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Show A v Fife Equipment hire Other charges SOUTHER?! UTAH HEWS Total Public Works Public Libraries: Salaries and wages . books Supplies V4 tost of cooler Other charges Other charges Petty, cash . , ... Errol G. Brown, Publisher and Editor . Allen Cox, Alton correspondent Bemeeta A. -t-- Johnson, Orderville Lllllth Pugh, Glendale Nan Talt, Mt Carmel Ivis ............. t.... J.7. Total Public Libraries , Parks and Recreation: Cemetery: Salaries and wages. ; Labor wages Materials and operating supplies Other charges Eng. survey Subscriptions $3.50 per year, $2.00 for Six Months at the matter October Entered as second-clas- s the Act of March 3, 1879. under office in Kana, Utah, post All communications and items for publication must be signed by the writer, whose name must appear in print Write on one side of paper only. Use no abbreviations. All communications subject to acceptance as the Judgement of 'the publisher may determine. UTAH STATE PRESS ASSOCIATION ; Cash balance, January 51045 Revenues: 205 00 10.00 Year Ending December 31, 1959 - REVENUES. .. -- p. : . . $20,324.16 2,190.47 22.514.63 Other Taxes: r 2,736.09 Sales A Use Tax (V4 cent tax) Licenses & Permits: Business Licenses Building & Construction Permits Other Licenses (dog tax) 124.00 Forfeitures: 1,618.00 Court Fines Revenue from use of property or money: Club room Rents & Concessions Rents & Concessions Airport operator rentals Streets Rents & Concessions 324.00 123.35 6.00 453.35 Vk Revenue from other agencies: 1,868.30 State Liquor Fund Allotment Class C. Road Fund 3,490.78 Other. State Grants Airport project (lighting- Aviation Gas Tax refund 3,445.86 Other State Grants Grants Federal Aviation Agency Airport projects 20,995.81 ; -- . 217.21 700.00 ...' ' 950.21 Other Revenues: Repayment of gravel thru City by Whiting A Hay returned checks paid Sundry Miscellaneous Sundry 3,340.94 1,813.93 274.49 5,429.36 $70,180.43 Total Revenues f. " EXPENDITURES ' t General Government: Administrative: . , : Salaries and wages 4,913.90 325.00 Salaries and wages Mayor and Councilmen 413.55 Other charges taxes expense Payroll 76.20 Other charges F.I.CA. A Income tax withheld (net) 20.00 Other charges Subscriptions & Membership fees Rev. Ordinances, other Ord. & Pub. . . 2,380.32 Other charges - Other charges 132.00 Travel .... 453.10 Office Expense Other charges Telephone 288.14 Other charges Supplies 65.50 Service Contract on machine Other charges 200.00 C.P.A. Annual Audit Other charges 123.79 Other charges library building Electricity 988.32 all bldgs, emp, equip Other charges Insurance 40.00 Other charges i Fidelity Bonds . . . . 2,474.27 Returned checks Other charges 876.26 Add. machine, file, cooler, desk Capitol Outlays .... : : . 1958 series from 1948 series fund Transfer to Total Expenditures Cash balance, December 31, .1959: 1,391.15 Excess of Revenues over Expenditures- 5,811.98 70,180.43 ' r Cash balance on hand, Jan. 1, 1959: Revenues: Transfers from Wa. St Se. system fund Transfer from Bond proceeds Total Revenues Total Rev. & cash balance 75.992.41 KANAB CITY WATER A SEWER CONSTRUCTION FUND Cash Receipts and Disbursements Year ended December 31, 1959 Cash balance,. January 1, 1959 28,275.08 Receipts: , Grants from Fed. Govt Housing Home Fin. Agency $363,750.00 Grants from Fed. Govt - U.S. Public Health Agency 42,600.00 Proceeds from sale of bonds (Gen. Obligation water in 1958) Sewer Connection ; fees 70,107.85 State Road change line 4,603.99 Revenue from private sources Revenue from private sources Loan (note) Revenue from private sources Transfers Total .receipts and cash balance , Disbursements: Capitol outlays for construction: Treatment plant project, land, etc. Canyon Water line s Sewer 244,559 .27 18,974.32 50,190.81 16,810.94 System-cit- y Eng. fees, pub., ord., etc Other expenditures: Payment of note Transfer to waterworks bal. out const., loan accL - ' 546,277.03 13,639.12 to balance Expenditures: Matured Bonds Matured Interest Transfer to Construction fund Total Expenditures Cash balance, December 31, 1959: Excess of Revenues over Expenditures: December 31, 1959 13,770.35 . Municipal Court: Salaries and wages Justice of Peace fees . City Hall Buildings: Services Heat and power Materials Club room and furnace maintenance 520.00 468.71 46.88 515.59 Total General Government Public Safety: Police Department: Salaries, and wages Materials, supplies, maintenance . Other Special Dept supplies charges Jail Division Other, charges Travel Other charges . ... 14,805.94 . Unexpended 7,572.50 1,107.43 354.97 317.48 75.00 fiscal year (Hall authorization Total Authorization 13,639.12 & Jan. 60,000.00 1st 375 Kanab City 1957 1 A July Water A Sewer System Revenue due June 1 A December 1st Bonds, interest rate 4 ' of each year 39 Kanab City General Obligation Water Bonds, 1948 payable June 1st of. each year series, interest 3V4 8 65 Kanab City General Obligation Water Bonds, 1958 and 3 per cent, payable series, interest rate at 3 Jan. 1 and July 1 of each year 375,000.00 19,500.00 ' 65,000.00 $519,500.00 Submitted by Lula Robinson, Kanab City Treasurer 18,397.02 5,439.10 Glazier) 12,957.92 . accounted for 18,397.02 Operating Revenues: Sales of Water Metered water sales Sewer rentals Gbrisb Hens Holes . Mr and Mrs. A Speakers at Sacrament services Sunday were some of the Presidents of our Organizations, Leah Brinkerhoff Pres, of Relief Society; Rex Bauer, Superintendent of Sunday School and Clark Workman President of Young Mens Mutual Improvement Assn. v with Dot McArthur and Jerilyn Pugh rendering a vocal duet, accompan ied on piano by Elizabeth Esplin. Recorder If nobody ever said anything unless he knew what he was talkThe only way to get rid of re- ing about, a ghastly hush would descend upon the earth. Sir sponsibilities is to discharge them. Alan Herbert. 4,757.90 KANAB CITY WATER & SEWER UTILITY FUND Income and Expense Statement For the year ended December 31, 1959 Pendleton Don tort Msi)"tjf the week end seeing relatives and friends. 3 Fast service. Fair settlement Mr. and Mrs. Curtis Lamb and son of Vernal were here over the week end on business- and seeing relatives. of claims. Friendly people who are on your side. You cant buy better protection. Or - broader coverage. Or greater - Students home from the various colleges over the week end were: 4,833.11 Mr. and Mrs. Keith Anderson, Mr. and Mrs. Delwyn Maxwell and o 35,543.48 Margaret, Issac Chamberlain, Mackelprang, LaVerl Pugh, Mr. and Mrs. Dee Workman, Charles and Kurt Brlnkerhoff, and Anderson. $ 30,710.35 AUTO LIFE FIRE TRUCK peace of mind. And you save money, too! Lower rates because F a rmen i isu res careful drivers. ' 350.00 3.402.15 186.00 16.35 410.05 A wedding 12,922.88 Total operating Revenues Operating Revenue Deductions: & " llSillFaitl Friendly The Sunday School Stake Board visited our ward Sunday. A large group of the Glendale people attended the funeral services for President Odell J. Watson Saturday. A birthday party was given for Leon Brlnkerhoff at his home Monday for his 6th year. 8,385.00 ( Ordinances A Publications Travel Payroll taxes, expense Other charges Misc. water refunds freight, printing, etc. given f 20,709.68 General: was program were: A duet by Bishop and Mrs. Jack Maxwell, advice to the young couple by Lavere Brink-erhofand a piano solo by Emily Anderson; with LDean Anderson as Master of ceremonies. Operating Expenses: Power and Pumping; oil & Materials, supplies, services parts for well pump 2,883.50 Transmission & Distribution: labor 1532.00 Wages , 860.23 Operating Expense St maintenance Materials and supplies 5537.84 378.00 Equipment hire Eng. fees on Cave Lake survey, etc 347.00 Fiscal Agent fee 4662.24 Mach. & Equip, (backhoe A sewer tape 6791.54 600.83 Accounting office suppiles, telephone Administrative dance Thursday evening at the Glendale Ward Chapel in honor of Mr. and 20,247.87 Mrs. Melvin Olson (Barbara Anwhich was well attended 55,791.33 derson) and they received many beautiful and useful gifts. Those on the 2.960.44 fund-Backho- Farmers Auto Insurance Mrs. Margaret Bauer has been in the Kane County hospital for medical treatment the past week, we hope shell be returning home 233.55 101.00 199.88 LeRoy P. Judd Midway KANAB, UTAH soon. 446.61 9,366.04 9,427.38 Fire Department: 7 16.00 Salaries and wages 154.39 Materials, supplies, maintenance .....'. Utilities 473.61 Other charges Special dept, supplies, membership, dues 330.84 974.84 Inspection Department: Salaries and wages Total Public Safely Public Works: ' . . Waste Collection and Disposal: Equipment hire City Dump 513.75 10,915.97 . Streets: wages ....: ;; Materials and operating supplies Other charges Street lighting Other charges Equipment hire Sidewalk for library building Capital Outlay moo 1,248.63 y. 2,809.26 135.50 64.00 4,417.39 .t Treatment Plant: Labor wages Operating expenses Utilities 135.00 227.85 288.65. Salaries and wages Materials, operating supplies, etc Other charges Water line and strip project Terminal building project-ba- l Lighting project Engineers fees, clear zones, etc 275.50 710.99 10,998.69 3,656.59 FIRST STATE BANK OF SAUNA 651.50 Transfers: i . Bond Fund Revenue Bond Fund To 1957 Rev. Bond Reserve Fund To 1957 Rev. Bond Replacement Fund To Wa. A Se. Const. Fund (refund) 6,16010 2,818.76 5,904.96 1,428.72 Kanab, Utah 0 - Par.guilch, Utah , 19,401.90 Total Operating . Expense 53,012.62 , Operating - Income Water and Sewer Fund Balance: . Cash balance January 1, 1959 Total Receipts, 1959 2,778.71 Member of Federal Deposit Insurance Corporation " 5,622.03 55,79113 J.!::nb2nrf Fedara! Reserve System 60113.36 Total Disbursements, Less: 1959 53.012.62 taxes (net) A Withholding Cash balance, December 31, l5$0 ' .156.90 7157.64 11,338.85 2,841.46 Satina, Utah 8916 300.00 Airport: Other charges Other charges Other charges Sewer Utility: To 1949 Revenue Building Inspectors fees j Al-onx- Other Water Revenue: Water deposits Water Connections Fire Service & Hydrant rental Sale of materials Miscellaneous e Transfer Const. Loan Transfer Const. L. F. to bal off acct Salaries :... - Glendale Hens Holes 60 Kanab Water A Sewer Improvement Revenue Bonds, Interest due 1949 Series, dated July 1, 1949, 3 Total Statement of Reserve for Authorized Expenditures: Amounts authorized for const. - bank baL Dec. 31, 1959 Due from U. S Public Health . Less: Outlay for construction .1,030.14 375.54 - tUNDS KANAB CITY BOND REDEMPTION A INTEREST Fund) Within Bonds Utility Revenues & Expenditures, 1959 (Revenue . . 5,273.95 . St to .balance L391.15 64,982.68 1 . Total Disbursements Cash balance, December 31, 1959 - Matured bonds Matured Interest 92.05 150,00 64,982.68 Water fund- Total Revenues Total Revenues and cash balance 921.60 227.50 29,800.75 Charges for Current Service: Library fines and fees ' Cemetery upkeep fees and deeds hermTTefitThargvs- - . 6,678.04 & - t Property Taxes Transfer from 1948 8eries to l958 series Bank Balance, December 31, 1959 (includes airport) 11,009.73 GENERAL FUND Revenues & Expenditures Property Taxes Current year, property taxes Redemptions of prior years taxes -- 1, 1959: Expenditures: , 1959 Total Expenditures, ' I 600.00 75,992.41 STATEMENT KANAB CITY FINANCIAL -- No. G. 0. Bond Fund 1,325.15 Total Parks and Recreation TOTAL EXPENDITURES Excess of revenues over expenditures: General Fund Balance: Bank Balance, December 31, 1958 Total Revenues, 1959 MEMBER A 36,544.47 1,325.15 Farr.'Fredonla 6, 1944 i 29,827.1 Published every Thursday at Kanab, Utah COMMUNITY KANAB CITY BOND REDEMPTION A INTEREST FUNDS Bonds) Obligation 1959 (General Revenues Expenditures, G. O. No. Bond Fund ,N 5.00 OFFICIAL NEWSPAPER OF, KANE COUNTY, UTAH Fines Thursday, January 28,. I960 SOUTHERN UTAH NEWS, Kanab; Utah Tw 60,81316 Surplus $350,000.00 Capital $150,000.00 I |