 95,546.14 37,626.00 87,848.95 972,063.35 391,626.43 331,106.76 249,330.16 $ 21,888 97 11,978.93 9,910.04 42,947.87 212,512.01 26,792.74 185,719.27 64,001.97 39,704-: 13 24,297.84 453,551 49 69,282.83 384,268.66 49,958.14 23,678.52 21,676.61 4,603.01 181,358 72 91,870.49 8,355.72 3,250.61 77,881.90 5,093.00 6,313.43 38,607.30 23,622.11 14,985.19 22,991.43 315,267.56 $ 32,214 00 25,000.00 7,214.00 205,098 81 180,610 15 tl34,892.43 54,282.28 3,190 05 2,190.05 1,000.00 t8,250.94 t8,250.94 45,000.00 9,438.29 101,100.00 96,500.00 4,600.00 23,997 22 582,000 00 262,801.47 52,466.09 435,000.00 147,000.00 $ 153,37102 119,933.03 33,437.99 381,072 89 857,720 70 232,299.26 625,421.44 291,047 58 203,915.40 87,132.18 1,035,048 75 307,392.02 727,656.73 211,306 08 144,547.54 39,201.62 27,556.92 725,061.00 414,038.51 37,267.24 37,155.95 236,599.30 127,346 97 58,461.34 314,422.67 255,396.76 59,025.91 135,693.56 2,173,512.37 466,306.47 1,128,213.02 578,992.88 32 Receipts, 1927-1928 Table III. RECEIPTS FOR A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Halifax $ 24,124.98 3,035.16 3,040.53 22,674.06 1,308.16 137.39 *5,503.06 40,816.77 44,976.72 4,159.95 25,771.71 25,105.99 665.72 9,819.03 4,233.64 5,552.51 24,415.82 5,166.39 12,960.30 6,289.13 3,442.49 8,991.73 10,918.02 1,926.29 35,264.81 12,059 75 20,941.73 8,881.98 13,678.77 •13,880.52 201.75 •4,874 32 •4,976.46 102.14 $ 7,620 66 7,620.66 $ 2,400.00 2,400.00 $ 1,366 49 $-— - $ 3,531 00 Enfield .. 831 00 142.00 711.99 512.50 3,525.52 . 645.00 645.00 2,700.00 Harnett 72,238.87 33,469.87 33,469.87 3,753.33 100 00 700 00 700.00 6,466.70 Haywood_ . . 438.00 438.00 25,944.71 25,944.71 1,200.00 1,200.00 980.00 560.00 420.00 2,227.50 285.00 2,300 63 2,300.63 Hertford 32,102.46 8,568.77 29,648.05 37,839.31 37,839.31 990.00 615.00 900.00 3,865.82 Hoke Hyde 1,300.00 4,500.00 4,500.00 1,353.00 Iredell... 2,100.00 2,100.00 1,910.00 1,910.00 1,462.00 1,462.00 28,902.98 161,645.56 J61.645.56 1,200.00 1,625.00 1,625.00 210.00 310.00 310.00 500.00 300.00 300.00 3,087.00 Johnston .' . 4,986.00 4,986.00 Jones 22,547.44 25,167.91 25,167.91 1,600.00 550.00 550.00 441.00 400 00 1,000.00 800.00 800.00 2,160.00 Lee 2,679.00 2,679.00 400.00 3,130.00 3,130.00 Lenoir 19,658.69 19,658.69 1,300 00 1,300.00 500.00 500.00 5,626.50 5,626.50 42,730.28 42,730.28 1,637.50 1,187.50 450.00 750.00 750.00 3,338.25 3,338.25 Lincolnton •Overdraft. tTransfer. JIncludes payment from 1926-1927 fund. Receipts, 1927-1928 33 Current Expense Fund—Continued Expense Fund County and Local Tax Funds Fines Forfeitures, Penalties $ 10,929.66 9,643.13 621.03 544.50 121.00 14,002.84 5,843.45 5,843.45 6,975.30 6,975.30 3,474.21 3,575.17 472.92 7,549.12 7,549.12 3,489.04 12,487 37 12,487.37 603 00 2,334.82 2,334.82 19,749.66 19,749.66 8,303.30 8,303.30 963 Dog Taxes 1,170 17 635.00 635.00 1,414.89 572 50 1,250.00 782.00 782.00 1,792.00 1,792.00 1,055.00 1,055.00 964 Interest on Bank Balances 1,460 64 90.00 7.74 1,001.56 8.33 353.01 151 36 72 00 72.00 497.96 358.98 138.98 25.23 25.23 965-68 All Other $ 11,291.70 2,549.15 195.00 6,185.05 1,633.30 729.20 9,538.01 3,212.04 1,983.72 1,228.32 5,965 45 2,621.33 3,344.12 1,775.59 9,505.31 t3,552 51 5,980.79 2,897.10 1,928.69 1,155.00 1,325.62 13,538.83 10,149.07 3,389.76 608.05 6,236.09 5,259.18 976.91 13,156.52 9,516.22 3,640.30 5,121.44 3,121.44 2,000.00 970 Ad Valorem Taxes County 237,551.31 118,119.46 21,251.09 55,812.10 21,454.09 20,914.57 125,519.56 104,987 08 71,301.92 33,685.16 137,571.61 64,260.59 73,311.02 48,772 33 59,831.29 32,418.10 228,952.57 133,562.33 38,133.78 57,256.46 47,465.96 320,311.31 302,173.97 18,137.34 39,195.42 69,281 81 40,272.80 29,009.01 178,880.81 85,901.15 92,979.66 74,379.60 47,346.64 27,032.96 Local 85,241.26 18,935.14 5,662.57 38,865.65 2,881.03 18,896.87 62,987 80 48,465 32 31,548.80 16,916.52 13,600 00 13,600.00 19,250 13 13,235 61 11,735 36 98,061 45 27,258.98 28,383.25 42,419.22 29,445.39 120,634 43 116,470.57 4,163.86 9,151.22 45,349.17 18,097.63 27,251.54 63,885 44 28,948.32 34,937.12 35,571 .21 23,767.54 11,803.67 969 Temporary Loans $ 116,300.00 115,000.00 , 1,300.00 24,023 97 69,266 51 69,266.51 170,940.00 165,000.00 5,940.00 40,000.00 40,000.00 11,791 00 601,208.00 601,208.00 34,963.39 10,000 00 10,000.00 t3,457.60 t3,457.60 Total Receipts Current Expense Fund 501,817.70 271,322.38 30,987.93 126,601.45 31,241.40 41,664.54 317,823.71 226,210 50 169,782.55 56,427.95 391,884 41 294,603.55 97,280.86 124,743.32 99,849.79 77,499.93 452,843 06 262,783.23 81,406.02 108,653.81 130,859 48 1,128,552 73 1,100,796.50 27,756.23 78,254.71 175,640.55 126,885.07 48,755.48 290,543 25 158,784.42 131,758.83 168,037.49 126,648.72 41,388.77 34 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 96(9-1* Equalizing Fund 960-2 Rural Supervisors Summer School T.T. inH.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes $ 48,529.28 2,406.33 22,018 80 64,825.28 67,151.00 2,325.72 190,519.47 15,741.93 199,071.96 7,189.44 5,875.33 34,331.36 22,383.10 337.11 14,596.73 2,691.11 4,785.24 27.09 65,891.87 69,766.86 7,810.82 3,935.83 24,713.06 24,713.06 $ 40,143.53 49,111.62 33,923.43 10,510.68 10,510.68 $ 1,800.00 $ $ 500.00 800.00 100 00 500.00 500.00 $ 220.00 2,275.00 2,830.00 2,490.00 340.00 1,861.60 1,861.60 3,573.00 Martin 3,082 50 McDowell ... 2,599.18 2,599.18 Mecklenburg ______ _ _ 1,470.00 1,470.00 2,077.50 2,077.50 Charlotte Davidson __ .. _ ___ Mitchell 17,015.78 42,663 29 28,998.84 28,998.84 1,700.00 1,620.00 4,055 00 4,261.24 3,861.24 800.00 600.00 600.00 3,273.00 Moore _ _ _ 1,900.00 4,395.00 1,900.00 4,395.00 400.00 Vass ... _ _ Nash 73,894 72 73,994.72 600.00 600.00 5,419.16 2,619.16 5,225.00 5,225.00 13,104 19 10,309 67 2,794.52 2,800.00 2,401.12 2,401.12 New Hanover _ _ _ 9,039.96 Rural. . -__ _ ._ 9,039.96 Northampton.. . _ 9,970.54 25,625 59 38,298.95 33,465.35 4,833.60 1,827.50 77,654.19 59,924.74 17,729.45 45,321.74 34,559 86 22,739.59 22,739.59 1,600.00 5,448.32 1,437.50 1,133.74 1,133.74 1,100.00 500.00 300.00 300.00 4,995.65 Onslow.. .. . _ 3,021.30 Orange . 1,100.00 1,100.00 2,640.97 Rural 2,640.97 " Chapel Hill _ Pamlico . 35,275.73 4,083.51 4,083.51 3,000.00 266.66 266.66 1,200 00 1,600 00 360.00 360.00 1,500.00 Elizabeth City 1,500.00 •Overdraft. fTransfer. Receipts, 1927-1928 35 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 962 Fines Forfeitures, Penalties $ 3,340 40 2,506.09 3.461.22 5,587.10 5,587.10 69,443.62 69,443.62 1.317.50 2,020.00 3,626.16 3,626.16 13,970.81 13,970.81 11,917.08 11,917.08 5,189 30 1,529 95 5,274 25 5,274.25 1,328 70 4,797 00 4,797.00 963 Dog Taxes 714.00 968.34 512.40 512.40 914.00 1,488.00 1,488.00 2,842 41 2,842.41 821.95 821.95 1,797 78 1,188 00 600 00 1,875 00 1,875.00 Interest on Bank $--. 33.63 1,013.94 1,001.94 12.00 4,577.44 4,577.44 89.00 5.00 84.00 117 00 156,301 46 t56,301.46 965-68 All Other $ 1,14867 213.67 289.59 1,506.46 1,113.47 392.99 11,594.37 6,259.79 11,241.68 t5,907.10 734.24 1,173.28 5,873.30 2,824.03 849.20 150.00 1,087.61 962.46 5,999 73 5,999.73 1,177.78 659.22 518.56 3,580.95 613.94 6,347.74 2,859.22 3,488.52 1,206.04 15,322.12 7,244.76 112,566.88 970 Ad Valorem Taxes County $ 12,534.51 40,169 03 78,836.55 66,028.58 45,216.32 20,812.26 586,116.45 226,187.07 347,019.50 12,909.88 48,925.39 70,506.30 136,283.47 61,863.83 20,647.57 24,698.44 20,536.17 8,537.46 265,347.30 116,723.51 126,124.60 22,499.19 415,239 02 39,183.06 376,055.96 97,026 25 54,802.82 101,811 08 86,138.67 15,672.41 28,728 31 91,098 49 24,734.24 66,364.25 Local 969 Temporary Loans $ 14,672 31,373 28,634.96 58,348. 43,962. 14,386. 206,537. 82,697. 120,350. 3,489. 12,971 33,290 70,576. 34,114. 2,954. 9,708. 20,235. 3,563. 125,118 49,744. 65,266. 10,107. 47,008 14,379 47,732 32,036 15,696 17,159.43 55,485. 12,086. 43,398. $ 115,705.67 49,473.34 12,800 00 12,800.00 1,960 70 1,960.70 35,000.00 34,331.36 52,915.38 33,400.00 18,015.38 1,500.00 27,611 S8 26,111.98 1,500.00 134,312.24 26,862.45 107,449.79 104,211.00 93,061 53 88,061.53 5,000.00 1,525.62 38,000 00 38,000.00 Total Receipts Current Expense Fund $ 107,676.77 175,067 25 173,590 39 227,062.38 180,644.27 46,418.11 1,076,158.25 374,254.87 682,261.09 19,642.29 125,160.08 158,695 45 288,623.67 176,734.05 27,870.37 32,270.44 37,158.24 14,590.57 473,342 12 232,374.60 207,996.36 32,971.16 599,622.21 115,597.90 484,024 31 307,309 00 137,657 96 243,842 87 208,818.99 35,023.88 89,913.33 213,496 94 97,071 27 116,425.67 36 Receipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T in H.S. 960-3 . Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Pender $ 992.01 909 99 7,103 51 6,699.04 404.47 24,721.88 21,634.59 1,958.67 5,045.96 9,441.81 10,492.06 1,050.25 9,261 53 1,887.16 11,148.69 25,026 20 9,565.20 181.07 15,279.93 3,187.67 5,442.46 99.38 2,354.17 1,674.60 244.05 218.64. 1,211.91 10,221 91 2,234.99 154.34 11,142.84 1,468.40 2,235.74 23,841.18 20,168.27 3,672.91' $ 39,077.31 25,653.74 30,292.63 30,292.63 $ $ 2,990 00^ 2,315.00 2,150.00 2,150.00 $ 1,250.00 1,700.00 1,600.00 1,600.00 $ 1,016.17 Perquimans... 1,360.00 2,296.50 600.00 600.00 Person 3,188.10 2,894.10 294.00 Pitt... 11,178 06 11,178.06 1,530 00 1,530.00 1,752.49 1,752.49 985.00 985.00 11,802.93 Rural 11,802.93 Polk 29,320 85 29,320.85 1,995 00 1,995.00 2,209.00 2,209.00 Tryon 67,705.68 67,705.68 2,036 66 2,036.66 1,900.00 1,400.00 500.00 5,518.75 5,518.75 Rural . Richmond 20,159.04 20,159.04 4,230.00 1,805.00 400.00 2,025.00 4,510.00 2,600.00 360.00 1,550.00 2,045 00 2,045.00 7,711.60 Rural 7,711.60 Robeson „.. 82,859.51 82,859.51 2,500 00 2,500.00 300 00 Rural 300.00 300.00 300.00 Rockingham. .. 39,912 07 39,912.07 1,400 00 1,400.00 13,896 00 Rural 13,524.00 372.00 Rowan 13,254.76 13,254.76 4,776.66 4,776.66 2,383 00 687.50 4,425 00 4,425.00 867 00 Rural 1,695.50 867.00 Rutherford 50,214.44 85,100.04 85,100.04 267.50 1,810.00 1,810.00 7,791.00 7,905.00 7,685.00 220.00 8,670 00 1,050 00 1,050.00 Clinton Overdraft. fTransfer. Receipts, 1927-1928 37 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 963 Dob: Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes County Local 969 Temporary Loans Total Receipts Current Expense Fund 295.58 855.75 1,157.63 1,157.63 2,645.79 2,645.79 $ 2,752 30 4,168 72 3,120.83 1,047.89 15,425.93 6,024.56 190.50 190.50 748 31 748.31 94 83 94.83 2,476 70 2,476.70 tl5,828 89 tl5,828.89 2,314 00 6,145.30 9,401.37 41.65 5.67 35.98 6,052.08 778.53 5,273.55 7,467 86 6,045.00 313.50 1,109.36 8,219.50 6,375.00 1,594.50 250.00 24,935 74 13,994.66 577.25 10,363.83 13,358.21 3,205.99 386.84 5,958.58 3,806.80 86.12 13,327.50 8,398.35 4,929.15 $ 65,934.04 44,923.18 58,673.04 48,870.14 9,802.90 271,091 65 196,868.27 21,963.86 52,259.52 50,481.41 34,799.51 15,681.90 115,154 11 92,289.68 22,864.43 137,661.46 61,209.21 40,718.40 35,733.85 217,733 89 170,130.89 32,453.00 15,150.00 237,389 26 171,148.13 16,720.28 49,520.85 311,764.67 211,685.93 15,578.74 69,000.00 15,500.00 245,228.17 153,045.92 126,219.72 26,826.20 $ 23,789.54 7,596.81 18,884.00 10,537.53 8,346.47 118,345 67 58,327.71 10,310.74 49,707.22 22,026 49 16,006.49 6,020.00 54,722.63 37,426.80 17,295.83 81,101 29,522 32,315 19,264 89,852 64,785 16,365 8,701 113,992 56,378 4,947 52,665 110,149 28,363 9,171 57,258 15,355 42,117.32 53,629 85 46,567.85 7,062.00 6,657.16 ,502.00 10,870.00 10,870.00 62,863 20 59,563.20 3,300.00 3,000.00 3,000.00 2,150 00 2,150.00 1,800.00 1,800.00 99,434.20 89,934.20 9,500.00 38,000 00 18,782.84 18,782.84 $ 146,199 88 90,545.09 143,941.73 124,046.00 19,895.73 432,291.21 291,735.79 34,233.27 106,322.15 98,475.49 75,687.36 22,788.13 310,577.96 272,492.84 38,085.12 306,572.42 156,232.07 76,927.98 73,412.37 428,615 36 351,996.16 50,872.08 25,747.12 435,301 58 296,903.23 24,635.81 113,762.54 563,659 29 282,102.67 25,291.84 212,704.22 43,560.56 407,280.49 313,305 89 277,941.45 35,364.44 Keceipts, 1927-1928 Table III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalising Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 950-3 Vocational Education 980-4-6 Rural High Schools 961 Poll Taxes Scotland 35,455.32 23,965 32 161.16 11,328.84 *978 51 *4.758 44 3.779 93 *599 34 *1 9, 007 32 *14,088.76 168 07 *6.586 63 1.500 00 10,275.60 *13,316.35 16,184.00 2,762.12 2,255.88 506 24 *24,266 22 *24,266.22 $ 10,416 63 10,416.63 $ $ 2,555.00 2,555.00 $ $ 3,548 25 Rural 2,937 00 611 25 Stanly 20,203 59 20,203.59 6,280.00 6,043.75 236.25 580.00 3,012.50 2,562.50 450.00 800.00 800.00 5,235 42 Rural . 4,737.42 498.00 Stokes. 52,234.80 57,232.96 57,232.96 500.00 866.66 866.66 3,000 00 Surry Rural . 1,600.00 1,600.00 6,609 85 6,404.65 Elkin 205.20 10,840.17 20,775.47 12,424.16 97,720.12 97,720.12 800.00 921 50 3,025 00 . 1,315.00 770.00 370.00 400.00 1,785.00 1,785.00 1,323.54 Tyrrell 800.00 500.00 500.00 753.08 9,095.70 ; 8,013.00 1,082.70 5,666.62 5,666.62 255 00 255.00 175.00 175.00 Wake *17,746.15 2,333.33 2,333.33 10,969.07 9,738.32 1,230.75 300.00 300.00. 6,000.00 6,000.00 *18,202.22 456.07 *17,327.67 *1 ,931 .35 *6,772.86 4,841.51 *10,157.85 12,797.58 Wake Forest 41,621.64 20,351.00 20,351.00 1,542.50 1,125.00 1,125.00 1,000.00 500.00 500.00 3,865.23 Washington Watauga. 36,866.18 11,715 98 11,715.98 190 00 5,017.50 4,657.50 750.00 3,040 50 2,205.00 2,205.00 5,192.88 Rural 5,192.88 26.82 484.87 11,988.49 297.40 360.00 Mount Olive I •Overdraft. tTransfer. Receipts, 1927-1928 39 Current Expense Fund—Continued Expense Fund County and Local Tax Funds 963 Dog Taxes $ 380 00 380.00 1 ,138 84 1,138.94 1,500.00 2,091.00 2,091.00 257.00 290 00 2,658.00 2,658.00 2,000 00 2,000.00 853.00 2,001.88 2,001.88 964 Interest on Bank Balances 24 00 115.65 79 22 29.22 50.00 965-68 All Other 8,501.58 1,681.28 1,052.11 5,768.19 4,773.94 1,698.41 3,075.53 3.179 84 ,751.49 ,281.69 816.80 ,203.00 450.00 ,932.96 ,101.61 ,490.55 ,758.61 ,132.24 626.37 253.00 103.00 150.00 ,098.37 ,098.09 ,557.15 443.13 12,019.28 ,194 52 ,559.97 ,634.55 356.40 4,909.88 1,894.45 ,699.47 780.00 535.96 970 Ad Valorem Taxes County 67,599 93 21,601.87 13,746.75 32,251.31 158,298.35 131,919.89 26,378.46 72,178.23 143,773.72 79,490.07 14,901.32 38,432.39 10,949.94 38,788.36 68,623.02 27,558.52 143,897.14 106,427.38 37,469.76 198,983 73 104,039.32 94,944.41 462,732.31 146,452.57 296,000.00 20,279.74 77,521 .19 47,961.38 30,356.88 17,604.50 39,638.96 257,461.89 130,827.35 1,644.31 19,827.57 79,606.35 25,556.31 Local $ 43,563.36 13,089.08 7,602.61 22,871.67 39,467.98 24,172.45 15,295.53 13,317.28 53,885. 15,946. 6,416. 27,989. 3,533. 17,907. 24,658. 3,783. 63,927 47,070. 16,857. 9,998. 194,833 67,139. 116,300 11,393, 19,133.73 20,113 20.113. 7,602.00 136,461.91 42,359.55 549.33 12,616.27 67,567.27 13,369.49 Temporary Loans 4,000 00 ,000.00 29,000.00 29,000.00 20,000.00 30,000.00 99,863.80 35,501 67 35,501.67 120,441.34 120,441.34 375,000.00 295,000.00 80,000.00 40,824.43 10,157.85 138,775.00 136,000.00 275.00 2,500.00 Total Receipts Current Expense Fund $ 182,213.33 82,807.94 22,562.63 76,842.76 269,564 01 220,300.31 49,263.70 170,532.19 272,198.55 169,768.65 22,753.15 63,038.37 16,638.38 109,458.90 211,023.55 48,018.61 373,509.07 316,566.20 56,942.87 321,924.01 216,830.95 105,093.06 1,107,972.12 558,514.23 516,885.68 32,572.21 185,433.07 92,313,73 67,233.17 25,080.56 89,379.54 583,767.03 341,032.12 2,495.46 37,488.18 159,992.11 39,759.16 40 Keceipts, 1927-1928 Tabus III. Receipts for A. Current Balance June 30, 1927 State Funds Counties 960-1 Equalizing Fund 960-2 Rural Supervisors Summer School T.T. in H.S. 960-3 Vocational Education 960-4-6 Rural High Schools 961 Poll Taxes Wlkes $•14,710.01 •17,730.11 3,020.10 •3,218.38 3,423.84 975.98 6.59 589.84 •8,214.63 •4,344.25 •3,842.25 502.00 •33,891.88 $ 96,17173 96,171.13 $ 180.00 180.00 $ 2,000.00 2,000.00 $ 1,699.71 1,500.00 199.71 $ 6,504.00 Rural 6,504 00 North Wilkesboro Wilson 1,822.50 1,800.00 10,133 81 10,133.81 Elm City 22.50 1,430.00 1,430.00 Yadkin... 48,677 72 48,677.72 900.00 500.00 400.00 1,000 00 3,333.33 Rural 3,333.33 East Bend Yancey 37,924 00 1,400.00 3,813.95 North Carolina $949,500.38 449,093.63 500,406.75 $3,217,290 59 3,217,290.59 $ 86,082.07 86,082.07 $233,983 48 202,672.85 31,310.63 $ 97,559.03 94,361.98 3,197.05 $ 400,645 31 382,922.34 17,722.97 •Overdraft. tTransfer. Receipts, 1927-1028 41 Current Expense Fund—Continued Expense Fund 969 Temporary Loans County and Local Tax Funds Total 962 Fines Forfeitures, 963 Dog Taxes 964 Interest on Bank Balances 965-68 All Other 970 Ad Valorem Taxes Receipts Current Expense Fund Penalties County Local $ 7,749 05 $ 513.82 513.82 $ $ 8,004.33 6,991.33 1,013.00 6,737.16 5,890.50 127.00 2.70 $ 74,956 71 57.206.15 17,750 56 355,510.86 152,997.30 37,057.42 29,034.73 4,286.96 132,134.45 39,504 66 33,277.36 6,227.30 56,476.39 $ 28,431.46 12,094.00 16,337.46 $ 11,783 12 11,783.12 $ 223,283 92 7,749.05 184,963.09 38,320.83 23 075 17 3,117.13 3,117.13 859 65 859.65 85,500 00 76,500.00 483,537 90 23,075 17 277,797 40 38,160.40 29,044.02 4,876.80 . 716.96 4,640.49 4,047.57 592.92 2,061.00 9,000.00 2,800.00 2,800.00 133,659.28 1.833 83 1,833.83 1,729.00 1,729.00 6,525.67 5,455.90 1,069.77 9,371.70 107,030 45 99,242.46 7,787.99 1,897.77 40,622.38 120,675 31 $849,112 81 847,814.78 1,298.03 $97,891.17 97,891.17 t$145,994.38 tl55.627.21 9,632.83 $552,739 51 294,574.43 258,165.08 $14,616,300.17 8,865,079.50 5,751,220.67 $5,701,200.48 2,648,346.42 3,052,854.06 $5,197,580 56 4,097,564.24 1,100,016.32 $31,853,891 18 21,128,066.79 10,725,824.39 42 TABLE IV. RECEIPTS FOR CAPITAL B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Alamance. .. .. $ *19,414.39 * 19, 745. 40 331.01 $ 115,450.00 115,450.00 $ 21,000.00 21,000.00 $ 71.00 71.00 $ $- Burlington .. Graham. . . Haw River Mebane ... _. . . Alexander. ._ 300.00 1,936 90 1,323.80 4,864.64 200.00 *3,740.84 180 70 2,500.00 *899.87 *899.87 7,500.00 38.00 973.10 1,617.00 1,617.00 125.00 100.00 20.01 17,000.00 Rural Morven 17,000.00 101.68 50.00 Avery _ Beaufort 42,500.00 42,500.00 90.90 90.90 4,260.00 306.00 269 50 1,256.00 1,256.00 Bertie. 500.00 67,347.37 992.50 1,371,611.75 394,024.71 977,587.04 *1,399.84 34,000.00 49,750.00 10,500.00 52,695 85 52,695.85 259.85 100.00 Bladen 4,514.71 275,000.00 400,146.84 400,146.84 7,223.92 7,223.92 Burke . .. 8,000.00 11,383.16 Rural 11,383.16 *1,450.80 50.96 *53,955.30 *52,762.67 , *1,192.63 8,000.00 174,777.16 174,777.16 Cabarrus _ ... 10,000.00 10,000.00 918.75 918.75 411.17 Rural 411.17 Caldwell 22,894.92 49,009.19 49,009.19 425.05 100.00 Rural 100.00 425.05 22,994.92 2,507.80 26,999 59 Camden..... .. .... 17,000.00 25,664.16 140.00 35,694.46 643.46 35,051.00 100 00 164.00 164.00 27,442.36 Morehead City *442.77 "Overdraft. •(•Transfer. OUTLAY AND DEBT SERVICE FUNDS B. Capital Outlay Fund C. Debt Service Fund 985; Donations Other $t1,169.36 810.00 t2,213.84 234.48 t300.00 t2,500.00 1,507.46 1,507.46 1180.70 4,737.27 430.50 4,306.77 2,392.84 156,766. 45 5,983.40 t73,076.00 t73,076.00 tl ,592,47 t326.07 t1,266. 40 2,226.25 2,226.25 1,773.39 390.68 1,382.71 4,684.13 261.61 4,422.52 986 Ad Valorem Taxes 21,372.28 13,073.63 4,970.00 1,471.75 375.00 1,481.90 5,100.41 24,959.82 17,248.57 3,137.00 4,574.25 2,398.11 13,744.36 10,898.78 2,845.58 15,221.78 553.99 15,063.86 64,531.04 64,531.04 10,294.14 2,767.86 3,738.15 3,788.13 31,831.88 23,776.88 8,055.00 19,948.31 15,586.31 1,362.85 2,999.15 9,968.69 8,514.50 939.42 514.77 Total Receipts, Capital Outlay Fund Balance June 30, 1927 137,309.53 130,659.23 3,087.17 1,706.23 375.00 1,481.90 12,763.41 530.01 25,237.67 3,337.00 17,833.41 2,549 79 2,500.00 60,172.66 52,929.41 7,243.25 56,634.47 66,007.88 259,273.09 1,824,389.40 846,802.36 977,587.04 26,684.99 14,151.02 1,961.28 10,572.69 166,209 91 159,347.54 6,862.37 94,250 86 64,695.50 2,178.58 27,376.78 77,510.87 9,583.57 67,855.30 72.00 163,202 33 171,338.71 11,636.38 f3.500.00 *2,667.31 *3,488.71 18,516.75 14,461.57 *2,417.50 *1, 637. 68 581.36 1,909.64 825.55 825.55 '58,051.52 28,438.11 28,438.11 *1 ,054.00 *1,054.00 49,313.00 54,885.52 *5,572.52 *12,316.11 7,906.86 "20,222.97 3,593.15 *2,392.85 575.00 *2,967.85 991 Temporary Loans $ 167,329.99 164,000.00 f7.075.52 f86 . 17 10,491.68 4,693.18 2,500.00 16,329 66 4,329.66 12,000.00 t581 38 31,693 23 36,000.00 14,306.77 69,508.01 48,636.17 169,781.24 1,061.24 168,720.00 3,500.00 3,500.00 147,500 00 127,500.00 20,000.00 9,672.00 172.00 9,500.00 1,225.00 1,800.00 1575.00 992 Ad Valorem and Other Local $ 1,699.25 fl5,770.72 6,149.49 3,586.17 1,583.20 6,151.11 10,269.46 24,842 64 10,592.64 750.00 13,500.00 2,650 46 100.00 34,624.75 3,353.67 31,271.08 16,723.44 11,652.98 6,024.20 291,814.41 114,589.41 177,225.00 13,419.64 6,698.63 . 2,030.98 4,690.03 8,586.12 2,843.60 5,742.52 32,976.92 2,753.10 30,223.82 5,261.54 990 Ad Valorem Taxes- County $ 58,821.10 46,448.31 6,974.64 2,689.75 2,708.40 1,012.66 5,388.98 17,199.14 15,270.29 693.00 1,235.85 1,899.23 19,438 20 32,983 56 32,983.56 15,745.30 22,748.62 25,540.40 65,879.48 65,879.48 25,053.97 21,256.75 135.00 3,662.22 21,229.99 16,159.99 5,070.00 26,022.03 15,632.35 5,209.33 5,180.35 12,093 55 31,674.85 28,707.00 2,967.85 Total Receipts, Debt Service Fund $ 64,648.01 23,338.88 17,684.99 2,689.75 1,583.20 19,351.19 13,307.99 4,400.27 39,854.69 11,401.36 3,355.16 25,098.17 4,549 69 21,447 84 100,127.09 73,162.78 26,964.31 32,477.43 45,858 09 80,200 77 555,913 24 209,968.24 345,945.00 40,919 61 27,955.38 1,111.98 11,852.25 226,629.11 201,389.11 25,240.00 56,354.84 15,632.35 16,041.29 24,681.20 20,948.24 30,507 00 30,507.00 u Receipts, 1927-1928 Table IV. Receipts for Capital Outlat Balance June 30, 1927 B. Capital Outlay Fund Counties 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property | 983 Rural Libraries 984 Interest on Bank Balances Caswell - $ 190.77 9.02 $ $. $ 335.00 $. $____ 60,000.00 60,000.00 9,784 00 9,784.00 100.00 100.00 9.02 Chatham 20,400.00 43,350.00 43,350.00 5,150.00 227 43 23 78 23.78 100.00 Rural 1,980.99 193.04 1,787.95 312.42 17,827.93 45.00 45.00 50.00 50.00 Clay 21,250.00 42,500.00 42,500.00 61.83 953.36 583.36 320.00 50.00 2,004.73 154.75 154.75 50.00 50.00 50.00 Cleveland 10,000.00 886.38 Rural Shelby . 17,827.93 43,643.30 •750.00 10,000.00 7,576.51 40,000 00 40,000.00 886.38 32,810.21 10,000.00 10,000.00 100.00 100.00 100.00 14 06 750.00 *5,595 96 •3,339.06 •2,256.90 1,390.00 1,802 98 20,882.85 18,812.99 2,069.86 25,500.00 50.00 50.00 250.00 Rural 250.00 25,500.00 222.50 100 00 100 00 100.00 100.00 50.18 2,975 00 42,900.00 42,900.00 242,615.31 69,890.31 86,000,00 86,725.00 12 20 Rural Lexington 12.20 234.00 234.00 Davie •318.01 863.00 •1,181.01 Duplin 71,857.72 37,825.00 37,825.00 186,313.00 1,074,578.95 70,018.95 1,004,560.00 1,773.06 54,925 01 53,309.00 1,616.01 300.00 50 00 50.00 Durham.. ... •47,403.92 •70,022.00 22,618.08 14,339.17 Rural Durham 401.42 13,937.75 •Overdraft. tTransfer. Receipts, 1927-1928 45 and Debt Service Funds—Continued B. Capital Outlay Fund 985 Donations and Other 79 47 t2.475.20 354 . 18 f2.829.38 T312.42 235.00 235.00 11,046.68 1,200.75 1,200.75 309 73 309 . 73 986 Ad Valorem Taxes 4,235 70 |1,740 00 2,100.00 f3,840.00 1,181 01 1,181.01 1,758 69 3,321 07 2,281.79 1,039.28 9,769.15 63,886.82 62,876.50 507.72 502.60 1,581.24 7,844 42 6,023.50 635.58 1,185.34 3,936 79 234.60 3,702.19 18,275.91 11,876.28 5,663.20 736.43 19,405.93 25,380 81 18,001.90 7,378.91 38,368.66 17,709.20 20,(559.46 700 00 Total Receipts, Capital Outlay Fund 18,077.61 7,568.62 6,668.99 3,840.00 1,348.12 779.76 568.36 20,745.01 133,580.72 56,975.70 76,605.02 $ 10,374 39 133,779.84 132,760.50 516.74 502.60 27,458.67 51,218 20 49,397.28 635.58 1,185.34 3,537.58 876.82 2,660.76 21,361 83 90,728.58 55,009.64 5,983.20 29,735.74 116,601 42 76,086 31 69,457.40 6,628.91 58,882 43 14,979.87 43,902.56 2,462 68 9,113 68 322,847.97 139,271.92 96,838.85 86,737.20 2,445.12 1,876.76 568.36 282,747.48 1,271,216.00 150,839.86 1,120,376.14 C. Debt Service Fund Balance June 30, 1927 $ *3,508.16 9,798 65 18,114.00 1,684.65 •11,214.15 4,500 00 4.500.00 676 55 *66.05 742.60 43,662.54 18,069.56 62.70 25,530.28 7,615.48 260.12 260.12 24,903.63 "10,096.37 35,000.00 176 71 *35 00 •11,161.79 8,200.89 Temporary Loans *19,362.68 68.56 336.85 *268.29 113,352.99 3,965.67 17,606.06 •13,640.39 17,186 00 7,186.00 10,000.00 15,311.81 1,265 20 1,265.20 10,000.00 10,000.00 f24,076.00 1,516.98 t62.70 t25,530.28 1,247.06 145,490 63 145,000.00 490.63 992 Ad Valorem and Other Local $ 3,508 16 30,086 16 11,873.41 10,247.15 7,965.60 12,998 69 3,716 70 12,000 00 35.00 8,032.77 8,032.77 26,800.00 196,495 82 196,495.82 $ 13,017 47 17,539 55 13,091.99 2,723.76 1,723.80 4,413 90 7,795 00 7,795.00 194.82 3,521.88 6,895.83 2,433.38 4,462.45 16,372 43 6,372.43 10,000.00 6,923 07 4,394.75 2,528.32 50,248 27 29,939.10 20,309.17 Ad Valorem Taxes — County 64,640 25 35,000.70 29,639.55 10,771 43 6,887.37 3,884.06 t83,608.19 68,761.68 8,409.48 60,352.20 4,393.87 2,945.01 1,448.86 8,032 72 13,893.97 12,097.97 1,796.00 29,919 84 51,192 76 41,738.38 9,454.38 36,437.52 27,802.32 8,635.20 13,064.57 3,463.95 28,677.33 21,990.61 3,686.80 2,999.92 14,333 60 10,102.04 4,231.56 44,096.64 91,569 75 57,369.75 34,200.00 Total Receipts, Debt Service Fund $ 13,017 47 34.610 36 24,965.40 38,270.91 21,374.05 21,513 25 17,276 90 9,060.20 4,694.82 3,521.88 21,966.25 15,312.34 6,653.91 8,032.72 49,852.49 38,056.49 11,796.00 38,782.38 203,866 58 191,393.25 12,473 33 111,589.42 47,645.05 63,944.37 25,241 28 3,463.95 90,188 56 30,191.50 38,687.50 21,309.56 25,173.59 17,326.26 7,847.33 100,641 44 360,792.92 279,881.11 80.911.81 16 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Not 3s 982 Sale of School Property 983 Rural Libraries - 984 Interest on Bank Balances $ 619.23 619.23 $ 44,000.00 44,000.00 $ $ 258.71 258.71 $ 150.00 150.00 $ Tarboro 7,870.83 1,625.00 6,245.83 150 00 150.00 1,120.62 1,917.56 *894 . 18 97.24 M7.498.55 *2,093.77 *3, 184.83 *2, 105.62 40,114.33 1,070 66 *7,770.98 *92.64 73,550.00 53,550.00 10,000.00 10,000.00 29,000.00 19,000.00 10,000.00 450.00 100.00 100.00 500.00 500.00 450.00 Gaston.. 7,500.00 1,073.20 1,073.20 100.00 100.00 720 00 7,500.00 720.00 12,025.00 37,546 39 1,524,01 57.20 1,678.09 1,621.00 57.09 525 00 9,868 85 8,921.32 947.53 150.00 100.00 100.00 Oxford *92.64 n, i4t.ei "320,549 74 45,336.46 42,500 00 42,500.00 Guilford 2,233,350 02 463,685.42 1,326,765.00 442,899.60 50,000.0C 50,000.00 250.00 250.00 8,919 92 8,040.00 High Point Halifax *320,549.74 11,918.15 879.92 52,500.00 52,500.00 200 00 Enfield 11,918.15 200.00 Weldon 1,203.04 *5,142.88 *2,898.50 2,244.38 2,506.79 2,486.39 20.40 76,500 00 38,250.00 38,250.00 25,000.00 1,312.75 2,634.44 1,100.06 1,534.38 66,458 83 66,458.83 250.00 100 00 100.00 11,480.80 24.22 Rural 24.22 58,037.32 58,037.32 185,000.00 185,000.00 300.00 300.00 Hendersonville •Overdraft tTransfer. Receipts, 1927-1928 47 and Debt Service Funds—Continued B. Capital Outlay Fund Donations and Other Ad Valorem Taxes Total Receipts, Capital Outlay Fund C. Debt Service Fund Balance June 30, 1927 991 Temporary Loans 992 Ad Valorem and Other Local 990 Ad Valorem Taxes — County Total Receipts , Debt Service Fund $ 2,180 55 2,180.55 1350.93 624.07 t975.00 4,012.26 2,312.26 1,700.00 1,700 00 t9,438.29 345.19 354.19 1,426.61 1,650.00 1,250.00 400.00 3,385.25 2,700.00 536.00 $ 11,887.51 8,763.57 3,123.94 52,365.72 30,382.47 21,983.25 10,163.12 7,096.94 2,091.18 975.00 20,337.45 9,823.08 6,378.39 2,932.36 1,203.62 7,518 45 6,676.70 4,529.40 3,839.12 690.28 20,464.91 102,949.94 10,646.73 44,017.80 48,285.41 15,714 64 7,400.82 149.25 113.98 928.87 928.87 f2.486.39 12,486.39 3,721.04 | 59,096.00 55,972.06 3,123.94 60,386 55 32,157.47 28,229.08 85,532.81 63,788.57 11,647.00 10,097.24 15,244.36 30,214.77 22,393.56 826.74 38,190.71 21,846.80 27,071.02 6,560.04 5,905.31 654.73 66,611.37 2,078,938.99 526,003.47 1,381,020.33 171,915.19 133,718 04 112,600.82 12,454.15 3,921.04 4,592.78 14,944 42 8,183.18 6,411.81 1,771.37 7,994.09 1,837.79 6,156.30 4,742.03 117,843 39 44,977.83 43,916.46 1,061.37 317,810 64 311,633.94 6,176.70 $ 8,483.35 8,483.35 10,642 73 1,251.45 11,894.18 "1 2, 455 94 *8, 250.94 '4,205.00 *5,302.22 26,516.96 *26,500.00 *16.96 25,138 83 410,535.41 180,730.50 65,645.09 295,450.00 14,011.44 4,464.07 9,697.84 150.47 7,560.06 56,169.16 56,224.16 55.00 $ 18,624 53 6,548.28 12,076.25 209,336 25 33,000.00 20,000.00 13,000.00 106,543.45 500.00 106,043.45 82,015.48 27,898.90 27,898.90 t25,138.83 t342,899.60 f342,899.60 29,645.00 6,895.00 22,750.00 97,519 22 51,906.62 51,906.62 145,046 25 145,046.25 $ 34,398.74 29,418.04 4,980.70 43,865.95 43,865.95 209,336.25 16,613.78 4,736.45 11,877.33 171,793.11 72,235.47 9,383.76 5,222.25 84,951.63 8,158.62 11,342.59 11,305.00 37.59 187,214 79 107,513.29 79,701.50 97,105.59 10,304.43 7,822.33 61,232.81 8,477.54 9,268.48 17,364.62 f24,242 70 135,119.72 10,877.02 9,000 00 42,590.66 33,896.86 4,791.80 3,902.00 38,186.07 34,662.73 2,383.34 1,140.00 22,546 43 8,716.80 52,634.76 41,284.76 11,350.00 24,975.00 276,400.92 167,981.28 60,970.04 47,449.60 15,506.72 15,506.72 9,000.00 78,368 09 7,209.98 4,815.25 2,394.73 22,512 06 18,212.46 4,299.60 $ 61,506.62 44,449.67 17,056.95 253,202.20 43,865.95 209,336.25 102,847.17 57,381.86 16,685.98 28,779.33 304,066.69 106,898.20 3,516.16 2,657.25 190,995.08 107,418.31 8,716.80 65,359.29 53,988.66 11,370.63 24,975.00 531,251.52 348,711.78 102,838.24 79,701.50 128,245 87 25,811.15 10,253.26 51,534.97 31,378.01 9,268.48. 176,082 75 91,043 06 77,826.31 13,216.75 176,558.31 163,258.71 13,299.60 48 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30. 1927 980 State Loans 981 Sale of Bonds and Note.s 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Hertford . . - . $ % 56,100 00 31,000 00 6,000 00 55,000.00 55,000.00 $ 200 00 11,962 85 $ 431.70 $ 100 00 50 00 150 00 378 37 37S.37 $ Hoke Hyde *1 ,831 89 358.55 202 . 80 155.75 Iredell 853 00 853.00 27,709 24 278 50 4,652 86 4,652.86 100 00 Johnston. .. 873 72 *137.61 1,011.33 2,693.69 11,187.72 11,187.72 153,933 02 Rural . 153,933.02 Jones 35 00 107.15 Rural... 107.15 Lenoir 1,916 21 100.00 1,816.21 3,557 32 3,557.32 83,950 00 68,950.00 15,000.00 25,500.00 25,500.00 51,046.00 51,046.00 976 00 976.00 200 00 200.00 125.01 Rural 125.01 Lincoln 2,095 00 Rural 2,095.00 Macon 15,705 67 •19,678.55 4,049 44 34,478 21 34,478.21 70 00 491 00 2,351 00 1,568 50 1,568.50 50 00 100 00 100 00 23,757.90 50,183 05 130,826 00 130,826.00 Martin.. 55,500.00 29,750.00 29,750.00 McDowell 543.30 Rural - 543.30 2,235.11 4,034.13 72,800.00 72,800.00 5,273 44 5,273.44 175 00 Rural 175.00 1,799.02 Mitchell 582 75 50 00 Montgomery 3,000 00 15,500 00 82,010 55 514.21 •Overdraft. tTranefer. Receipts, 1 927-] 928 4!) and Debt Service Funds—Continued B. Capital Outlay Fund 985 Donations and Other $ 1,01761 2,131.89 1,892.31 1,569.25 323.06 480 34 480.34 2,932 31 2,850 00 2,850.00 4,207.60 4,207.60 15,705.67 1,627.43 4,785 92 3,008.02 1,777.90 1,340 00 936 Ad Valorem Taxes $ 7,597 43 130.48 6,050 38 24,231.22 8,903.99 1,831.13 13,436.10 740 00 32,136 49 32,136.49 3,040 61 2,029.01 1,011.60 9,498 44 5,383.42 4,115.02 4,863 79 2,319.80 2,543.99 4,359.22 1T.067 00 13,657.16 41,850.27 40,236.85 1,613.42 383,208.50 33,794.30 347,532.90 1,881.30 7,799.59 13,000.00 Total Receipts, Capital Outlay Fund 65,446.74 43,143.33 12,500 38 82,713 45 66,967.41 2,309.94 13,436 10 28,827 74 192,076.43 191,065.10 1,011.33 5,666 00 17,185 48 16,173.88 1,011.60 151,919 26 130,863.02 21,056.24 36,016.11 33,472.12 2,543.99 4,479.22 15,737.35 127,468.08 170,059 86 168,446.44 1,613.42 468,477.97 119,084.89 349,310.80 82.28 8,432 34 99,364 76 C. Debt Service Fund Balance June 30, 1927 $ 9,227 13 13,468 72 1,979 38 10,000.00 10,000.00 74.74 70,240.54 63,167.04 7,073.50 34,963 39 15,000.00 15,000.00 92 10 92.10 56.47 56.47 6,761.94 22,231.14 *1,923 39 20,135.61 16,390.69 3,744.92 4, 798. 55 '4,798.55 991 Temporary Loans 6,000 00 3,683 55 125,836 71 t25,836.71 134,963 39 201,400.00 82,000.00 119,400.00 15,000 00 15,000.00 70,000.00 5,610.00 495,932 10 490,000.00 5,932.10 992 Ad Valorem and Other Local $ 14,555.70 37 07 42,765.45 862.32 7,130.39 34,772.74 24,498.86 10,483.10 14,015.76 15,780.78 7,977.48 5,909.42 2,068.06 40,267.36 2,496.99 37,770.37 8,497 83 7,857.43 640.40 122,231.14 27,162 31 17,482.31 9,680.00 166,972.49 44,33S.88 120,966.66 1,666.95 1,050 00 7,878.87 990 Ad Valorem Taxes — County $ 5,711 70 24,589 03 9,132.08 41,481 29 28,313.59 5,529.65 7,638.05 24,925.96 64,007 58 64,007.58 16,096.11 5,977.51 10,118.60 59,344.76 38,551.88 20,792.88 19,640 49 17,673.38 1,967.11 23,436.02 23,906 47 29,985.66 19,417.75 15,086.95 4,330.80 106,532 97 106,368.47 164.50 15,353 72 42,369.50 Total Receipts, Debt Service Fund $ 29,494.53 44,057.75 14,832 08 94,246 74 29,175.91 22,660.04 42,410.79 25,000 70 132,910 27 111,821.01 21,089.26 15,780 78 39,073 59 26,886.93 12,186.66 301,104.22 123,140.97 177,963.25 43,194 79 25,530.81 17,663.98 16,674.08 93,906.47 33,672 27 66,715.67 48,959.95 17,755 72 764,639 01 640,707.35 120,966.66 2,965.00 16,403.72 50,248.37 50 Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Moore . . ... $ 35,428.51 33,982.20 $ 50,212.62 50,212.62 $ $ $ $ 46.31 Southern Pines. _ _ 1,400.00 S Nash 98,107.67 *10,113. 68 108,003.78 217.57 25,500.00 25,500.00 21,021.90 4,830.00 2,700.00 2,130.00 200.00 200.00 3,466 55 Rural 21,021.90 3,466 55 New Hanover 73,750 00 55,498.00 1,220 87 1,751.35 1,365.00 1,365.00 200.00 100.00 150.00 150.00 Onslow *1 7, 280 39 4,146.64 4,146.64 260.33 9.16 9 16 Chapel Hill *523 75 *34,827.82 41,798.30 6,970.48 5,395.48 20 46 400 00 400.00 185.00 1,074 71 1,074.71 310.29 310.29 Elizabeth City ... Pender.. 7,654.86 t8,607 78 2,493.25 715.45 Perquimans Person 21,250 00 Rural 21,250.00 Pitt 39,738 33 39,738.33 87,875.00 87,875.00 100,000 00 26,654.50 654.50 150.00 150.00 537.22 537 22 100,000.00 26,000.00 400.00 400.00 Polk 1,138.41 1,138.41 150.00 150.00 Tryon *32,775.23 *33,751.74 976.51 47,010.93 47,010.93 Asheboro. Overdraft. ^Transfer. Receipts, 1927-1928 51 and Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund Donations and Other 36.17 82.48 t46.31 2,200.00 2,200.00 605.00 1,680.50 160.00 135.00 25.00 42,235 71 42,235.71 4,036.33 266.57 241.57 25.00 900.00 900.00 Ad Valorem Taxes 17,059.19 9,490.88 953.04 3,600.09 2,570.58 435.60 19,024.98 9,856.50 7,886.97 1,281.51 10,980.60 10,980.60 13,860.89 43,282.27 5,769.12 5,210.27 558.85 1,354.26 14,796.30 11,105.59 3,690.71 6,428.50 1,479.90 3,181.78 1,698.94 1,482.84 25,948.34 22,397.18 3,551.16 5,817.93 5,742.93 75.00 7,809.62 5,740.75 2,068.87 Total Receipts, Capital Outlay Fund Balance June 30, 1927 102,736.49 93,685.70 1,035.52 3,609.09 3,970.58 435.60 174,351.10 30,342.82 142,509.20 1,499.08 10,980.60 10,980.60 $ 16,133.77 14,940.38 1,174.73 18.66 64,621.39 59,007.30 5,614.09 ,134.76 ,794.06 ,599.92 ,016.07 583.85 1,015.51 589 19 928.00 661 . 19 116.09 500.36 24,831.78 23,348.94 1,482.84 281,169.96 151,593.80 3,576.16 126,000.00 8,406.34 8,331.34 75.00 22,045.32 18,999.94 3.045.38 10,139.98 1,236.19 28,315.34 28,315.34 725.63 "28,065.75 '14,065.75 "14,000.00 13,722.20 1,724.90 1,724.90 3,150.42 3,150.42 23,265.90 21,857.26 1,408.64 991 Temporary Loans 18,587.27 25,000.00 tl4,940.38 46.31 8,500.00 tl8.66 90,168.82 90,168.82 12,350.00 12,350.00 3,446.40 41,475.00 6,231.18 6,231.18 36,990.00 11,990.00 25,000.00 3,150.62 42,000.00 42,000.00 t7,563.20 t7,563.20 992 Ad Valorem and Other Local 61,407.25 23,428.27 11,614.40 8,034.29 12,895.15 5,435.14 76,171.07 39,421.87 33,223.50 3,525.70 4,529.51 6,309.78 21,794.98 16,160.88 5,634.10 106.11 58,228.62 6,065.29 52,163.33 23,260.96 2,301.25 15,116.51 7,616.51 7,500.00 64,230.02 37,144.94 4,083.78 23,001.30 14,958.75 1,503.75 13,455.00 16,625.91 10,000.00 6,625.91 990 Ad Valorem Taxes — County $ 13,346.92 12,543.49 525.95 105.56 125.72 46.20 7,543.17 2,016.00 5,300.37 226.80 80,782.11 27,596.55 53,185.56 27,721.79 14,170.74 7,862.45 5,817.47 2,044.98 13,145.60 19,106 05 19,106.05 6,339.63 9,002.54 17,121 17 14,914.92 2,206.25 23,619.24 23,619.24 24,332.88 21,499.50 2,833.38 Total Receipts. Debt Service Fund $ 109,475 21 60,971.76 12,140.35 9,360.89 21,520.87 5,481.34 238,504.45 190,613.99 38,523.87 9,366.59 93,132.11 39,946.55 53,185.56 45,837.68 63,191.71 64,203.95 56,524.87 7,679.08 13,977.34 86,258.92 23,095.59 63,163.33 46,473.41 11,303.79 30,512 78 20,806.53 9,706.25 109,380.44 37,144.94 4,083.78 68,151.72 38,577.99 25,122.99 13,455.00 56,661.49 45,793.56 10,867.93 OZ Receipts, 1927-1928 Table IV. Receipts for Capital Outlay B. Capital Outlay Fund Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notes 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances Richmond ... $ 3,229.78 5,618.75 $ $ _•__.. $ 2,271.84 1,710.90 $ $. Hamlet- . . . . - 2,388.97 437 09 560.94 5,828.55 5,828.55 98,750.00 98,750.00 461.92 24.83 15,585.49 15,928.89 37.35 306.05 6,376.86 200.85 Rockingham . _. 38,250.00 38,250.00 15,828.89 15,828.89 1,599 49 1,599.49 100.00 100.00 Rowan 63,250.00 63,250.00 177,212.49 170,206.47 2,560.00 2,560.00 East Spencer .. .. 6,177.10 1.09 7,006.02 51,070.52 26,775.00 26,775.00 200.00 7,067.50 7,067.50 100.00 16,261.61 16,261.61 44,036 99 44,036.99 Scotland... _ . . 100.00 100.00 Stanly 72,623.26 73,301.90 678.64 42,500 00 42,500.00 72,041.98 72,041.98 4,804.00 2,804.00 2,000.00 50.00 9,316 94 8,441.94 875.00 200.00 Rural... 200.00 Stokes 49,204.22 53,379.45 53,379.45 21,866.94 21,866.94 200.00 200.00 Elkin 6,555.93 12,089.11 4,656.68 3,497.26 3,497.26 50 00 72,250.00 72,250.00 91,722.09 88,722.09 3,000.00 1,476.60 Rural 1,476.60 Monroe Overdraft. fTransfer. Receipts, 1927-1928 and Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund 985 Donations and Other $ t5,468.75 t5,468.75 1,797.17 1,400.00 52.50 344.67 1,819.00 1,819.00 728.77 103.00 685.00 Ad Valorem Taxes 1882.26 tl,516.98 634.72 245.87 11.50 11.50 6,555.93 4,189.34 901.00 901.00 11,316 11 6,427.18 2.076.14 2,812.79 42,628.88 40,320.26 1,293.97 1,014.65 12,966.60 11,211.27 595.00 1,160.33 1,330.87 334.01 18,862.38 13,339.00 11,655.08 1,683.92 2,453.84 1,560.96 125.71 767.17 12,960.79 11,980.79 980.00 7,108.25 5,977.13 5,160.59 178.04 500.00 138.50 9,736.71 28,538.21 2,108.94 23,267.32 20,420.68 2,846.64 Total Receipts, Capital Outlay Fund $ 11,348.98 8,288.08 2,076.14 984.76 149,441.69 146,298.81 1,808.39 1,334.49 54,978.49 51,060.76 632.35 3,285.38 237,976.50 235,815.62 996.86 828.92 335.10 70,961.67 108,268 10 105,899.18 2,368.92 2,553.84 1,660.96 125.71 767.17 59,001.25 54,707.89 4,293.36 56,608.34 90,751.96 89,048.92 1,053.04 500.00 150.00 9,736.71 40,627.32 1,691.60 193,114.27 187,267.63 5,846.64 Balance June 30, 1927 4,266.15 991 Temporary Loans 4,266.15 3,306.48 125.23 3,181.25 40,297.46 28,655.34 11,642.12 139,966.73 28,026.10 28,026.10 72,041 98 72,041.98 -141.71 '1,456.03 *1,456.03 *2,859.57 25,452.91 '12,140.96 25,536.55 25,536.55 4,500.00 62,500.00 500.00 62,000.00 255,012.03 225,452.25 29,559.78 1,516 98 1,516.98 141.71 2,859.57 3,451.56 12,380.76 263.45 t25,536.55 25,800.00 992 Ad Valorem and Other Local $ 33,169.01 9,272.39 15,036.62 8,860.00 51,798.77 35,752.24 4,782.50 11,264.03 31,373.72 3,200.00 28,173.72 33,631.82 21,050.44 5,240.00 7,341.38 990 Ad Valorem Taxes — County $ 16,458 00 16,458.00 8,264.93 8,264.93 115,224.96 3,506.23 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 j68,858 25 169,198.25 340.00 11,168.03 3,440.00 700.00 7,028.03 t25.452.91 t 253.64 20,635.44 7,580.49 13,054.95 60,016.34 47,613.74 1,993.00 10,409.60 48,000 00 48,000.00 71,833.10 29,567.84 29,567.84 24,175.72 21,957.00 2,218.72 11,847.00 21,946.12 20,053.12 1,273.00 620.00 14,272.28 14,938.12 6,192.00 14,472.95 14.472.95 Total Receipts, Debt Service Fund $ 49,627.01 25,730.39 15,036.62 8,860.00 68,829.85 44,017.17 9,282.50 15,530.18 157,196.54 47,613.74 5,818.23 103,764.57 376,941.31 323,158.03 5,240.00 48,543.28 47,091.33 61,100.17 57,593.94 3,506.23 25,996.14 11,596.75 3,875.01 10,524.38 28,876.43 26,317.71 2,558.72 11,847.00 31,658.12 20,053.12 4,713.00 1,320.00 5,572.00 14,272.28 18,389.68 6,178.16 60,908.39 22,053.44 38,854.95 54 Receipts, 1927-1928 TABLE IV. Re :bipts for Ca pital Outlay B. Capital Outlay *"und Counties Balance June 30, 1927 980 State Loans 981 Sale of Bonds and Notts 982 Sale of School Property 983 Rural Libraries 984 Interest on Bank Balances $ 6,532.55 6,532.55 $ $ $ 405.00 405.00 $ 125.00 125.00 $ Wake 35,993.00 877.13 35,115.87 74,252.47 74,252.47 460,000.00 440,000.00 20,000.00 6,972.54 6,292.72 679.82 150.00 150.00 702.70 702 70 14,919.93 20,777.13 1,361.00 149.91 149.91 200.00 Watauga 3,296.12 1,219.71 43,913.60 18,000.00 18,000.00 30,000.00 30,000.00 12,014.88 11,275.00 200.00 200.00 1,219.71 10.00 729.88 Wilkes 34,147.57 34,147.57 5,257.99 5,257.99 209.75 209.75 100.00 100.00 1,160 05 1,160.05 Wilson 189.56 31,450.00 15,056.78 2,134 00 1,033 40 1,033.40 Elm City _' 182.45 2,134.00 7.11 911.49 911.49 16,393.22 Yadkin 1,625.46 1,625.46 250.00 250.00 *9,817.44 7,901.94 1,915.50 100.00 North Carolina $1,145,796.91 292,824.45 852,972.46 $2,774,285 88 2,670,392.76 103,893.22 $6,586,045.33 3,459,983.81 3,126.061.52 $330,681.60 251,145.97 79,535.63 $ 9,400.94 9,400.94 $ t9,385.13 t38,143.44 Charter 28,758.31 *Overdraft. fTransfer Receipts, 1927-1928 \nd Debt Service Funds—Continued B. Capital Outlay Fund C. Debt Service Fund 985 Donations and Other 986 Ad Valorem Taxes Total Receipts, Capital Outlay Fund Balance June 30, 1927 991 Temporary Loans 992 Ad Valorem and Other Local 990 Ad Valorem Taxes — County Total Receipts, Debt Service Fund $ 360.00 360 00 $ $ 7,422.55 7,422.55 $ 16,592.57 16,592.57 $ $ $ 23,742.75 2,837.52 20,905.23 36,267.24 35,703.24 $ 40,335.32 19,430.09 20,905.23 10,772.65 10,772.65 88,766.17 51,748.31 33,267.63 3,750.23 677,609.53 584,093.28 89,766.02 3,750.23 9,870.34 1,462 81 937.87 524.94 47,337.71 80,342.36 61,325.00 12,784.15 *1,353.55 14,137.70 69,800.00 65,000.00 3,800.00 1,000.00 911.40 140,000.00 140,000.00 117,782.72 7,769.18 105,506.54 4,507.00 21,902.90 18,579.76 7,956.99 10,622.77 236,634.11 107,118.87 123,444.24 564.00 132,404.45 23,386.70 23,386.70 6,071.00 2,452.14 32,404.45 5,327.55 2,609.43 2,718.12 13,025.05 *2,199.57 *2, 190.32 *9.25 22,814.30 1,312.90 787.96 524.94 187,294.01 173,953.12 13,340.89 127.99 t13,025.05 54,690.32 2,190.32 3,424.11 24,746.75 24,746.75 3,424.11 1,252.70 850.00 17,655.07 1,000.00 109,244 63 13,999.25 9.25 9,002.73 72,004.42 14,228.98 9,040.99 3,008.70 6,032.29 112,503.15 121,180.52 186,482.13 38,746.00 5,386.47 11,208.30 6,284.36 3,519.56 2,764.80 4,601.53 467.79 604.03 385.95 55.75 3,088.01 1,752.10 1,594.60 157.50 5,025.31 6,616.18 12,340.88 35,461.60 32,696.80 2,764.80 40,536.23 16,557.97 3,578.48 385.95 55.75 19,958.08 4,720.35 4,381.55 338.80 5,125.31 9,002.73 402 70 44,500.00 8,000.00 3,500.00 116,504.42 22,228.98 t11 ,698.12 20,674 09 19,005.93 1,668.16 130,764.94 129,195.70 33,215.08 til, 698. 12 22,014.63 3,500.00 16,900.00 11,200.45 1,127.74 16,694.86 276,862.95 250,376.22 658.00 322.63 t9,000.00 6,212.20 6,118.52 93.68 322.63 469.74 181.30 16,694.86 2,609.15 2,609.15 16,900.00 485.00 1,569.24 8,351.88 7,949.28 402.60 9,936.55 26,164.10 17,658.23 16,676.95 181 30 485.00 t42,537.88 981.28 50,037.88 17,436.55 $ 16,380.67 1,057.40 15,323.27 $1,926,825.96 1,129,109.17 797,716.79 $12,780,032.26 7,775,771.06 5,004,261.20 $981,431.93 651,480.18 329,951.75 $2,844,123.39 2,419,584.09 424,539.30 $2,677,001.68 820,861.18 1,856,140.50 $2,813,386.02 2,403,531.63 409,854.39 $9,315,943.02 6,295,457.08 3,020,485.94 TABLE V. SUMMARY OF Counties Alamance '__'. Rural Burlington Graham Haw River Mebane Alexander Alleghany Anson Rural Morven Wadcsboro Ashe Avery Beaufort « Rural Washington Bertie Bladen Brunswick Buncombe r Rural Asheville Burke Rural Glen Alpine. ._ Morganton Cabarrus Rural Concord Caldwell Rural Granite Falls.. Lenoir Camden Carteret Rural Beaufort Morehead City A. Current Expense Fund 61 General Control 28,806 09 8,759.91 9,713.69 4,574.05 2,270.20 3,488.24 5,493 72 2,123.62 12,426.50 7,550.81 294.27 4,581.42 4,917.45 4,780.80 14,377.83 8,698.33 5,679.50 9,248.72 6,092.79 6,535.86 54,039.30 32,187.80 21,851.50 15,694.95 6,412.43 3,321 27 5,961.25 17,737 01 11,547.99 6,189.02 16,691 27 7,998.50 2,856.79 5,835.98 2,834.59 14,593.83 6,456.28 3,721.06 4,416.49 62 Instructional Service 284,280.07 148,497.91 82,305.65 20,764.84 11,033.26 21,678.41 90,681 55 38,673.83 165,105 09 111,910.28 14,549.69 38,645.12 109,081 84 77,862.59 215,485.84 152,862.56 62,623.28 143,005 52 113,455 09 67,929 24 1,032,135.60 453,400.85 578,734.75 145,095 21 78,430.03 13,414.48 53,250.70 232,217 95 133,178.06 99,039.89 158,634 55 94,527.27 18,603.00 45,504.28 34,572.45 122,911.83 68,059.78 26,511.23 28,340.82 63 Operation of Plant 21,731 09 7,898.20 8,671.58 2,424.49 1,145.01 1,591.81 6,510 72 212 15 11,518 32 6,847.74 1,242.37 3,428.21 3,107.72 4,351.14 14,221.75 7,698.40 6,523.35 10,258 22 5,343 91 4,946 06 101,396 29 58,440.98 42,955.31 11,675.98 4,072.94 1,426.48 6,176.56 12,601 63 6,657.01 5,944.62 14,917.29 7,236.89 1,403.61 6,276.79 4,054.57 10,962.85 5,165.23 3,489.59 2,308.03 64 Maintenance of Plant 10,304 31 5,014.91 1,893.01 903.89 1,246.91 1,245.59 2,012 93 2,956 76 4,346.50 2,755.06 968.62 622.82 1,732 10 3,999 62 9,068.50 6,788.93 2,279.57 4,850.36 4,922.69 998.10 52,845.88 34,138.44 18,707.44 5,167.65 3,001.50 689.19 1,476.96 7,912.20 6,033.81 1,878.39 3,886.44 3,374.09 250.21 262.14 1,302.48 5,341.60 2,602.99 1,026.87 1,711.74 Fixed Charges 5,873.68 2,985.21 1,568.61 649.50 670.36 1,029.26 1,136.00 2,630.50 1,980.30 573 . 70 76.50 75.00 382.11 8,138.21 7,840.01 298.20 1,729.46 3,297.60 1,173.75 16,449.19 13,381.92 3,067.27 3,256.19 1,515.50 37.45 1,703.24 5,496.80 3,340.80 2,156.00 1,910.30 957.64 411.80 540.86 6.00 2,629.48 1,981.27 368.41 279.80 Auxiliary Agencies $ 186,039.00 169,721.44 15,040.68 1,201.60 75.28 62,573.06 20,107 67 19,269.95 837.72 4,703 00 8,439.49 16,130.33 15,652.05 478.28 28,836 88 26,932.36 12,351.52 1,096,352 58 1,093,275.33 3,077.25 28,823.10 19,466.35 2,485.54 6,871.21 7,885.15 7,885.15 4,769.65 4,769.65 7,172.53 14,597.39 11,926.79 1,471.02 1,199.68 57 EXPEND 1TURES BY FUN.DS B. Capital Outlay Fund 68 C. Debt Service Fund 69 Total Expenditures (A,B,C) Net C. E. Expenditures A less 668 Net C. 0. Expenditures B less 687 Net A. and B. Expenditures WandC Total Current Expense Fund Net A. and B Expenditures Colored $ 537,034 24 $ 71,789.21 $ 61,532 01 $ 670,355.46 $ 374,034.24 $ 69,789 21 $ 443,823.45 $ 43,448 04 342,877.58 67,547.54 30,830.62 441,255.74 192,877.58 65,547 54 258,425.12 29,040.24 119,193.22 2,856.56 9,918.76 131,968.54 106,193.22 2,856.56 109,049.78 6,496.69 30,518.37 1,010.11 2,689.75 34,218.23 30,518.37 1,010.11 31,528.48 4,420.26 15,770.66 375.00 1,583.20 17,728.86 15,770.66 375.00 16,145.66 727.62 28,674.41 16,509.68 45,184.09 28,674.41 28,674.41 2,763.23 168,301.24 13,118.89 13,473.58 194,893.71 111,801.24 13,118.89 124,920 13 4,690 65 45,102.36 150.00 4,400.27 49,652.63 45,102.36 150 00 45,252.36 845.70 216,134 58 29,701.13 38,051.53 283,887.24 216,134.58 29,701.13 245,835.71 59,716.95 150,314.14 21,909.60 9,927.25 182,150.99 150,314.14 21,909.60 172,223.74 44,059.58 18,466.37 3,267.30 3,407.50 25,141.17 18,466.37 3,267.30 21,733.67 5,243.52' 47,354.07 4,524.23 24,716.78 76,595.08 47,354.07 4,524.23 51,878.30 10,413.85 123,617.11 1,347.69 4,578.59 129,543.39 123,617.11 1,347.69 124,964 80 2,948 22 99,815.75 1,235.00 19,347.84 120,398.59 99,815.75 1,235.00 101,050.75 1,888 63 277,422.46 21,465.27 94,428.16 393,315 89 277,422.46 21,465.27 298,887.73 52,857 44 199,540.28 19,244.18 72,337.23 291,121.69 199,540.28 19,244.18 218,784.46 35,818.88 77,882.18 2,221.09 22,090.93 102,194.20 77,882.18 2,221.09 80,103.27 17,038.56 197,929.15 33,394.20 40,195.64 271,518.99 182,929.15 33,394.20 216,323.35 58,988.63 160,044.44 39,229.14 45,768.09 245,041.67 160,044 44 39,229.14 199,273 58 51,530.21 93,934.53 253,841.59 76,310.18 424,086.30 93,934.53 234,252.87 328,187.40 39,904 00 2,353,218.84 1,557,460.41 376,995.88 4,287,675.13 1,353,218 84 1,557,460.41 2,910,679.25 138,653.68 1,684,825.32 810,181.14 183,102.62 2,678,109.08 684,825.32 810,181.14 1,495,006.46 49,856.37 668.393.52 747,279.27 193,893.26 1,609,566.05 668,393.52 747,279.27 1,415,672.79 88,797.31 209,713 08 16,680 58 40,359.45 266,753 11 197,213 08 8,692.88 205,905.96 14,265.88 112,898.75 4,151.02 27,955.38 145,005.15 105,898.75 4,151.02 110,049.77 6,631.52 21,374.41 1,961.28 582.00 23,917.69 21,374.41 1,961.28 23,335.69 75,439.92 10,568.28 11,822.07 97,830.27 69,939.92 2,580.58 72,520.50 7,634.36 283,850 74 156; 630. 85 229,730.54 670,212.13 283,850.74 156,630 85 440,481.59 39,111.95 168,642.82 155,730.85 204,490.54 528,864.21 168,642.82 155,730.85 324,373.67 28,419.06 115,207.92 900.00 25,240.00 141,347.92 115,207.92 900.00 116,107.92 10,692.89 200,809.50 91,440.21 52,053.77 344,303.48 200,809 50 91,440.21 292,249.71 11,528 66 118,864.04 64,155.98 16,475.48 199,495.50 118,864.04 64,155.98 183,020.02 5,359.90 23,525.41 2,178.58 9,303.97 35,007.96 23,525.41 2,178.58 25,703.99 1,573.59 58,420.05 25,105.65 26,274.32 109,800.02 58,420.05 25,105.65 83,525.70 4,595.17 49,942.62 44,929.73 15,882.30 110,754.65 49,942.62 44,929.73 94,872.35 7,697.00 171,036.98 82,649 17 64,464.32 318,150.47 169,936.98 82,649.17 252,586.15 28,107.21 96,192.34 14,721.87 64,464.32 175,378.53 96,192.34 14,721.87 110,914.21 4,842.89 36,588.18 67,855.30 104,443.48 36,588.18 67,855.30 104,443.48 17,164.36 38,256.46 | 72.00 38,328.46 37,156.46 | 72.00 37,228.46 6,099.96 58 Expenditures, 1927-1928 Table V. Summary of Counties Caswell Catawba Rural. ._ Hickory, Newton _ Chatham Cherokee Rural Andrews. Murphy. Chowan Rural. _ Edenton. Clay- Cleveland... _ Rural King's Mt. Shelby.... Columbus. Craven Rural New Bern Cumberland Rural Fayetteville. Currituck A. Current Expense Fund Davidson Rural Lexington... Thomasville. Davie Rural Mocksville. Duplin 61 General Control Durham Rural. .. Durham. 5,814.71 19,984.70 11,327.64 5,482.56 3,174.50 4,944.85 9,632.03 3,516.81 3,491.10 2,624.12 7,497.22 3,911.81 3,585.41 2,228.68 19,913.20 9,939.22 4,702.49 5,271.49 8,350 48 16,102.83 10,862.75 5,240.08 22,261.31 15,620.74 6,640.57 5,631.09 3,338.77 18,877.60 9,498.43 5,849.44 3,529.73 9,189.29 6,100.56 3,088.73 10,794.76 29,687.56 13,187.03 16,500.53 62 Instructional Service 67,409.41 323,514.58 208,493.28 81,238.21 33,783.09 129,388.45 88,124.32 47,562.47 23,492.72 17,069.13 63,547.11 37,500.15 26,046.96 23,747.55 287,560.70 160,947.66 29,424.84 97,188.20 209,611.85 199,121.96 123,111.50 76,010.46 244,473.12 149,219.52 95,253.60 52,762.38 40,329.55 301,262.95 160,742.58 86,373.29 54,147.08 87,166.60 67,438.34 19,728.26 211,932.74 593,662.49 145,272.59 448,389.90 63 Operation of Plant . 64 Maintenance of Plant 3,684 44 25,412.15 12,461.35 10,058.18 2,892.62 5,578.45 5,552.61 1,637.57 2,415.08 1,499.96 4,224.69 1,964.12 2,260.57 1,720.50 17,179.37 6,836.91 1,995.41 8,347.05 9,919.01 18,344.25 12,225.84 6,118.41 15,134.76 6,995.06 8,139.70 3,950.46 2,790.24 22,098.56 9,660.47 7,556.54 4,881.55 6,782.69 4,161.79 2,620.90 13,009.62 58,137.08 12,666.24 45,470.84 65 Fixed Charges $ 1,832.80 13,875.35 7,952.51 4,773.14 1,149.70 9,231.37 1,997.26 1,164.30 521.51 311.45 1,801.46 1,280.04 521.42 963.90 5,485.62 3,208.47 1,189.31 1,087.84 4,640.32 6,039.53 4,806.85 1,232.68 9,210.39 7,061.87 2,148.52 2,171.21 1,724.46 3,876.00 1,366.80 2,093.03 416.17 5,488.61 4,960.67 527.94 10,216.92 20,837.74 7,693.20 13,144.54 644.25 4,375.23 3,510.88 478.90 385.45 1,059.55 653.10 225.00 428.10 555.21 235.21 320.00 66 Auxiliary Agencies 3,816.28 2,549.61 236.76 1,029.91 3,383.87 581.89 532.39 49.50 4,887.00 2,988.50 1,898.50 802.27 119.90 3,670.54 3,073.87 539.75 56.92 288.77 78.25 210.52 1,636.63 10,986.88 5,213.88 5,773.00 22,429. 28,279. 28,279. 42,062 55 2,259.07 2,236.27 22.80 4,320.28 1,916.28 2,404.00 3,462.05 55,183.04 16,681.45 38,501.59 32,199.17 17,830.50 16,608.28 1,222.22 34,301.14 32,480.54 1,820.60 11,216.06 4,472.93 74,829.37 74,211.95 617.42 43,916.28 36,880.14 7,036.14 97,511.23 109,460.02 41,847.41 67,612.61 Expenditures, 1927-1928 59 Expenditures by Funds—Continued B. Capital Outlay Fund 68 C. Debt Service Fund 69 Total Expenditures (A,B, C) Net C. E. Expenditures A less 668 Net CO. Expenditures B less 687 Net A and B Expenditures WandC Total Current Expense Fund Net A and B Expenditures Colored $ 101,815 55 $ 6,970.02 $ 13,622.75 $ 122,408.32 $ 92,188 79 $ 6,970 02 $ 99,158 81 $ 21,457 49 415,441 99 133,779.84 82,541.10 631,762.93 415,441 99 133,779 84 549,221.83 32,822.78 272,025.64 132,760.50 24,664.91 429,451.05 272,025.64 132,760.50 404,786.14 13,072.86 102,030.99 516.74 38,270.91 140,818.64 102,030.99 516.74 102,547.73 15,875.08 41,385.36 502.60 19,605.28 61,493.24 41,385.36 502.60 41,887.96 3,874.84 192,265.22 13,986.11 17,857.60 224,108.93 167,265.22 8,986.11 176,251 33 25,006 61 108,218.39 16,838.88 17,068.25 142,125 52 108,218.39 16,838.88 125,057.27 1,142.04 56,342.42 15,753.15 8,687.09 80,782.66 56,342.42 15,753.15 72,095.57 452.94 30,371.31 4,694.82 35,066.13 30,371.31 30,371.31 689.10 21,504.66 1,085.73 3,686.34 26,276.73 21,504.66 1,085.73 22,590.39 81,945.97 3,185.36 22,071.00 107,202.33 79,545.97 3,185.36 82,731.33 18,466.56 46,807.61 565.58 16,062.36 63,435.55 46,807.61 565.58 47,373.19 14,448.00 35,138.36 2,619.78 6,008.64 43,766.78 32,738.36 2,619.78 35,358.14 4,018.56 32,122.68 8,530.80 40,653.48 32,122.68 32,122.68 232.29 389,138 21 45,458.48 47,487.34 482,084.03 354,305.27 45,458.48 399,763.75 40,560.34 200,163.32 10,115.49 35,691.34 245,970.15 200,163.32 10,115.49 210,278.81 26,814.40 37,548.81 5,623.40 43,172.21 37,548.81 5,623.40 43,172.21 3,833.67 151,426.08 29,719.59 11,796.00 192,941.67 116,593.14 29,719.59 146,312.73 9,912.27 268,104.70 100,104.00 36,626.22 404,834.92 268,104.70 100,104.00 368,208.70 53,518.66 258,020.96 62,810.27 171,813.85 492,645.08 258,020.96 62,810.27 320,831 23 62,200.04 168,147.61 58,635.75 159,340.52 386,123.88 168,147.61 58,635.75 226,783.36 36,630.52 89,873.35 4,174.52 12,473.33 106,521.20 89,873.35 4,174.52 94,047.87 25,569.52 330,267.72 29,133.98 120,175.45 479,577.15 330,267.72 29,133.98 359,401 70 63,152.66 214,366.23 10,731.42 56,231.08 281,328.73 214,366.23 10,731.42 225,097.65 34,665.18 115,901.49 18,402.56 63,944.37 198,248.42 115,901.49 18,402.56 134,304.05 28,487.48 76,533.47 2,189.40 22,809.46 101,532.33 76,533.47 2,189.40 78,722 87 11,637.65 52,775.85 9,113.68 3,463.95 65,353.48 52,775.85 9,113.68 61,889.53 1,646.72 424,615.02 219,451.15 85,801.97 729,868 14 374,615.02 219,451.15 594,066.17 28,446.93 258,554.10 98,074.79 25,804.91 382,433.80 208,554.10 98,074.79 306,628.89 6,709.81 103,029.47 96,654.62 38,687.50 238,371.59 103,029.47 96,654.62 199,684.09 16,156.07 63,031.45 24,721.74 21,309.56 109,062.75 63,031.45 24,721.74 87,753.19 5,581.05 152,832.24 1,792.47 21,237.39 175,862.10 121,068.24 1,792.47 122,860 71 12,944.07 119,619.75 1,224.11 13,390.06 134,233.92 94,619.75 1,224.11 95,843.86 8,499.25 33,212.49 568.36 7,847.33 41,628.18 26,448.49 568.36 27,016.85 4,444.82 345,101.90 136,740.46 82,101.16 563,943.52 276,701.90 105,540.46 382,242.36 53,266.46 822,771.77 902,978.62 264,579.35 1,990,329.74 757,771.77 902,978.62 1,660,750.39 256,644 82 225,880.35 186,652.90 188,292.61 600,825.86 225,880.35 186,652.90 412,533.25 34,355.66 596,891.42 716,325.72 76,286.74 1,389,503.88 531,891.42 716,325.72 1,248,217.14 222,289.16 60 Expenditures, 1927-1928 Table V. Summary of Counties Edgecombe Rural.. Tarboro Forsyth Rural Winston-Sal nm Franklin Rural Franklinton___ Louisburg Gaston Rural Bessemer City Cherryville.-- Gastonia Gates Graham Granville Rural Oxford Greene Guilford Rural Greensboro . _ . High Point— - Halifax Rural Enfield Roanoke Rapids Scotland Neck Weldon _ Harnett Haywood Rural Canton Henderson Rural Hendersonville A. Current Expense Fund General Control $ 19,235 72 14,175.33 5,060.39 41,187.23 19,497.36 21,689.87 13,783.91 7,305.49 2,712.28 3,766.14 31,089.01 11,360.53 5,160.50 3,768.19 10,799.79 5,164.99 3,357.27 10,153 37 5,406.25 4,747.12 7,618 50 45,284.45 14,126.08 16,826.37 14,332.00 33,076 20 13,899.03 2,887.32 8,485.40 3,045.11 4,759.34 11,571.86 10,161.77 6,346.26 3,815.51 17,234.20 8,800.69 8,433.51 62 . Instructional Service 188,991 75 123,761.21 65,230.54 809,877.23 215,343.31 594,533.92 161,986.03 113,023.38 30,159.88 18,802.77 586,073 64 337,298.23 26,313.90 28,441.12 194,020.39 59,929.65 33,862 36 144,762.98 102,246.18 42,516.80 99,176.23 1,088,255.47 335,682.53 464,810.75 287,762.19 274,929.01 111,721.50 19,754.94 90,951.59 24,351.32 28,149.66 244,470.07 184,960.40 138,274.51 46,685.89 210,176.51 136,595.44 73,581.07 63 Operation of Plant 14,138 57 7,669.93 6,468.64 97,982.53 19,015.46 78,967.07 12,090.23 7,255.95 3,201.27 1,633.01 45,216.64 22,518.01 3,264.50 3,016.80 16,417.33 5,325.59 3,276.66 9,082.58 5,808.38 3,274.20 7,398.75 123,910.84 24,880.41 69,425.34 29,605.09 24,007.84 6,491.45 1,976.72 9,933.17 2,614.93 2,991.57 16,010.00 14,665.97 11,464.82 .3,201.15 25,764 73 17,222.30 8,542.43 Maintenance of Plant 6,922.31 1,686.37 31,904 65 9,194.81 22,709.84 3,977.64 3,699.11 33.25 245.28 10,548.20 5,686.22 1,649.62 59.80 3,152.56 1,915.91 1,423.28 691.24 $ 1,785.83 1,699.59 86.24 7,344.51 1,619.18 2,113.10 1,409.06 522.04 182.00 11,563.01 8,346.56 355.43 691.24 1,130 24 46,775.29 10,254.17 28,097.55 8,423.57 18,308.98 4,906.79 9,464.99 2,631.38 554.48 751.34 7,954.04 9,650.53 9,171.74 478.79 11,366.05 8,817.12 2,548.93 65 Fixed Charges 66 Auxiliary Agencies 2,861.02 1,575.31 1,323.93 3,390.15 2,797.94 592.21 1,097.57 15,628.06 5,039.00 6,007.48 4,581.58 6,900.45 3,141.40 1,067.55 1,532.42 465.33 693.75 5,788.39 1,078.10 979.10 99.00 6,159.08 5,824.61 334.47 40,443.73 35,846.78 4,596.95 38,589.48 30,452.63 8,136.85 16,734.21 11,848.21 4,115.23 770.77 26,425.69 21,791.62 300.00 4,334.07 59,103.69 6,805.37 142,701.69 135,668.30 7,033.39 30,730 21 848,753.06 49,923.20 568,503.65 230,326.21 144,858.04 134,972.48 55.00 5,447.56 4,383.00 26 054.11 13,918.86 12,122.41 1,796.45 68,150.54 67,777.59 372.95 Expenditures, 1927-1928 01 Expendittjres by Funds—Continued Capital Outlay Fund $ 35,460 07 33,150.25 2,309.82 49,965.74 21,736.66 28,229.08 63,675.54 61,489.69 2,185.85 48,245.47 23,821.55 22,393.56 826.74 1,203.62 16,840.68 23,722.83 6,560.04 5,905.31 654.73 66,-583.21 1,568,465.02 381,078.60 1,015,720.22 171,666.20 154,975.02 145,324.46 987.49 3,921.04 4,742.03 94,739.51 19,819.90 18,758.53 1,061.37 144,719.63 138,542.93 6,176.70 C. Debt Service Fund 69 $ 59,144 87 42,087.92 17,056.95 259,459.51 50,123.26 209,336.25 98,679.49 59,606.35 10,293.81 28,779.33 295,986.69 98,818.20 3,516.16 2,657.25 190,995.08 103,404.36 7,261.96 65,359.29 53,988.66 11,370.63 23,247.95 534,330.78 348,711.78 105,917.50 79,701.50 112,839.15 10,404.43 10,253.26 51,534.97 31,378.01 9,268.48 176,082.75 111,616.91 98,400.16 13,216.75 176,558.31 163,258.71 13,299.60 Total Expenditures (A,B,C) $ 367,809.22 265,313.32 102,495.90 1,337,930.06 372,708.00 965,222.06 373,040.15 265,637.24 53,223.61 54,179.30 1 ,055,148 35 529,640.92 62,953.67 38,769.90 423,783.86 253,060.18 81,033.66 382,701.34 311,821.02 70,880.32 236,982.66 4,271,402.97 1,169,695.77 2,275,308.86 826,398.34 769,894.69 430,861.54 46,447.27 174,437.53 62,409.18 55,739.17 582,670.73 365,872.44 295,517.53 70,354.91 660,129.05 546,839.39 113,289.66 NetC. E.' Expenditures A less 668 $ 273,204.28 190,075.15 83,129.13 1,028,504.81 300, |
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