ACCOUNTS AND PAPERS: 1922. THIRTEEN VOLUMES:-CONTENTS OF THE N.B.-THE figures at the beginning of the line correspond with the No. at the foot of each Paper; and the Figures at the end of the line refer to the Paging of the Volumes arranged for the House of Commons. ARMY. p. 1 263 Army Estimates: 71. Army Estimates of Effective and Non-Effective Services for the year 1922-23. 37. Estimate of the maximum number of Men on the Establishment of the Army, exclusive of India. 31. 52. 38. Supplementary Estimate: Estimate of the further amount that will be required during Statement of Excess: Statement of the sum required to be Voted in order to Vote on Account : 275 Estimate showing the Vote on Account which is required 279 [Cmd. 1604.] Memorandum by the Secretary of State for War. Army Accounts: 283 47. Accounts of Gross and Net Expenditure and of the Sums granted by Parliament for Army Services for the year ended 31st March, 1921; with the Reports of the Comptroller and Auditor General upon those Accounts and upon the Store Accounts of the Army. Ordnance Factories: 151. Estimate of Charge for the year 1922-23. VOL. XII.-1922. 295 529 ✓111. Annual Accounts of the Ordnance Factories for the year 1920-21; with the Report of the Comptroller and Auditor General thereon. p. 541 110. Appropriation Account of the Sums granted by Parliament for the expense of the Ordnance Factories, the cost of the productions of which has been charged to the Army, Navy, and Indian and Colonial Governments, &c., for the year ended 31st March, 1921; with the Report of the Comptroller and Auditor General thereon. 589 53. Statement of the sum required to be voted in order to make good excesses on the grant for the expense of the Ordnance Factories for the year ended 31st March, 1921. Annual Report: 607 [Cmd. 1610.] General Annual Report on The British Army for the year ending 30th September, 1920; with which is incorporated the Annual Report on Recruiting. 611 Military Savings Banks : 57. Statement of the Amounts due by the Public to Depositors in Military Savings Banks on the 31st March, 1920, and of the Receipts, Interest, and Disbursements on the said Military Savings Banks, during the year ended 31st March, 1921, including the Amount due on account of Regimental Charitable Funds, and of the subsequent Receipts, Interest, and Disbursements on account thereof, to the 31st March, 1921; also, an Account of the Sums paid over by the Secretary of State for War to the National Debt Commissioners, for Investment in Bank Annuities on account of the Fund for Military Savings Banks; and of the Dividends reported to the Secretary of State for War by the said Commissioners to have been received thereon, and invested in further Aid of the Fund for Military Savings Banks. 751 Chelsea Hospital : 169. Account of the Receipts and Expenditure of the Commissioners of the Royal Hospital, Chelsea, in the year ended 31st March, 1922; with the Report of the Comptroller and Auditor General thereon. Shell Shock: 755 [Cmd. 1734.] Report of the War Office Committee of Inquiry into Shell-Shock. Territorial Army (Finances) : 759 [Cmd. 1740.] Statement showing the Financial Position of Territorial Army County Associations on 31st March, 1921. War Service Canteens: 977 [Cmd. 1717.] Accounts of the Disposal of Surplus Funds, with a Report by Sir William Plender. 987 VOTE. A. GROSS SUMS RE- NET Total GROSS SUMS RE DE- ON NET MATES •Revised Estimate of 30th May 1921. Excludes the Supplementary Estimates of 2nd November 1921 for 6,720,000. on account of the Coal Stoppage and of 3rd March 1922 for 4,900,0001. on account of Terminal Charges of the War. |