Show I THE CITYS FINANCES ALTorron SWANS RJEPOUT FOR THE MONTH OF OCflOBEJl Receipts and Disbursements Deficit Amounts to Over Forty Six Thousand Dollars City Auditor Swans financial statement for the month of October a submitted to the city council lat night still shows S i 4 rh f + < II ucua u u u ment i as follows RECEIPTS CEIITS City taxes 1S96 0000 0 Water rates 1S3G97 8893 S3 Liquor licenses 720000 Miscellaneous licenses l9ol 2o Merchants licenses 1208 8 Paving district No7 4163 S Fines and forfeitures 1226 o Poll tax 41750 Cemetery 202 2 Franchise 200 0 Dog tax 17700 Engineers department 134 S I Rent 10500 Paving district No 1 5G t 0 Health department 2 0 S Interest 2029 Water rates 1S9596 190 Curbing and guttering 160 J Supplementary water rates 1 0 Sewer tax 10 00 I Waterworks 323 Land 1 C Salary council serv refund 2 per cent E H Callister 13400 M E Mulvey 17 00 Warrant returned to treas 4 3 5 3 Total 46038 C9 Deficit 4664228 Grand total 9271097 DISBURSEMENTS Balance as per statement September Sep-tember 30 33129 SO Interest on bonds Issue May 1S94 2000000 Salary 3S79 15 Paving Second South street 3431 77 Waterworks department 30171 99 Police 296179 Fire 2U79 54 Street sprinkling > 241450 Street lighting 2374 50 Sewer refund 237552 I Gutters and intersections lSSl 49 Street department 144223 I hTir lTi > CT ntr ilnTmrtTnpTlfr 1 3IR 1 Watermasters 126541 I Health 128275 Cemetery 595 10 Prison 53147 Crematory 507 75 Liberty park 49728 Joint building expense 4747 Paving district No1 35000 Prison guards 25925 Board gars works 25000 Legal expense 11 SO Hospital 111 70 Interest 10507 Treasurers office 92 10 Printing and advertising 7 75 Donations 7 0 Sewer IS 0 Street paving refund 46 15 Expense 40 G Recorders office 26 10 Sewer farm 2250 Fines and forfeitures 14 20 1 Street repairs 11O Auditors office 4 10 Total 59274097 |