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Show EXPENDITURES AND RECEIPTS LISTED IN JORDANDISTRICT Annual statement of receipts and disbursements of the Jordan school district as published in the Ute Sentinel at Midvale on March 3, showed a total of $563,-656.37 $563,-656.37 was expended during the school year 1937-38. Receipts were listed as $563,-656.37 $563,-656.37 and divided as follows: Cash balance, operating fund, June 30, 1937, $49,078.70; cash balance, building fund, June 30, 1937, $.00; state school fund, $150,523.64; state high school fund, $3,994.88; Jordan district taxes, $353,669.30; miscellaneous receipts, (rents, vocational education educa-tion funds, etc.) $6,389.85. Disbursements included: general gen-eral control, $17,012.56; instruction, instruct-ion, $346,955.83; coordinate acti- vities, 6,923.61; auxiliary agencies agen-cies $33,280.63; operation, school plant, $48,741.03; maintenance, school plant, $20,622.34; fixed charges, $6,018.92; capital outlays, out-lays, $86,037.60; debt service, $.00; emergency, $510.65. Cash overdraft, operating fund, as of June 30, 1938, was $2,446.-80. $2,446.-80. There were no bonds issued or redeemed. |