RECEIPTS 



For Year Ended March 31st, 1964 



Brought Forward $9,708,431.93 



TIMBER BRANCH 



Timber Section (See Statement No. 2) 



Timber Dues, Bonus, etc $13,286,837.41 



Cash Deposits 48,799.74 



Government of Canada — 



Forestry Agreement 3,945.98 $13,339,583.13 



Logging Roads — Recovery of 



Construction Costs (Capital) 62,584.43 



Reforestation Section 



Sale of Nursery Stock 113,626.80 13,515,794.36 



TOTAL RECE I PTS $23,224,226.29 



Excess of Disbursements over Receipts 8,147,927.55 



$31,372,153.84 

 10 



