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And to be purchased, either directly or through any Bookseller, from
WYMAN AND SONS, LTD., FETTER LANE, E.C.; and
32, ABINGDON STREET, WESTMINSTER, S.W.; or
OLIVER AND BOYD, EDINBURGH; or
E. PONSONBY, 116, GRAFTON STREET, DUBLIN.

37. 1907.

I N D E X
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Balance Sheet - - - - - - - - -
Capital Account - - - - - - - - - -
Statement of Indirect Expenditure - - - - - -
Production Statements:—
A.—Articles Manufactured - - - - - -

B.--Repairs and Alterations -
C.-–Garments issued cut out - - - - - -

D.--Garments received “un-made" to be made up -

Statement (E) of Semi-manufactures in hand on 31st March 1906

Report of the Comptroller and Auditor General - - -

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BALANCE SHEET, 1905–1906.

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£. s. BY PRODUCTION ACCOUNT : For Articles manufactured, as per Statement A - - - 198,320 16 7 ,, Alterations and Repairs , -- B - 17,841 4 8 , Garments cut out only , -- C - 20,319 9 – , Garments made up only , -- I) - 2,497 17 6 BY SUNDRIES : For Rental Value of Storekeepers' quarters - - - - 83 - , Cuttings, &c., sold, as per Appropriation Account 4,363 2 9 -- > * issued - - - - - - - - 5 4 – , Amounts taken up in 1904–5 remaining unpaid on 31st March 1905 - - - - - - - - - 855 9 8 , Unclaimed Wages in hand 1st April 1905 - - - - 5 8 1 , Amount for Army Services - - - - 771 4 – -- -> overcharged to Productions in 1904–5 - - 87 – 8 , Machinery issued - - - - – l l 3 BY BALANCE ACCOUNT: For Capital (Buildings and Machinery) on 31st March 1906, as per Capital Account - - - - - - - 27,204 12 8 ,, Semi-manufactures on 31st March 1906, as per Statement E - 8,199 11 10 , Stores in stock on 31st March 1906 - - - - - 5,658 16 7 £. C. G. Jeans,

Chief Ordnance Officer.

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Dr. CAPITAL Account, 1905–1906—Buildings and Machinery. Cr.
To BALANCE Account: BY PRODUCTION ACCOUNT :
- £. s. d. f s, d £. a. d. f s. d
For Net Capital on 1st April 1905: For One Year's Depreciation:
Leasehold Buildings - - - - 18,721 5 5 10 per Cent. on Machinery 734 10 10
Machinery (including Electric Light Installation) 7,688 2 5
Annual Charge to absorb Original Lease and Additions 595 18 11
Machinery in Suspense 969 11 7 -- 1,330 9 9
- 27,378 19 5
BY SUNDRIES :
Machinery issued – 11
BY BALANCE ACCOUNT:
TO ARMY FUNDS : For Capital on 31st March 1906:
For Amounts Expended during the Year Leasehold Buildings - - - - - - - 18,790 18 6
Buildings - - - 431 8 1 51. 9. 9. transferred from Machinery to Buildings 1. 4.03.
22. 14. 3. ..., -- -- -- 1. 4. 04.
Machinery - - 725 6 2 159. 19. 11. -- -- -- -> 1. 4. 05.
- - 1,156 14 3 Machinery (including Electric Light Installation) - 7,444 2 7
Machinery in Suspense - 969 in 7 27,204 12 8
£. 28,535 13 8 £. 28,535 13 8

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