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Show j Annual Financial Report OF THE CITY OF MILFORD, FOR THE YEAR ENDING DECEMBER 31st, 1948 i GENERAL FUND i RECEIPTS Property taxes, general fund levy $ 2,401.52 Apportionment of liquor profits 2,531.00 Trade licenses 3,080.13 I Dog tax licenses 231.00 Bicycle licenses 78.00 Dance licenses 14.00 Building Permits 35.50 Peddler's affidavit filing fee 25.50 Livestock permits 1-00 Fines and forfeitures '. 775.00 Garbage collection fees 1,013.75 Water sales 12,708.71 Tapping water mains 20.00 Sewer connection fees 76.00 Sale of cemetery lots 60.00 Sale of city property 35.00 Airport hangar rental 120.00 Unclassified revenue receipts '1,047.11 Grant-in-aid, county: Fire department $400.00 Airport 557.00 957.00 Transfer to General Fund from other funds .... 23.64 Tax anticipation note 2,000.00 $27,233.86 Bank Balance, January 1st, 1948 $ 6,457.30 DISBURSEMENTS ADMINISTRATION v City Council expense $ 474.50 City Recorder's office 2,789.16 City Attorney's office 600.00 Justice Court 239.25 Town House 13.00 Auditing and special acc'ting 557.75 Assessing and collecting taxes 549.11 Election expense 8.95 $ 5,231.72 PUBLIC SAFETY City jail 93.58 Police department 5,209.73 Fire department 637.39 Cattle guard fence 3.00 5,943.70 WATER AND SEWER DEPARTMENT Salaries and Maintenance 6,250.00 STREETS AND SIDEWALKS Street maintenance 597.52 Street lighting 1,308.40 Christinas street lighting 30.28 Sidewalk maintenance 3.50 1,939.70 PARKS DEPARTMENT Parks maintenance 2 059.92 Fairgrounds 1,037.20 Cemetery 1.00 3,098.12 HEALTH AND SANITATION Garbage collection 766.43 Dump grounds 13.00 Board of Health 103.05 882.48 PUBLIC SERVICE Airport maintenance and operation 39.87 STATUTORY AND GENERAL Capital outlay, all department 2,555.41 Insurance and Fidelity Bond premiums 846.56 Donations, charity and civic 128.75 Contributions to other a city funds 2,192.15 ; i. Tax anticipation notes 1,500.00 Interest on notes 82.33 Unclassified gen'l expenditure 337.30 7,642.50 Withholding taxes 769.35 $31,797.44 Bank Balance, January 1st, 1949 1,893.72 $33,691.16 $33,691.16 " SPECIAL FUNDS SPECIAL STREET FUND RECEIPTS Class 'C" Road Fund State 1,864.02 Bank balance, January 1st, 1948 350.59 DISBURSEMENTS Street maintenance and construction 1,317.82 Bank balance, January 1st, 1949 896.79 $ 2,214.61 $ 2,214.61 WATERWORKS IMPROVEMENT FUND-RECEIPTS FUND-RECEIPTS Beaver County taxes 209.40 Bank balance, January 1st ,1948 3,638.68 DISBURSEMENTS Improvements , 3,271.32 Bank balance, January 1st, 1949 576.76 3,848.08 3,848.08 FAIRGROUNDS IMPROVEMENT FUND-RECEIPTS FUND-RECEIPTS Contribution from 1947 race meet 270.49 Bank balance, January 1st 1948 279.05 DISBURSEMENTS 1948 Race Meet 494.64 Bank balance, January 1st, 1949 54.90 549.54 549.54 CITY HALL BUILDING FUND-RECEIPTS FUND-RECEIPTS Grant-in-aid Federal 700.00 DISBURSEMENTS Architect Fees : 700.00 700.00 700.00 BOND INTEREST FUND-RECEIPTS FUND-RECEIPTS Beaver County taxes 854.14 Bank balance, January 1st, 1948 8,513.33 . DISBURSEMENTS redemption Bonds, Nos. 37-38-39, Series April 1st, 1931 3,000.00 interest on bonds 2,011.40 R , 5,011.40 carK balance, January 1st, 1949 4 356.07 9,367.47 9,367.47 MILFord MUNICIPAL AIRPORT CONSTRUCTION FUND .. RECEIPTS urant-m-aidFerloral " 28.984.15 Contribution from other city funds 2,080.00 , ?, 45,667.36 Bank balance, January 1st, 1948 3,750.00 DISBURSEMENTS Construction 47,162.58 Engineer fees 1,448.83 j Administrative 41.60 48,653.01 Bank balance. January 1st, 1949 764.35 49,417.36 49,417.36 STATE OF UTAH, County of Beaver, ss. I, V. M. Burns, duly elected and qualified City Recorder of the City of Milford, Utah, do hereby certify that the foregoing is a true and correct statement of receipts and disbursements of the City of Milford for the year 1948. V. M. BURNS, |