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Show FUNDS OF THE CITY SHOW A DEFICIT ! According to a statement from City Auditor Au-ditor Felt, a to the financial condition of the city on April 30th, which was given to the Council last night, there-are deficits in three out of seven fund. The deficit funds and the amounts are as follows: Contingent expense, 1.719.24; streets and sidewalks, 32662.M; Irrigation and water 'supply, ll.861.1t. making a total of $34.-132.91. $34.-132.91. The following funds have these balances on hand : Wat er works. 310.7W.03 ; sewers and drains. S7&7.28; public library, li-brary, $6718.04; special funds. $53,065.38, making ma-king a total of $78.S.71. The exceae X j balances over deficits is $44,227.80. |