Committee Reports::Report No. 03 - Joint Restaurant Committee::26 February, 1930::Report

REPORT.

An audited account giving the results of trading in the Restaurant during the year 1929 is attached. This shows a surplus of £159 8s. 7d. As compared with the previous year it should be noted that the number of days on which the Dáil sat was less by eighteen. Also, the year just completed was the first during which the new premises, with their elaborate accommodation and equipment, were occupied, and this factor has resulted in some additional charges.


It has been found possible, from the surpluses accruing during 1929 and the preceding year, to make a first payment of Five Hundred Pounds to the Department of Finance. This is a recoupment on account of sums granted from public funds to cover losses on trading in the Restaurant during earlier years.


(Signed),


P. S. UA DUBHGHAILL,


Chairman.


26th February, 1930.


INCOME AND EXPENDITURE ACCOUNT.

For year ended 31st december, 1929.


EXPENDITURE.

INCOME.

 

£

s.

d.

 

£

s.

d.

 

£

s.

d.

 

£

s.

d.

To Purchases

...

...

3,121

7

6

 

By Trading Receipts

...

4,439

17

4

 

„ Salaries and Wages

...

1,086

3

6

 

„ Bank Deposit Interest

...

21

19

11

 

„ Laundry

...

...

27

11

6

 

 

4,461

17

3

„ Sundry Expenses

...

67

6

2

 

 

 

4,302

8

8

 

„ Surplus for year

 

159

8

7

 

 

4,461

17

3

 

4,461

17

3