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Show MONTHLY REPORT OF CITY TREASURER OUT Total of ?176,743.55 on Hand at End of June; Receipts for Month Are S71,195.96. At the end of Juno Salt Lake City had a total balance in all funds of $1 76,743.55, according to the monthly reports of the city treasurer filed with the commission 3'esterday. Total receipts for tho month from all departments were $71,195.96, which, together with a balance on hand at tho close of May of $257,095.07, brought the total cash availablo in June up to $32SX291.03. Total disbursements were $151,517.48, reducing tho balance on hand to $176,743.55. In tho revenue funds the receipts were $23,292.48 and tho disbursements were $109,591.85, leaving a balance of $25,627.63, as against a balance of $117,815.22 at the beginning of the month. Total receipts in the special funds were $47,903.48 and total disbursements disburse-ments were $41,955.63, leaving a balance bal-ance of $151,115.92, as compared with a balance of $139,279.85 at tho beginning of the month. |