ACCOUNTS BF^AIMCH 



The main objectives of the Accounts Branch are to provide 

 a complete financial management service to the Depart- 

 ment, and to maintain a system of property taxation in 

 unorganized areas of the Province. 



During the year ended March 31, 1967, cash receipts of the 

 Department totalled $27,417,794.21. This represents an in- 



crease of $1,081,439.41 over the previous year. Total cash 

 disbursements amounted to $42,212,898.28, representing an 

 excess of $14,795,104.07. 



The increase in disbursements is accounted for by the 

 expanding program in land acquisition and development, 

 and the overall increase in operating costs. 



STATEMENT OF RECEIPTS AND DISBURSEMENTS 

 For Year Ended March 31st, 1967 



RECEIPTS 



MAIN OFFICE 



Provincial Land Tax $1,772,837.83 



Sale of Maps, Publications, e tc 136,659.5 3 $ 1,909,497.36 



FISH AND WILDLIFE BRANCH 



Licences, Royalties and Sundry ■ 6,741,700.62 



FOREST PROTECTION BRANCH 

 Forest Protection Section: 



Recovery of Fire Fighting Costs and Miscellaneous $ 81,666.65 



Air Service Section: 



Flying Fees _ 31,878.03 113,544.68 



LANDS AND SURVEYS BRANCH ~~~ 



Lands Section: 



Land Sales (Capital) $ 732,281.38 



Land Rentals: Leases and Licences of Occupation 346,762.17 



Perquisites — Rentals 177,453.17 



Miscellaneous 11,659.25 



Park Rentals — Leases and Licences of Occupation: 



Algonquin $ 14,235.87 



Rondeau 14,391.33 



Presqu'ile 2,775.00 



Long Point 848.30 



Sundry Parks 2,014.35 34,264.85 



