Chapter

Appendix V: Comparative Statement of Income and Expenditure

Author(s):
International Monetary Fund
Published Date:
September 1971
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Fiscal Year Ended
Apr. 30, 1969Apr. 30, 1970Apr. 30, 1971
Income1
Service charges
Received in gold$ 7,031,923$ 8,458,427$ 1,265,000
Received in special drawing rights822,427481,078
Received in members’ currencies7,162,3312,583,47038,672
Total$ 14,194,254$ 11,864,324$ 1,784,750
Charges on Fund’s holdings of members’ currencies
and securities in excess oí quotas
Received in gold$ 23,732,642$ 64,097,739$ 82,362,753
Received in special drawing rights55,739,24740,732,966
Received in members’ currencies83,719,5044,891,4065,043,954
Total$107,452,146$124,728,392$128,139,673
Other operational income$ 432,853$ 1,520,608$ 5,641,895
Miscellaneous income11,26713,66127,366
Total Income$122,090,520$138,126,935$135,593,684
Expenditure
Administrative$ 24,384,516$ 27,744,940 2$ 32,359,166 2
Operational22,335,69346,310,902 349,265,010 3
Fixed property4,532,4896,518,6157,547,370
Total Expenditure$ 51,252,698$ 80,574,457$ 89,171,546
Net Income$ 70,837,822$ 57,552,478$ 46,422,138

Excludes income from investments transferred to Special Reserve for the fiscal years ended April 30, 1969 $46,589,710; 1970 $56,741,734; and 1971 $40,145,807.

After deduction of $887,656 for fiscal year 1970 and $890,853 for fiscal year 1971 reimbursed to the General Account by assessments levied on the net cumulative allocations of participants in the Special Drawing Account.

Includes provision of $27,181,314 for the payment of remuneration pursuant to Article V, Section 9, for the period July 28, 1969 through April 30, 1970, and $37,442,803 for the fiscal year ended April 30, 1971.

Excludes income from investments transferred to Special Reserve for the fiscal years ended April 30, 1969 $46,589,710; 1970 $56,741,734; and 1971 $40,145,807.

After deduction of $887,656 for fiscal year 1970 and $890,853 for fiscal year 1971 reimbursed to the General Account by assessments levied on the net cumulative allocations of participants in the Special Drawing Account.

Includes provision of $27,181,314 for the payment of remuneration pursuant to Article V, Section 9, for the period July 28, 1969 through April 30, 1970, and $37,442,803 for the fiscal year ended April 30, 1971.

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