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STATEMENT showing the balance in stock 30th June, 1896, the balance carried forward 30th June, 1897, and the quantity and cost of Forms, Envelopes, Books, Labels, &c., Sheets of Writing Paper, and Miscella neous Articles, obtained and issued to the Postal Service generally, through the Postal Stores Branch, from 1st July, 1896, to 30th June, 1897.

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Balance in stock 30th June, 1896.

Total..

Received from Queen's Printer... 16,938,162 3,032,825 23,553,759 4,209,334

6,615,597 1,176,509 60,616 755,902 148,122 651 6,490 00 71,319 8,289,680 198,584 54,344 * 53,992 91 131,935 9,045,582 346,706 54,995 60,392 91

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The appropriation for 1895-6 being exhausted the accounts for April, May and June (for the Outside Service) amounting to $15,214.93 were also paid during the year 1896-97, and charged against the Consolidated Fund.

R. M. COULTER,

Deputy Postmaster General.

SIDNEY SMITH,

Controller of Postal Stores.

STATEMENT showing the balance in stock, 30th June, 1896, the balance carried forward 30th June, 1897, and the quantity and cost of articles of Stationery obtained and issued to the Postal Service generally, through the Postal Stores Branch, from 1st July, 1896, to 30th June,

1897.

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Stationery received during the year 159 83 1,846 6,840 2,097 4,027 278 1,152

Total issue

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159

84 1,840 6,978 2,097

4,027 278 1,152

6,110 58 721 613 168 1,070

165 333 36,670

14,094

305 465

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STATEMENT showing the balance in stock, 30th June, 1896, the balance carried forward 30th June, 1897, and the quantity and cost of articles of Stationery obtained and issued

Branch, from 1st July, 1896, to 30th June,

1897.

to the Postal Service generally, through the Postal Stores

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Stationery received during the year 13,000 24,076 203,292 89,791 419 1,575 2,979 874 139 2,190 5,260 735 1,479

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7 428 18,113 624 3,128* 14,765 46

26,712 209,052 117,161 419 1,575 2,979 874 139 2,282 5,602 735 1,479 7 428 18,410 990 3,128 15,117 46

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*The appropriation for 1895-96 being exhausted, the accounts for May and June, amounting to $2,232.65 were also paid during the year 1896-97. and charged against the Consolidated Fund.

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STATEMENT showing the balance in stock 30th June, 1896, the balance carried forward 30th June, 1897, and the quantity and cost of Mail Bags, Mail Locks, Metal Slip Label Cases, &c., obtained and issued to the Postal Service generally through the Postal Stores Branch, from 1st July, 1896, to 30th June, 1897.

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STATEMENT showing the balance in stock 30th June, 1896, the balance carried forward 30th June, 1897, and the quantity and cost of Mail Bags, Mail Locks, Metal Slip Label Cases, &c., obtained and issued to the Postal Service generally through the Postal Stores Branch, from 1st July, 1896, to 30th June, 1897.

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*The appropriation for 1895-96 being exhausted a portion of June account amounting to $3,595 62, was also paid during the year 1896-97, and charged against the Consolidated Fund. +6,277 old pattern ferrules sold for old metal. Transferred from stationery account.

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