
|
No. 13 of 2006 |
AN ACT FOR THE APPROPRIATION OF |
FURTHER DIVERS SUMS OF MONEY FOR AND |
TOWARDS DEFRAYING THE EXPENSES OF |
THE GOVERNMENT OF THE COMMONWEALTH OF |
THE BAHAMAS |
DURING THE FISCAL YEAR |
COMMENCING 1st JULY, 2005 AND |
ENDING 30th JUNE, 2006 |
[Date of Assent — 30th June, 2006] |
Enacted by the Parliament of The Bahamas. |
1. This Act may be cited as the
Supplementary Appropriation (2005/2006) (Capital Development Account) Act,
2006. | Short title. |
30th June, 2006.2. The further sum of Nineteen
million, seven hundred and ninety nine thousand, six hundred twenty-four
dollars ($19,799,624) shall be charged on the Consolidated Fund and other
public funds of The Bahamas for the expenses set out in the Schedule for the
period ending 30th June, 2006 . | Further expenditure charged on the
Consolidated Fund of The Bahamas. |
3. The further sum charged by
section 2 of this Act is hereby appropriated to to the services and other
expenses expressed in the said Schedule and shall be deemed to have been so
appropriated from the 1st July, 2005. | Purpose of Appropriation. |
(Section 2) |
SCHEDULE |
|
Head
|
Capital Development Expenditure
|
Sum Granted
|
|
Expenditure No.
|
Head of Expenditure
|
$
|
|
21.
|
Sundry Capital Expenditure (Ministry of
Finance)
|
19,799,624
|
|
SUMMARY OF CONTINGENCIES WARRANTS |
|
|
|
CAPITAL EXPENDITURE
|
|
|
Head No.
|
Item No.
|
PARTICULARS
|
AMOUNT
$
|
|
|
|
PUBLIC ENTERPRISESÂ :
|
|
|
21
|
919210
|
BROADCASTING
CORPORATION OF THE BAHAMAS
Subvention
- Equipment, Customs Duties, Salaries, etc.
|
3,118,624
|
|
21
|
919220
|
BAHAMASAIR HOLDINGS,
Ltd,
Subvention - Debt Service,
Miscellaneous Vendors (Payables)
- Emergency Funding
|
12,531,000
|
|
21
|
919261
|
WATER AND SEWERAGE
CORPORATION
Subvention - Provision of
Desalinated Water in Acklins and Long Cay
Extension of Water Systems in Exuma and San Salvador
|
4,150,000
|
|
|
|
TOTAL
|
19,799,624
|
|