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Show CITY OF MILFORD RECEIPTS and DISBURSEMENTS JANUARY 1, 19.-4 TO DECEMBER 31, 1934 GENERAL FUND Cash in Bank. Jan. 1. 1955 $11,463.81 Uncashed Warrants, Jan. 1, 1955 3,400.28 $ 8,063.53 Petty Cash Fund 12 00 . EXPENDITURES Federal Insurance Compensation Act $ 5.68 Withholding Tax Payable 616 70 City Council 3,44345 City Recorder ; 6Q0 Q0 City Attorney 226 Qg Justice Court - 7- nn Auditing and Soecial Accounting ' Assessing and Collecting Taxes 7b f.za Police Department 102 04 City Jail 719 88 Fire Department . Water and Sewer Department , ono i n Water and Sewer Improvements ?'" Street Department Oiling , cn-'on Street Lights lltn Sidewalk Maintenance oT'nn Street Decorations Christmas f uu Street Curbing City Property b0a.4U Park Maintenance ooao Fairgrounds Maintenance Swimming Pool 1 til Ball Park Weed Control --"j? Cemetery Maintenance aq-'qq Garbage Department s- nn Dump Grounds ,,o? Board of Health Septic Tank Cleaning J " Insect Control q'q- Airport Maintenance 9 Milford Public Library 795.77 Insurance and Fidelity Bond Premiums 1,434.73 Donations 150.00 F. I. G. A. Contributions 568.51 Unclassified General Expense 141.10 REVENUE Unappropriated Surplus SI 4.291.59 Property Taxes general fund levy 21,779.27 Apportionment of Liquor Profits 2.428.63 Trade Licenses 2.422.85 Dog Tax License 287.00 Eicycle License 19-00 Dance License 2.00 Building Permits 15.50 Peddlers Filing Fees ?8 50 Fines and Forfeitures 776.00 Garbage Collections 252.75 Water Sales 17,679.28 Tapping Water Mains 120.00 Sewer Connection Fees 570.00 Sale of Cemetery Lots 455.00 Swimming Pool Revenue 844.77 Unclassified Revenue Receipts 871.88 Grant-in?Aid County 900.00 Transfer to General Fund from Other Funds (Special Street Fund) . 3,500.00 $67,262.02 $67,262.02 BOND RETIREMENT FUND Cash in Bank. Jan. 1. 1955 '. $ 1.826.32 Retirement of Bonds Principal 3.500.00 Retirement of Bonds Interest 1.568.26 Miscellaneous .65 Unappropriated Surplus 3.852 68 , Property Taxes Bond Retirement Levy 3.042.55 $ 6.895.23 $ 6.895.23 SPECIAL STREET FUND Cash in Bank, Jan. 1. 1955 $ 50.06 Due to Other Funds (General Fund for Oiling Streets) 3.500.00 Unappropriated Surplus 418.79 Class "C" Road Allocations 3.056.27 Assessments Special 75.00 $ 3.550.06 $ 3.550.06 LIGHTING DISTRICT NO. 1 Cash in Bank, Jan. 1. 1955 527.13 Street Lights, special 528.00 Unappropriated Surplus 664.42 Payment on Assessments 390.71 $ 1.055.13 $ 1.055.13 INSECT CONTROL FUND Ca-h in Bank. Jan. 1, 1955 $ 04 71 Supplies " 183 20 Unappropriated Surplus 7S 59 Contributions ..." 309 32 $ 387.91 $ 387.91 STREET OILING FUND Cash in Bank, Jan. 1, 1955 $ 026.00 Oiling Streets , j Assessments Receivable ' 2.41S.1S $ 2.415.15 $ 2.41515 STATE OF UTAH, ) ) SS. County of Beaver ) i! M," MU1'!VS: ,l10 dl,,y "Pointed, qualified and acting City oSmuU,e.C,,y f,MiUo,d- l"i,h- hereby certify that the foiegomg is a rue and correct statement of receipts' nnd disbursements dis-bursements of the City of Milford for the year 154 (SKAL) V- M 1UIKNS. C ity lU-cordcr. |