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Show library Maintenance ... ' 755.39 128.94 Cemetery Irrigation 2.56 1.91 3ond Interest 4,840.09 Dist. No. 1 490.73 Cemetery Trust Fund on Savings . 5,990.00 Cemetery Trust Fund on Checking 300.00 Electric Light Bond Sinking 501.13 Waterw'ks Bond Sinking 1,622.79 Library Bond Sinking.. 9,362.68 St. Pav. Dist. No. 1 Bond Sinking 5,594.20 Abutters' Portion St. Pav. Dist. No.' 1 490.73 Public Building and Town Hall Cash Balance, all funds . 44,023.59 Totals $53,453.24 $53,453.24 $ 1,836.88 STATE OF UTAH, COUNTY OF UTAH ss. I, Harry Pennington, the duly elected and qualified City Recorder of Springville, do hereby certify that the above and foregoing is a full, true and correct report of the business transacted by the City of Springville for the fiscal year ending end-ing December 31st, 1929. In Witness Whreeof, I have hereunto set my hand and affixed the corporate seal of the City of Springville, this 29th day of January, 1930. HARRY PENNINGTON, (Seal) City Recorder. Subscribed and sworn to before me this 29th day of January, A .D. 1930. C. G. SALISBURY, (Seal) Notary Public. Residing at Springville, Utah. My commission expires April 22, 1932. Fiscal Report of the City Recorder 1 i For the Year Ending December 31, 1929. Revenues: General Fund: Taxes $ 9,629.06 Licenses, General 2,219.87 Cigarette Permits 100.00 Oleomargarine Permits 40.00 1 Fines 627.50 Dog Tax 164.50 ' Bicycle Licenses ' 104.50 1 Interest Daily Bank Balance 638.77 Cemelery Care and Lots Sold 1,190.50 Interest Cemetery Trust Fund 192.00 Estray Pound 14.25 City Pasture : 1,817.00 Plumbing Permits 15.00 Building Permits I 27.75 House Numbering - 2.00 Refunds . . . ., 84.10 Miscellaneous 1-25 Total General Fund $ 16,868.05 Streets and Walks Fund: Taxes ; $ 5,291.61 , Rental Cement 67-55. Gravel sold 18.05 Miscellaneous 42.57 Refunds 1928 Material : 13.76 Material and Labor Refund ; 152.25 Equipment Sold 100.00 ' Total Streets and Walks Fund 5,685.79 Waterworks Fund: 1929 Rates $ 6,889.79 . Delinquent Accounts 1,099.89 jt Store Room Supplies 236.83 r" Material and Labor Refund 129.0o . 5 Total Waterworks Fund 8,355.56 Electric Light Fund :. Accounts and Rates $ 26,820.50 Store Room Supplies 73.37 Freight Refund 5.89 ' Total Electric Light Fund 26,899.76 Irrigation Fund: Accounts and Rate $ 2,735.22 Equipment and Material Refund . . 266.20 Refund Commissioner's 1928 Salary 130.00 J ' Total Irrigation Fund 3,131.42 Library Maintenance Fund: ' Taxes .f J 2,310.95 Bond Interest Fund : ' Xaxes 6,699.18 'street Paving Dist. No. 1 Fund: Salt Lake & Utah R. R. Co.'s Note 2,308.53 Interest S.L. & U. R.R. Co.'s Notes . 554.05 Total St. Pav. Dist. No. 1 Fund. $ 2,862.58 Ucmetery irust runu: Perpetual Care and Lots $ 1.565.00 Electric Light Bond Sinking Fund : Taxes 964.21 Waterworks Bond Sinking Fund: Taxes 5,560.23 Interest From Fund 7.84 Total Waterworks Bond Sinking Sink-ing Fund 1 5,568.07 Library Bond Sinking Fund : Taxes 602.08 Interest from Fund 175.20 Total Library Bond Sinking Fund 777.28 Street Pav. Dist. No. 1 Bond , 1 Sinking Fund: . ' ' ' Taxes 292.39 Abutters' Portion St. Pav. Dist. ' No. 1 Fund : ' 1 ' Installments and Interest . 2,077.14 Total Receipts all Funds -A 84,057.38 Cash on Hand (Recorder's M " Petty Cash) '' 100.00 Opening Balance 38,545.02 $122,702.40 g DISBURSEMENTS , 1 General Fund: E Administrative Dept $ 5,178.01 I City Hall 225.05 I City Park 1,032.46 Police Dept 2,943.95 Fire Dept 2,419.15 Custodian of City Property 1,437.62 City Pasture 1,514.85 Cemetery 1,528.93 Totals General Fund $ 16,280.02 Streets and Walks Fund 7,935.06 Waterworks Fund 7,514.71 Electric Light Fund 16,411.08 Irrigation Fund 3,061.02 Library Maintenance 2,378.98 Bond Interest Fund 8,634.00 Bbutters' Por. St. Pav. Dist. No. 1. 3,700.82 Serial Bonds Retired 7,500.00 Old Waterworks Bonds Retired from Waterworks Bond Sinking Fund ' 7,000.00 " . Total Disbursements : ' $ 80,415.69 Cash on Hand (Recorder's ! Petty Cash) 100.00 Closing Balance , 42,186.71 . $122,702.40 Recorder's Balance 42,186.71 Warrants Outstanding 1,836.88 Treasurer's Balance 44,023.59 Checking Account $ 28,602.32 Sinking Funds 9,431.27 Cemetery Trust Fund, on Savings. . 5,990.00 Bank Balance 44,023.59 Bonds Outstanding: Electric Light Bonds ' $ 11,000.00 Waterworks Bonds 133,000.00 Library Bonds 15,000.00 Street Paving Bonds 5,000.00 , i i Total Bonds Outstanding $164,000.00 ! Condition of Funds at December 31, 1929. Over- Warrants. ; Fund Balance drafts. Outstanding ! General $ 2,356.23 $ $ 598.40 Waterworks 7,980.21 285.57 Streets and Walks 1.710.25 186.66 Jl Electric Lights 21,376.63 635.40 |