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Show Moplefon ups costs; plans skating area The Mapleton City council approved the 1962-six month budget Monday night, beginning begin-ning January and ending June 30, 1962. Estimated revenues are $12,043. Expenditures in general government are estimated estim-ated at $3,095; public saftey $5,550; public works $4,470; public health service $300; parks and recreation $1,050; total expenditures general government gov-ernment $14,465. Deficit of expenditures ex-penditures over receipts in general government $2,422. Revenues water utility fund $6,500. Expenditures $3,100. Excess of Revenues over expenditures expen-ditures $3,400. Bond redemption redemp-tion and interest fund revenue $200. Expenditures $531.25. Def icit of expenditures over receipts re-ceipts $331.25. A motion was made and passed to increase the 1961 budget fom $6,000 to $25,000 for improvements in the water system. This will be taken care of with general obligation water bonds sold to the Commissioner Com-missioner of Finance. Douglas Brown representing the Jaycees, discussed with the City Council the feasibility of flooding the grounds on the park adjacent to the Little League Ball Park for a skating pond for recreational purposes. The Jaycees will cooperate with Fire Department and the City Recreational Committee in this project. |