Show s n i z r y j p Itt r R COUNTY FiNAN FINANCIAL STATEMENT i 1975 tl 7 COUNTY DEBT SERVICE FUNDS or OF aa AND FOR Km TIll YIA YAR RR 31 it 1975 1973 Revenue Revenues Current Fund Year Vear Redemption Balances Balance Property Prior r Year Jan t 1 im 1975 Ta Tu a Taxes Tu M l Bond lua 90 42 0 0 10 t StateMent of Revenue and Expenditure a compared with Budget ludt and Appropriations for th the year er ended December 31 31 1973 1975 Over or hUNted Actual Under Revenues Revenues Rev nue Estimate ma 58 2 Bond Issue Inu 0 0 2867 X R COUNTY CAPITAL PROJECTS FUNDS STATEMENT 0 or CASH RECEIPTS AND FOR FOIl TIll TIE YEAR ENDED EMBED DECEMBER 31 11 1913 1977 Collector Road Rod ina Construction library Pool Fool Project I Construction Total CH Fund und Fund Cash Ch Silence Balance January 1 I 1975 1973 0 O Interest Transfer Fr trim Pro Other Othar Funds Fund Total Receipt Total Cash Ch Balance end and Capital Outlays Outlay for Construction 66 07 Cash Cah Balance lanc December 31 1975 0 0 OF RESERVE rOIl FOR AUTHORIZED Authorised For Por Construction Project D Le 1411 Capital Outlays Outlay For Por Construction Of Prior Racal Periods 0 0 Of Current Floral Periods Period Total Disbursed Silence Balance December 31 31 1973 1913 rv For Por Authorised 0 0 EXHIBIT L UINTAH COUNTY SPECIAL SERVICE ENTERPRISE ruH FUND COUNTY GENERAL HOSPITAL STATEMENT OP or INCOME AND EXPENSE TOR FOR TIlE THE YEAR ENDED EMBED DECEMBER l 31 1975 laming Earnings Fro Proa Routine Services Service Special Services Total 7 Z Reduction of Earnings Prom From Contractual Adjustments Adjustment Free Service General 1000 Courtesy end and Miscellaneous Allowances In 1100 00 1 Provision For Receivables 3 J. J 09 ll 9 Net Patient Inc Income 7 Other Operating Inc Income s Employee Room Roen 0 O Pay Py Cafeteria 5 S Total Operating Inc Income l Operating Salaries and nd Wages v Supplies end and Expense l Pr Provision For Depreciation Other Operating Expense Expo i ilU 7 LT 87 1 Net Operating Inc Income Or Loss Lau 16 Other Income Intone Budget Transfers Transfer Fr Prom Pro General Fund rund Grants Grant Prom iron Stets State or C 0 0 Other Expense 0 Net Inc Income For Por The Current Currant Fiscal Year Or Lose Loll Balance January 1 I 1975 1915 L. L Less lese Prior Year Veer nt lanc December 31 31 1173 1975 Expenditure L Fund Honda lond Interest collett Collecting In Salome U LA lured Dee Dei 1 1 1975 1911 0 0 0 0 0 Over or Budget Actual Under t Appropriation Expenditures Budget 0 0 0 0 0 o 0 ww f tt I Christmas Ch t mas Gift G-ft I f m tA t. t I Im ii J 1 w. w tr J i h. h r i i t t m Subscription S U. U b t- t Ion t i W I a Si i y m w J W J if t LJ r k k J kr M I B V t f. f Bargain a In 1 w wi r 1 i d v- v v iV I f J p I f. f itI t 7 aA f I l Jt t. t G. G GIve Y t y I Ive Th The e tJ Wi w b r L erd 1 d 1 0 el J 2 Ufa I 0 6 nS nA TI n di U 01 mt hoe hau O vt nu i i t n J Juo k kAs rn t As a CHRISTMAS GIFT THIS YEAR Special Rates aces for New Subscriptions NOT RENEWALS to 6 r for r One Year ear 19 AY REGULAR RATE Within Vernal Trading Area A Gift Card Will Accompany Your Paid Gift Subscription U Send TH THE E EXPRESS EXPRESS' To L Name please print as m my Gift Street City State and Zip No Send THE EXPRESS EXPRESS' To Name please print as as my m Gift Street d City State State anal and Zip No My Gift Car Cards s Shou Should 1 1 Read From 00 Name ame Name please print prin Street n City State and Zip No I Out Out-of Out Area Area New Christmas Gift Subscription D p You may also Renew my Subscription as part of this order at Regular Rates Rates Please Enclose Check or Money Order and Mail to J 1 x THE VERNAL EXPRESS 1 PO P.O. O. O Box 1010 VERNAL UTAH I |