Brought forward, tax fund, school fund, contingent fund, geological surveys, By amount of payments on account library, Balance, 67,205 91 597 22 28,650 99 3,316 17 7,161 37 21 00 80,102 30 $1,248,944 78 General Fund. Amount overdrawn, Nov. 30, 1839, $2,955 12 do transferred to geological survey, $12,000 00 do transferred to li brary fund, 1,000 00 do transferred to contingent fund, 2,000 00 15,000 00 Paid auditor's warrants, 126,352 81 $144,307 93 CR. Amount transferred from internal improvement fund, $100,000 00 Amount of receipts, 14,000 57 $114,000 57 Amount overdrawn, 30,307 36 165 00 $30,472 36 Bank Fund. 597 22 $4,080 50 CR Amount received, 280 00 Amount overdrawn, Outstanding warrants, 3,800 50 312 50 $4,113 00 $11,149 98 Internal Improvement Fund. Balance to the credit, November 30, 1839, Amount received on the following drafts of auditor general, on R. Withers: Draft payable April 1, 1840, $100,000 00 do do 101,562 50 201,562 50 42,490 00 do do 2 do 1 do 2 do 1 do 1 do 1 do July 1, 1840, do each $10,000, $20,000 00 do do do 207,187 50 1 do 4 do January 1, 1841, do each $10,000, $4,415 00 44,415 00 4 do 2 do 4 do 1 do 1 do April 1, 1841, do do each $20,000, $40,000 00 113,700 00 242 59 1 do do For interest on public stocks, due January 1, 1840, $151,325 00 do July 1, 1840, 161,885 00 313,210 00 291 67 Amount returned by William R. Thompson, commissioner, Amount being receipts on Central railroad, Received of United States, for five per cent on land sales, $16,686 47 14,107 53 965,043 24 Brought forward, Paid expenses running *Central railroad, 227 62 433,437 62 Paid warrants for discount on sun dry drafts sold Bank of Michigan, 15,899 16 Paid auditor general's warrants on account of various appropriations, 471,200 23 920,537 01 Balance in the treasury, $14,506 23 65,786 51 Amount overdrawn, $21,280 28 Delinquent Tax Fund. 90,904 15 $118,287 40 DR. Paid auditor general's warrants, 67,205 91 Amount in the treasury, $51,081 49 Geological Survey. Balance on hand, Nov. 30, 1839, $2,644 05 Transfer from general fund, 12,000 00 14,644 05 School Fund. 27,210 23 $31,966 63 DR. Paid auditor general's warrants, 28,650 99 Balance in the treasury, $3,315 64 Fund for State Buildings. Amount on hand, Nov. 30, 1839, cer tificate of deposit Michigan state bank, $449 75 Amount of receipts, 950 20 $1,399 95 Fund for Counties, Amount received, being one half of office charges, $1,131 80 Unexpended appropriations for sus- 947 21 Militia, 83,126 98 Contingent Fund. 2,000 00 Dec. 3, 1839. Amount received from M. L. Gage, deposited 78 62 $3,316 17 1 Brought forward, 40 00 24 87 April 20. do Gov. Woodbridge's 805 10 June 30. do Gov. Woodbridge, 1,000 00 Nov. 30. do 1,000 00 3,316 17 $10,000 00 Unavailable Funds. Amount received from Bank of Ypsilanti, depo sited by Thomas Clarke, collector, and placed in the hands of P. Morey, attorney general, for collection, road, in favor of D. V. Bell, Ypsilanti, Certificate of deposit of Bank of River Raisin, do Michigan state bank, 1,530 00 7 00 73 50 168 01 182 79 303 00 227 45 449 75 $12,941 50 [No. 4.] Annual report of the board of internal improvement. OFFICE OF INTERNAL IMPROVEMENT, Detroit, December 24, 1841. To the honorable the legislature of the state of Michigan: The undersigned, members of the board of internal improvement of the state of Michigan, appointed in pursuance of the act entitled "An act for the regulation of internal improvement,” approved March 25, 1840, have the honor respectfully to report: That the undersigned met at the city of Detroit, on the 31st of March last, and organized temporarily, by continuing in |