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Show OF PRICE CITY, UTAH, FOR THE YEAR Cash on jt) f January rui.ki ks inl m )nd . . I . . !rsa Htnki Outstanding prcembrr f (1S.0I8 17 , 5.579 48 31, 1930 Cuib, Cutler, Sewer, Sidewalk. No. 1 . Curb end Gutter, No 4 Cura, Gutter, Sewer, Sidewalk, Grade, and Gravel No. A Total Cash ailatle January I, 90.448 - I&37 81 Grade, Gravel, Asphalt and Sidewalk, No. 0 Curb, Guttrr, Grade, Gravel, Asphalt and Sidewalk No. 2 Sewer, Grade, Gravel and Asphalt, No. 7 5 Cuib, Gutter, Walk, Grade, Gravel. A'phalt, No. Grade, Gravel, Asphalt, No. 3 Grade, Gravel, Asphalt, No. 4 Sidewalk and Armco, No. 9 Sewer No. 4 10 Cuib, Gutter, Grade, Gravel and Asphalt No. Southwest Sewer RECEIPTS 65,855 95 IJth'.S Water Kales Tax - . . Urs-ns- e, -- Mi art llannMiS - , .... - , . .. . . Collection Dot' . , . Water Connection .... Taxes (Redemption an4 1937) .. Plumbing Insjwcljon .. Electric Tax Notes Interest Daily Balance (General Fund) Hospital Interest Dailjr Balances (llorjital Fund) !nettin 1,188 00 1.551 50 42,029 64 1 93 25 . . 7.182 04 668 61 4,965 01 1.707.28 ( Bonds) - - 10,516 61 2,000 00 4,275 70 1.000 00 1.114 40 - 1.196 32 - 1,485 61 4,000 00 . .... 3.440.17 I - Total Sinking Fund Investment 335 58 25.588 70 299 08 14.338 02 757 38 1 Cemetery Permanent Fund Investments U. S. Government Bonds (Par) Uinta Power Bonds Curb, Gutter, Grade, Gravel and Asphalt, Wallace Contract and Deed 2.476 09 2.280 60 408.536 24 163,545 24 10.50000 200 00 396 45 No. 10 ... 3.850 00 j Total Permanent Fund Investments Total Cash on Hand and Disbursements for , .. , ..... $ 14.948 45 TOTAL CASH IN BANKS AND INVESTMENTS - 1937 $512,081.48 $144.080 33 DECEMBER 31, 1937 14.000 00 14 64 59.052 20 Cash and Investments as of December 31, 1937 Assets and Liabilities as of December 31, 1937 7.01 2.6H0 78 Library ...... 2,840.20 Cemetery Permanent Fund,... 8,813 11 Water Bond Fund 12.079 62 Water Construction Account 82.811.25 Municipal Building Account 36.943.74 Sinking Fund 5.517.52 Special Improvement Guaranty fund 760.00 Southwest Sevier Line 507.78 Special Installment Fund None 1 Paving District No. None Paving District No. 2 . 170.38 Sewer District No. 3 .. .30 Curb and Gutter, District No. 2 172.77 Sidewalk, District No. 3 84.26 Curb and Gutter, No. 3 1,018.74 1 Curb. Gutter, Sewer, Sidewalk, No. 2.191.53 4 No. r Cuib and Gutter. Curb, Gutter, Sewer, Sidewalk, Grade, Gravel, - No. 437.84 195 49 . ! 174 20 . C. G, S. SW, G, G. No. I G. G. & ASP., No. 4 G. G. & ASP, No. 3 S. G. G. & ASHl, No. 7 G, G. ASHL & SW.. No. 0 Sew er, No, 4 SW'. & ARMCO. No, 9 C. G. SW. C. G. & ASPH, No. 5 81980 Total Expend. ture, less Checks Outstanding Cash on Hand and in Bank December 31, 1937 316 00 716.25 - . II General Fund Hospital Fund Sinking Fund Investments $411.012 33, Ies Chek Outstanding: 751 97 DECEMBER 31, 1937 1.052 34 2,769 07 Total Exjenditurcs 55 00 - Sen l' Deposit Justuf 3 G06 69 ...... 73 50 Birytle Linen . Sew r Connrrtion Garbage - . 13,168 48 796 50 . . General Ccintery , 32.513 87 J, 206 52 . 1 ENDING 6 Grade, Gravel. Asphalt, Sidewalk, No. Sidewalk, Asphalt, Gravel, Curb. Gutter, Grade, No. 2 Sewer, Grade, Gravel, Asphalt, No. 7 Curb. Gutter, Sidewalk, Grade, Gravel, Asphalt No. 5 Grade, Gravel, Asphalt. No. 3 Grade, Gravel, Asphalt. No. 4 Sidewalk and Armco, Culvert No. 9 Sewer District No. 4 Curb, Gutter, Grade, Gravel, Asphalt, No. 134.64 4,489 85 570.95 4,602.82 880 21 2,678.43 330.25 j 297.11 10 ......... 14.639.63 $421,632.57 Total Receipts from all Sources and Cash on Hand for the Year 1937 Assets: General Fund: Investments and cash assets from previous sheets. $144,080.38 - 100.000.00 Hospital and equipment 400,000.00 Waterworks department, complete 150,000.00 Electric department, complete 17,700.00 Street department, complete 5,000.00 Parks equipment and hot house 5,000.00 house and Cemetery equipment 600.00 .. Police department equipment 7,500.00 Fire department equipment 80,000.00 Land and buildings 22,000.00 Water stock Carbon Emery Bank First National Bank Hospital Fund Fund Library Municipal Building Account Watcr Construction Account X. Sinking Fund Installment Fund Cemetery Permanent Fund - Water Bond Fund Fund Special Improvement Guarantee Curb, Gutter, Sewer, Sidewalk, Grade, Gravel, No. 6 No. and Sidewalk, Grade, Gravel, Asphalt Sideand Curb, Gutter, Grade Gravel, Asphalt walk, No. 2 Sewer, Grade, Gravel and Asphalt, No. 7 Curb, Gutter, Sidewalk, Grade, Gravel and Asphalt, No. 5 Grade, Gravel and Asphalt, No. 3 Grade, Gravel and Asphalt, No. 4 Sidewalk and Armco, No. 9 Sewer, No. 4 Curb. Gutter, Grade, Gravel and Asphalt, No. 10.. Southwest Sewer 1- 559.47 1 Cash In Banks: Total Cash in Banks as of December $512,081.48 31, 1937 2,863 51 1"9 69 2.982. 5 2,055.97 81.311.25 8,671.91 197.69 618.64 2,128.40 1,868.49 16.26 $931,880.33 TOTAL ASSETS 2.65 10.73 Liabilities: 35.48 242.05 - General Bonds Outstanding Water Revenue Bonds Outstanding Special Improvement Bonds Outstanding Checks Outstanding December 31, 1937 Service Deposits Bills Payable 3.70 .01 42.56 2.38 .89 - - Net Assets over Liabilities 2.62 453.223.77 - TOTAL LIABILITIES 301.61 273,500.00 112,000.00 47,182.10 2,476.09 6.299.89 7,344.04 478,656.61 $931,880.38 $103,545.24 Price City Bond and Interest Chart To 1949 DISBURSEMENTS Water Department Light Department Street Department Parks department Police Department Cemetery (General) Fire Department City Hall Printing and Supplies Telephone and Telegraph Salaries (other than departments) Utah Power and Light Co Water Stock Bonds Payable Interest on Bonds Notes Payable Interest on Notes Insurance and Bonds Deposit Refunds Interest on Deposits Justice Fees Dogs - - 12,459.87 12,674.62 15,659.65 9,563.86 7,027.26 3,807.58 - 1,789.77 420-3- i - 1,715.40 426,47 10,036,00 36,099.39 647.22 15,000.00 10,848.33 287.01 - - 3,932.46 1,000.00 79.26 319.78 - Sales Tax Water Bond Tax Collections Council Expense Contingent Fund ; Election .1 Hospital Library Cemetery Permanent Fund Water Bond Fund Special Improvement Guarantee Fund Sinking Fund Installment Account Account Construction Water Municipal Building Account Paving District No. 1 Paving District No. 2 Sewer District No. 3 Curb and Gutter, District No. 2 Sidewalk No. 3 Curb and Gutter, No. 3... WATERWORKS REVENUE BONDS 14,000.00 264.00 ; 1,100.01 8,799.96 738.14 453.71 - 16,258.47 409.74 - 61,268.24 3,067.20 3,597.94 12,640.00 4WR 112,000 Prin. Int. $4,000 due each year on February 1; to February 1, 1964 inclusive and $8,000 due In 1965. This amount decreases each year according to the unpaid balance. MISCELLANEOUS Total Taxable Bonded Indebtedness Less Sinking Fund Cash and Invest $273,500.00 , 25,786.39" Net Taxable Bonded Indebtedness Revenue Bonded Indebtedness $247,713.61 112,000.00 Net Total Bonded Indebtedness $359,713.61 INFORMATION 50. Basis of Assessment, 1937 Assessed Valuation 1937 Mill Levy 19 Mills. 1937 Taxes, per cent Collected Tax Redemption 100 each year, 1937 Estimated Population 6,200. $2,073,870.00 80. STATE OF UTAH, County of Carbon ss: I, Wrilliam Grogan, City Recorder of Price, Carbon County, Utah, do hereby certify the foreging statement to be a full, true and correct report of the financial condition of the City of Price, Utah, as shown by the city records for the year ending December 31, 1937. In witness whereof, I have hereunto set my hand and affixed the corporate seal of said city this 12th day of January, 1938. 7,140.00 88,935.56 .. 270.52 5,183.74 1,500.00 56.79 12.74 1,099.24 133.06 518.80 948.02 City Recorder. |