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Show THE AMERICAN FORK CITIZEN, Thursday, October 18, 1958 1959 Ford To Be Shown Fri. The new 1959 Ford models will CO on display In the showroom at Alpine Motor Co., In American Ameri-can Fork, Friday, October 17, according to Douglas Ansley, manager. The new models feature "simplified design where possible," possi-ble," substantially greater windshield wind-shield area, a lighter version of the Fordomatic transmission and a slight reduction in horsepower. THE FORD LINE includes 17 models ranging from the Custom 300s (six inches longer than in 1958) through six station wagon models, to the Falrlanes and Falrlane 500. Station wagon length has been Increased more than five inches, cargo area is eight inches longer and cargo space 11 cubic feet more than in 1958. All 1959 Fords are on a 118-Inch wheel-base wheel-base and have an overall length of 208 Inches. All Occasion Special Peanut Crunches, Marshmallow-Cornflako Drops Library Bookmobile Stops in American Fork Of special interest to American Fork Library patrons should be the news that the Uath State Library Bookmobile made its first stop here recently and left two shelves of new books on a variety of subjects. Only a few of these can be listed here: The Dead Sea Scrolls Si Origins Orig-ins of Christianity Allegro. The Art of Book Reading-Center.' Reading-Center.' Explaining the Atom Hecht. Introduction to Geology Branson & Keller. The Concert Companion Bagar Si Blancolli. The Portable D. H. Lawrence ed. by Trilling. Operation Deepfreeze Admi ral Dufek. There will be a continuing opportunity op-portunity for people in this community com-munity to borrow books from the Bookmobile. Patrons are urged to make their wishes known to the librarian if they are in need of certain books not on our shelves. Attending the recent Utah Library Convention In Salt Lake City were your librarian, Mrs. C. D. Strang, and two members of the board, Mrs. Frank Greenwood Green-wood and Mrs. Donald Young. The meetings were found to be interesting and enlightening, and those attending received much encouragement concern- A quick pick-me-up after several sev-eral tiring houri work In the garden, during the middle of your annual house cleaning or just for a snack anytime, is a combination of tasty Peanut Crunchies and Marshmallow-Cornflake Marshmallow-Cornflake Drops with a cold, energy giving glais of milk. These easy goodiei can be made up any time of day, whenever the inspiration movei you. They take Just moments to make and can be kept on hand just like cookies. Crisp sugar coated corn cereal cere-al goes into the Peanut Crunchies. Crunch-ies. And cornflakes, as the name implies, are called for in the Marshmallow - Cornflake Drops, plus juit two other ingredients in-gredients marshmallows and butter. Whether thii light repast is served afternooni or evenings, to your family or guests, pour tall, cold, refreshing glasses of milk to make it better. Cereal and milk complement each other oth-er so well, both tastewise and nutritionwise. Make a "good hostess" reputation repu-tation for yourself by having these luscious goodies on hand for any and all occasions. Feaaat Craaohles cap batter H cup chunk atyle peanut batter 32 marshmallows (ft pound) X square unsweetened chocolate S caps crisp lagar coated corn cereal Place butter, peanut butter, marshmallows and chocolate in a saucepan. Cook and stir over low heat until the ingredients ingredi-ents are melted and well blended. Add cereal and mix well. Pack into buttered 8-inch square pan and let stand until set. Cut into bars when cool Yield: 28 Bars. MaranmaDew-Cornnake Dreps St marahmallows (ft pound) ft cap batter 3 caps cornflakes Melt marshmallows and butter but-ter in saucepan over low heat. Stir constantly. Remove from heat and add cornflakes. Mix well. Moisten hands with cold water and form mixture into small balls. Place on waxed paper-covered cooky sheet and let stand until Arm. Yield: About 2 dozen pieces. ing the future of library service in the state. The newly formed state library is now in a posi tion to assist local libraries in many ways so that they can better serve the public. Future Homemokers Conduct Annual Initiation Social Initiation of members into the Future Homemakers of America was held Thursday, October 9, at 7:00 pjn. at the high school, Following the ceremony during which 29 members were initiated the song leader for the year was chosen. She Is Patsy Lee. Games were then played and refresh ments served. The girls had a wonderful time and are looking forward to the coming activities in FHA. On September 23 the girls met in Mrs. Jorgenson's sewing room at the school at 3:00 p.m. and elected officers. Officers are: Annette Moyle, president; Joyce Allrldge, vice president; Karla Jensen, secre tary -treasurer; Lois Hales, his torian-reporter: Ann Francom, parliamentarian. Hurricane winds greater than 150 miles per hour are uncom mon. An average hurricane would be about 120 miles per hour Just outside the eye, tapering taper-ing off to 40 miles on the outer edge of the storm, according to the Navy's "Hurricane Hunters". Your old Electric Water Heater is worth $30 to you when Buying The New MISSION RANGER 30 Gallon Water Heater SPECIAL SALE - - S50 TRADE-IN ALLOWANCE 30 TOTAL COST S20 LIMITED QUANTITY AT THREE I'JAY PLUG & HEATING 89 North Center - American Fork FINANCIAL REPORT OF AL1ERICAII FORK CITY AMERICAN FORK, UTAH Financial Statements For The Fiscal Year Ending December 31, 1957 EXHIBIT "A" AMERICAN FORK CITY COMBINED BALANCE SHEET ALL FUNDS AS AT DECEMBER 31, 1957 General Fund 150.00 61,613.90 2,271.86 1,228.19 Sewer and Water Fund Cemetery Fund Special Sewer St Water General Assessment Revenue Bond Fixed Funds Sinking Fund Assets 213.26 (25,237.67) 12,578.73 25,697.70 1,156,273.19 (14,352.01) 440.59 241.73 87,750.00 6,040.10 3,830.96 22.50 1,000.00 1,621.36 2,046.78 2,041.30 1,254.20 28,475.26 97,465.79 711.81 ASSETS Total Petty Cash $ 150.00 Cash in Bank 23,645.58 Cash in Bank Special Funds . 6,800.53 Accounts Receivable 13,806.92 Notes Receivable 241.73 Due from Other Funds 117,479.46 Prepaid Group Insurance Payable 213.26 Assessments Receivable 97,485.79 Bpeclal Assessment Liens 711.81: Investment In Water Stock 25,697.70 Utility Plant In Service 1,156,273.19 Unsold Cemetery Lots 6,040.10 Buildings Si Equipment 3,830.96 UJB. Treasury Bonds 30,000.00 Accrued Interest Income 116.25 General Fixed Assets 169,469.79 Investment in Veterans Council Bonds 1,000.00 TOTAL $ 1,652,943.07 $ 65,477.21 $1,169,311.95 $ 84,973.87 $103,099.94 $60,610.31 $169,469.79 Less: Reserve for Depreciation 190,708.73 Reserve for bad debts 1,757.18 TOTAL DEDUCTIONS $ 192,465.91 GRAND TOTAL $1,460,477.16 $ 65,477.21 30,000.00 93.75 169,469.79 189.562.94 1,757.18 1,145.79 $ 191,320.12 $ 1,145.79 $ 977,991.83 $ 83,828.08 $103,099.94 $ 60,610.31 $169,469.79 LIABILITIES, RESERVES, CONTRIBUTIONS AND SURPLUS LIABILITIES: Due to Other Funds v $ 116,225.26 87,750.00 28,475.26 Notes Payable 241.73 Bonds Payable 708,424.85 612,000.00 Contracts Payable 2,365.00 TOTAL LIABILITIES $ 827,256.84 $ 87,750.00 $640,475.26 RESERVES Cemetery Perpetual Care Trust Fund .... 89,420.26 89,420.26 Class "C" Road Fund 2,271.86 2.271.86 TOTAL RESERVES $ 91.692.12 $ 2,271.86 - $ 89,420.26 CONTRIBUTIONS Contributions in aid to Construction ....$ 203,168.41 203,168.41 SURPLUS Unappropriated Surplus $ 168,890.00 ( 24,544.65) 134,348.16 ( 5,592.18) Investment in Fixed Assets 169,469.79 TOTAL SURPLUS $ 338,359.79 (24,544.65) 134,348.16 (5.592.18) GRAND TOTAL .....$ 1,460,477.16 $ 65,477.21 $977,991.83 $ 83,828.08 241.73 96,424.85 2,365.00 $ 99,031.58 4,068.36 60,610.31 169,469.79 4,068.36 60,610.31 169.469.79 $103,099.94 $ 60,610.31 $169,469.79 Supporting Exhibits "'B" "H" "K" EXHIBIT B" AMERICAN FORK CITY GENERAL FUND . BALANCE SHEET AS AT DECEMBER SI, 1957 - ASSETS Petty Cash Cash In Bank ;. A Cash In BankClass "C" Road Fund .: Accounts Receivable for 1953 Roads Accounts Receivable for Garbage Collection .. ;:......;.. Prepaid Group Insurance Payable Total Assets LIABILITIES, RESERVES AND SURPLUS Liabilities Due to Cemetery Fund Reserves Class "C" Road Fund Reserve Surplus Unappropriated Surplus Total Liabilities, Reserves and Surplus $ 150.00 61,613.90 2,271-86 491.94 736.25 .2132 $65,47721 487.750.00 2,271.80 (24,544.65) $65,47721 EXHIBIT American FORK CITY GENERAL FUND STATEMENT OF REVENUES AND EXPENDITURES AND COMPARISON WITH BUDGET FOR YEAR 1957 1957 Budget Revenues General Property Taxes $ 95,245.00 Building Inspectors Fees 1,500.00 Bicycle" Licenses 100.00 Business Licenses 7,500.00 Dog Licenses 750.00 Fines and Forfeitures 10,000.00 Garbage Collection Fees 7,500.00 Out of City Fire Service 2,500.00 Rental Income 75.00 Sale of Fixed Assets 100.00 State Liquor Fund Allotment 7,441.25 City and County Roads 2,000.00 Sundry Revenues 100.00 Class "C" Road Fund 11,000.00 TOTAL REVENUES $ 145,811.25 EXPENDITURES ADMINISTRATIVE AND GENERAL Received or Expended 93,299.05 1,708.50 32.00 7,321.14 647.00 7,45733 8,394.55 4,107.83 50.00 7,441.25 1,029.16 3.65 10,714.68 $ 142,206.05 Buildings City Hall Expense Contributions Furniture and Fixtures Election Expense Insurance and Bonds Interest Expense Legal and Audit Ordinances and Publications .. Real Property Acquired Salaries Stationery and Supplies Subscriptions and Membership Sundry PUBLIC LIBRARY Library Appropriation PUBLIC SAFETY HEALTH DEPARTMENT Salaries City St County Health Department 124.80 1,044.76 124.80 1,044.76 TOTAL HEALTH DEPARTMENT $ FIRE DEPARTMENT Cost of operating Equipment Equipment , Station Expense Salaries Supplies Si Miscellaneous TOTAL FIRE DEPARTMENT $ POLICE DEPARTMENT Building Inspector Equipment Justice Fees Si Court Costs Patrol Car Expense Poundkeepers Fee Prisoners Maintenance Salaries Supplies Uniforms Si Badges Power Miscellaneous $ 11,084.40 $ 11260.35 1,500.00 $ 1,53325 1,400.00 1,307.41 2,000.00 1,804.00 2,400.00 2,846.14 700.00 427.25 400.00 281.27 ... 18,500.00 18,514.25 200.00 186.38 500.00 292.05 250.00 232.55 200.00 220.96 ...$ 28,050.00 $ 27,645.51 ..$ 40,303.96 $ 40,075.42 STREETS AND PUBLIC IMPROVEMENTS STREET DEPARTMENT Cost of Operating Equipment Engineering Equipment '. Garbage Disposal Expense Manual Labor Materials Rental of Equipment Salaries 16,700.00 Street Lighting Supplies Sundry , Building Improvements Appropriation for 1953 Road Deficit Appropriation for Special Improvements TOTAL STREET DEPARTMENT $ PARKS AND RECREATION 7,500.00 8,611.65 2,500.00 225.00 3,500.00 3,397.50 79492 1 ,000.66 1,567.50 3,500.00 3,926.07 1,500.00 186.75 16,700.00 17,714.20 7,500.00 7,678.03 300.00 248.45 200.00 366.20 5,000.66 5,666!66 11,000.00 10,714.68 2,500.00 3,061.23 $ 62,700.00 $ 63,492.18 Equipment Appropriation to Baseball Committee .... Appropriation to Recreation Committee Labor Power Supplies Si Repairs Miscellaneous Cost of Operating Equipment 600.00 2,666.66 4,100.00 400.00 1,800.00 400.00 600.00 451.72. 300.00 2,000.00 4,726.25 1,049.62 1,958.49 284.89 465.31 (Over) or Under 1,945.95 (208.50) OB.0O 178.86 103.00 2,542.67 (894.55) (1,607.83) 25.00 100.00 970.84 96.44 285.32 $ 3,605.20 1,500.00 1,518.40 (18.40) 2,250.00 2,433.51 (183.51) 500.00 328.48 171.52 750.00 812.15 (62.15) 4,500.00 5,824.81 (1,324.81) 4,000.00 3,101.63 89837 1,200.00 925.00 275.00 500.00 589.21 (8921) 1.000.00 1,000.00 9,060X0 9,060.00 1200.00 122228 (2228) 1,500.00 862.54 637.46 79729 1,302.95 (505.66) 28,757.29 $ 27,980.96 $ 776.33 4,150.00 4,259.50 (109.50) ..$ 1,169.56 $ 1,169.56 300.00 157.71 142.29 5,284.40 5284.40 750.00 478.87 271.13 4,000.00 4,244.00 (244.00) 750.00 1,09537 (345.37) (175.95) (3325) 92.59 196.00 (446.14) - 272.75 118.73 (14.25) 13.62 207.95 17.45 (20.96) $ 404.49 $ 228.54 (1,111.65) 2,275.00 102.50 (794.92) (567.50) (426.07) 1,313.25 (1,01420) (178.03) 51.55 (166.20) 285.32 (561.23) (792.18) 148.28 (300.00) (62625) (649.62) (158.49) 115.11 134.69 TOTAL PARKS AND RECREATION $ 9,900.00 TOTAL STREETS & PUBLIC IMPROVEMENTS . 72,600.00 TOTAL EXPENDITURES 145,81125 EXCESS OF REVENUES OVER EXPENDITURES $ 11,23628,4 74,728.46" 147,044.34 $ (4,83829) $ (1,336.28) (2,128.46) (1,233.09) $ (4,838.29) |