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Show FISCAL REPORT OF THE CITY RECORDER SPRINGVILLE CITY, UTAH FOR THE YEAR ENDING DECEMBER 31st., 1926. RECEIPTS General Fund 1 Taxes .? 4,891.57 General Licenses 1,655.25 Cigarctt License 60.00 Fines 410.00 City Pasture 1,880.30 Dog Tax 199.50 Bicycle License 125.00 Interest on Daily bank balances 649.51 Dividend on Sugar Stock : .'.' 367.50 Cemetery Care .' ' 431.07 House Numbering . . .' 353.45 Refunds (Fire Dept.) ....... 147.00 Miscellaneous 23.05 11,193.20 Electric Light Fund. 1925 Accounts Receivable 4,846.81 192G Electric Light Rates 16,761.00 i - 21,607.81 Water Works Fund. 1 Taxes 1,362.00 Bonds' 88,000.00 Delinquent water accounts .... 1,378.14 1926 Water Rates 5,801.23 Refund on material 146.98, Interest on Bonds ' 58.55 96,746.90 Streets and Walks Fund. Taxes 1,821.11 Sidewalk Accounts 133.89 Material Sold 72.50 ' " ' " 2,027.50 Irrigation Fund. Delinquent Irrigation Accounts 2,530.26 1926 Irrigation Rates 1,932.61 Salt Sold .' -. 5.75 4,468.62 Library Maintenance Fund 782.66 Bond Interest Fund. Taxes ..v..... 3,476.20 Interest from S.L.&U.R.R. Co.. 969.58 4,445.78 Street Paving District No. 1 Fund 2,308.53 Cemetery Trust Fund (Perpetual Upkeep) , 710.00 Electric Light Bond Sinking Fund .f 319.75 Water Works Bond Sinking Fund . . f . 1,677.98 Library Bond Sinking Fund . '.". 'J . 526.85 Street Paving District' No. 1 Bond' ' V ' Sinking Fund , ' 1,237.90 Abutters Portion, Street Paving District No. 1 Fund . . . ..I 3,284.39 Grand Total Receipts .151,337.87 Cash Balance, January 1st, 1926 ., 80,030.04 I i $231,367.91 ; DISBURSEMENTS. , ' ( 7 ' I General Fund. ' i Administrative: - ' Salary of Officers 2,844.60 ! 1 Miscellaneous 2,649.01 ' 5,493,61 i City Hall ' 175.05 I ! Citv Park 1,236.65 ; Police Dept. i 2,775.87 , Fire Department 3,450.09 ' i I Custodian of City Property . . . 1,369.69 ;l j ! City Pasture 836.60 1' I Street Sprinkling 1,219.71 Cemetery 681.22 - i . ' 17,238.49 I Electric Light Fund. Maintenance 15,352.40 ' Extensions 712134 - ' Equipment 293.27 New Unit & Building .- 16,068.18 Refunds :....'..'....'.. ., - 196.73 ' 32,622.92 Water Works Fund. ( Maintenance 5,310.36 Extensions 114.29 1st & 2nd Replacement . . 146,191.64 Strawberry Water Installment 3,645.15 Equipment ...;..."....' :' '166.86 ' 155,428.30 Streets & Walks Fund. . Maintenance 2,7.91.03 Equipment 1,224.14 - 4,015.17 Irrigation Fund 4,090.41 Library Fund ' 2,635.09 Bond Interest 6.239.15 Sinking Funds , .. f' 6,500.00 Abutters Portion Street Paving : District No. 1 : . 3,650.82 ' Grand Total Disbursements ..$232,420.35 ' Less Overdraft December 31st, 1926 1,052.44 $231,367.91 Bonds Outstanding: Electric Light Bonds $ 14,000.00 . Water Works' Bonds 158,500.00 ! Street Paving Bonds 12,500.00 ' Library Bonds 15,000.00 $200,000.00 State of Utah, ' County of Utah, Springville. SS I. W. W. Harrison, the duly elected and qualified City Recorder of Springvillo, do hereby certify that the above and foregoing is a full, true, and correct report' of business done by the Citv of Springville for the fiscal year ending Decem- bcr, 31st, 1926. . ' . In Witness Whereof, I have hereunto set my hand and affixed the corporate seal of the City of Springville this 31st day of January, A. D. 1927. ' - ' W. W. HARRISON, City Recorder. Subscribed and sworn to before me this 31st day of j January, 1927. 1 Thorn C. Miner, I" Notary Public, Residing at J Springville, Utah. My Commission expires Jan, 25, 1929. " |