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Annual Report of the Comptroller, 1956
Volume 320, Page 75   View pdf image (33K)
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REPORT OF THE COMPTROLLER OF THE TREASURY 75

STATEMENT B—1

Corporation Franchise Tax Receipts for the
Fiscal Year Ended June 30, 1956

Collected by:

   

State Tax Commission..........................................................................

$ 434,443.02

 

Comptroller of the Treasury ..............................................................

138.00

 

Total..................................................................

 

$434,581.02

Source of Receipts:

   

Counties:

   

Allegany .....................................................................

$8,675.00

 

Anne Arundel..........................................................................

10,960.00

 

Baltimore...........................................................................

28,135.00

 

Calvert....................................................................................

775.00

 

Caroline..................................................................................

1,640.00

 

Carroll........................................................................................

4,755.00

 

Cecil............................................................................................

2,615.00

 

Charles......................................................................................

1,690.00

 

Dorchester..............................................................................

3,120.00

 

Frederick......................................................................................

7,655.00

 

Garrett .....................................................................................

805.00

 

Harford......................................................................................

4,085.00

 

Howard....................................................................................

1,650.00

 

Kent ................................................................................

1,880.00

 

Montgomery..........................................................................

35,665.00

 

Prince George's........................................................................

19,563.86

 

Queen Anne's..........................................................................

1,385.00

 

St. Mary's ................................................................

1,270.00

 

Somoset...............................................

1,345.00

 

Talbot ..........................................................................

3,305.00

 

Washington...........................................................................

12,225.00

 

Wicomico..................................................................................

8,565.03

 

Worcester...................................................................................

3,625.00

 

Baltimore City .............................................................................

269,192.18

 

Total.......................................................................

 

$ 434,581.02

Distribution of Receipts:

   

General Fund ............................................„............................

$ 216,646.52

 

Special Fund (Payment of Revenue to Civil Divisions of the

   

State)......... . .....

216,615.50

 

Non-Budgeted Fund (Refunds) ......................................................

1,820.00

 

Total....................................................................

 

$ 434,581.02

Reconciliation of Receipts Allocated to Civil Divisions of the State,

   

with Disbursements for Fiscal Year 1956:

   

Amount Allocated, 1966.................................. ....................

 

$ 216,630.50

Less: Amount Transferred to General Fund under Article 81,

   

Section 200, of the Annotated Code of Maryland, 1956

   

Cumulative Supplement........................................................

 

15.00

Special Fund Available for Distribution........................................

 

$ 216.615.50

Disbursements — Schedule A — 9-3......................................................

 

216,686.76

Share of Refund absorbed during Fiscal Year 1956 brought for-
ward from Prior Year as unabsorbed by Town of Oakland...

 

$28.75

 

 

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Annual Report of the Comptroller, 1956
Volume 320, Page 75   View pdf image (33K)
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