RECEIPTS 



For Year Ended March 31st, 1963 



Brought Forward $ 9,743,201.56 



TIMBER BRANCH 

 Timber Section 



Timber Dues, Bonus, etc. (See 



Statement No. 2) $12,623,877.22 



Cash Deposits — Excess of Re- 

 funds over Deposits 7,969.46 



$12,615,907.76 

 Government of Canada Repay- 

 ments under Forest Inventory- 

 Agreement 1,492.10 $12,617,399.86 



Logging Roads — Recovery of Construction 



Costs (Capital) 94,297.80 



$12,711,697.66 



Reforestation Section 



Sale of Nursery Trees $ 103,849.18 



Government of Canada Repay- 

 ments under Forest Inventory 

 Agreement 1,312.35 105,161.53 12,816,859.19 



CONSERVATION AUTHORITIES BRANCH 



Government of Canada — Repayments under 



Flood Control Agreements 13,799,60 



TOTAL RECEIPTS $22,573,860.35 



Excess of Disbursements over Receipts 5,940,207.05 



$28,514,067.40 



