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Show f f SOUTHERN UTAH NEWS Kanab, Utah FINANCIAL Piscal Totals Cash on hand and in hank Accounts Receivable: Water & Sewer Service. Amount available for Bonds and interest ... Fixed Assets: Buildings retirement of Structures Office Furniture Equipment Library Books Total Assets ft $ RESERVES ft SURPLUS: Liabilities: Customer Deposits ..$ I nt. payable future years $7,773.07 $ Bond Redemp. Int. Funds Public Gen.Fixed $ Gen. Bonded Debt G.O. Fund Assets Utility 13,563.50 8,576.69 $ $ -- Unappropriated Surplus Totals $ Discounts and 25,094.38 27,990.63 99.87 387.48 Total Cperatinp Revenue 115,806.38 446,925.69 11,861.30 1,289.96 Other ebarpea .. $7,778.07 $ 13,563.50 $651,277i93 $231,640.71 ...... .............. 753.00 Add 379,000.00 91,192.63 180.332.30 $ 13,141.39 13,141.39 7,778.07 $7,778.07 13,563.50 13,563.50 $ 1,965.00 31,500.00 $231,640.71 Non-Ope- .... 651,277.93 $231,640.71 $ revhvufs: 194,692. 47 ..... ........... WATER Land AND I JUpbuaya Streets . Current Assets .............. .... .... ............. Reserve Coat LIABILITIES .......... Current .............. ......... .... AND Liabilities: for Depreciation 6.081.00 138,243.55 572,908.53 36,155.74 4,388.10 -- 7 ST.lli.ir Tf5.Jl2.yj Earned Surplus S SiLLV 651,277,93 K666 .......... M1 .................. ........... Of gtllCVilU., ia aid to construction - CUSS Total Fublic Nnrka. C TOTAL LIABILITIES S 651,277.93 Over ........... Public tlbrarleat Salaries aad Rhgea Materials, Supplies, Sereises . Tbtal Public Libraries $ , 1,300.00 800.00 3,000.00 or (Under) Appropriations , . Actual Bud pet 1,200.00 935. 0 Cash Balance , July 1, 1964 ................... ...8 Receipts: 135.40 135.40 State Road Fund Disbursements: Street projects Parts and Secreatleat Allotment .... ...... 3,000.00 . . . . .. ........... Capitol outlay ............. 400.00 100.00 300.00 , Other char pea 1,442.75 1,404.51 42.13 3,104.41 (1,537.25) 1,004.51 (100.00) (437.85) BOM) RHI1PTiaH 6 INTLREST FUNDS Parka i Salaries aad Mapea Materials, Sippllee aad Sereicea Capitol Outlay 800.00 300.00 500.00 ........ , . . , Cemeteries! Capitol mitlay Cwml BwtnBHiil XJministrativci Salarioa and tafia Materials, Supplies a Service Otlior Charge Capitol Outlap ...... .......... ...... Municipal Court l . Salarioa and tifil City Mall buildiagai Salarioa sad ge Material a, Spliea and Sorricoa , Otlior Charges Capitol Outlap . . . , Total Qoaaral Oanr Salaries aad Mapea Materials, Supplies aad Sereicea 4.375.00 1.931.70 4,344.73 4,084.43 1.575.00 1,144.00 4.607.70 ir.134.4I 415.00 597.50 480.00 480.00 400.00 775.00 29. 0 400.00 381.59 r.w. 10,743.40 3"T. 50 18,003.44 4.71 3,153.43 391.00 171.50 2,717.14 ......... Miscellaneous! Aeaerec for caatinpeat Contributions t local units Total Mieceilaneeus T44t;ih 8,241.34 . . . . . 1,000.00 l.aW.77 (194.50) 2.24 494.03 394.7 1.250.00 1.350.00 73.45 1,209.41 271.77 r.jj4.u 73.95 (40.59) 171.77 4,550.00 5,943.31 (584.49) 100.00 , Total Parka aad Bacreatiaa TWIRL HXPBCITURES (393.41) (399.90) 207.50 .. . . J, , Keeeanes eeer expenditures . . . . , Surplus, June 80, 1444. .y, Unappropriated Surplus, June 30, 1945. . ssLir 11,714.14 200.00 11,414.1 350.00 350.00 37,500.74 44 , 24.07 . 3.879.40 $ 10,241.79 10,341.74 10,341.79 13.141.3 (11,714.14) 150.00 5,590.13 6 Oores 1 1,522.63 7,778.07 ACROSS Pulls 1 12 13 14 16 17 19 Gum Rear By To Ring notes Note of scole Insane Vegetable 20 Small rug VtvociOus 23 Raise 25 Star of Argo 27 Platform 28 Chinese 21 pottery 30 Drink slowly Breast bone 34 Speech REVENU1S : impediment ....... pet Estimate Jticesa or (Deficiency) of actual compared with the estimate . . Bud exp worn res: Interest Bonds on Bond ..... ... ......... ...... Cost of Col lec tinp Taxes Budprt Appropriations (13,211.49) 1 3,710.35 $,300. 0 Excess or (Deficiency) ........ ........ 2.879.40 Excess or (Deficiency) of Revenues over Expenses . 3.874.40 Unappropriated Surplus, Jua 30 1964 Unappropriated Surplus , Jun 30 1965 . . , . .8 13,563.50 IM ar tSl2iF ' OWE llllMOiO, 31 Retirement of Ixctia or (deficieacy) of Unappropriated 103.50 303.34 494.08 I ........8 Revenues and Lspendltures ccmpar ed with bndpet Estimate and Appropriations (l,09(J.j9) . . 8 Cash Balance , June 30, 1965 Kecreatioa, Pool l Salaries ami tapes Materials, Supplies 4 Sereicea TPtal to account for Qc opuE M1DVT FATTER out of evtrq F00 R In people KAMA, ILLINOIS NEBRASKA, end KANSAS te OVERWEIGHT (Calif I in 11 In Minaeaois Crossword FLITS Cash Receipts and Disbursements Balpet 9- - WAS ATTACKED Vi TMIfc -POX WHILE PLAYING, GO HE DREW H'6 CAP P16TOL--AN- D SEAT THE POX SENSELESS! 753,00 753.00 379,000.00 91,192.63 180,332.30 Liabilities Current ....... ......... 6,081.00 115,804.38 444,925.69 11,841.30 1,289.94 581,964.51 22,437.17 125,982.84 24,294.44 3,098.14 GotRCLkfy- - Revenue Bonds payable Contributions 41,322.97 STAPIUSi to other Tunds Customers Deposits Due 8,576,49 7,651.90 27.990.63 27.990.63 TOTAL ASSETS Airport Salaries aad Mapea Materials, 3pliea aad Sereicea Capital Outlay i . t Total lavestoents trucks (Excluding Claas C) i Arnold 180,332. 30 ... .................. ........... .............. ...... Machinery and Equipment Salariea aad Mapea Materials, Supplies aad Sereicea Other Charpet Capitoi Outlay .. NOTHING BUT THE TRUTH UTILITY Find! SEWER Total Public Safety Public Mortal jtxi r Balance Sheet of June 30. 1965 Fiscal Tear Buildinps and Structures Improvements other than bldps. . Xnepectioa Department! Salariea and Mapea EEET 1 Fixed Assets! Mater iala, SqpUta aad Sereicea Other Charpet Capitol Outlay 439 I JO. OO Earned Surplus . June 30, 1964, Adjusted Imrestmeats : V.S. Treasury Note Fir Departmrat! Salaries and Mapea 140. 00 14,182. J2 TWtal . . Other charge Ow or (mill) Budge ......... ... ......... ....... ........... ....... .......... IR PS v-- l.tzl. TT Cash on band and in bank Nster and Sewer Service Accounts, Receivable Inventories - Materials and Stqiplie Public Safety! Folic Department! aaxarica and Mkpea Material, mpplioo 4 Sereicea IGI9IPRAL FUND TIRES-STO- - EEET Driving roewtle ly National Safety Council Committee on Winter Driving Hetorde. For eech "braking distance above you ehowld odd 38 foot which Is distend traveled during Overage reaction time, needed to think end get your foot on broke Nor eeeing roeeon to atop. Inadequate traction la a major added haaard of winter. CAN YOU STOP IN TIME ? 5 7,480, 84 (14.360, 17) Current Assets! Ktftnwi ud aitwaditiiree Ccmprd With udct Estimates ud Appropriation for Fiscal War July 1, 1M4 to Job. 30,105 8 I, As u : 392 chart prepared by the bate Winter Leegve, preeente safety Information based on toot Deduct NoiwCperatinp Expense: Interest Expense . . . Net Income (or loss) . . . . . Assets OPS IN Thft ftbov 332, 25 33,465.00 Submitted by Lula Robinson TIRE S-- ST REGULAR I . . 35,057.53 tinp Income! Interest Earned . . . . Lease of land ra j xm an SHOW ran atm tan 754.33 344.90 Total Op. Revenue Deductions Earned Surplus, June 30, 1945 $ ci 8,775.00 1,905.10 Depreciation taken Cperatinp Income 753.00 1,965.00 31,500.00 379,000.00 91,192.63 231,640.71 180,332.30 34,432.96 950,866.60 33,465.00 nut atm 11,801.33 Tbtal Cperatinp Expense $ C 422.93 ................ ...... 3,492.11 13,141.39 Thro drivers tea stop sign and car creating intersection. They apply brakes at tame instant on glare, ice at 30 mile per hour. What happen 7 IM 173 EEET nut Burnt att REINFORCED TIRE CRAINS-STOP- S, ,47D. 84 and Ccllectinpt Stqiplies and Services . Materials, Aduiniatrative and Generali Salariea aad hapes . . . Materials, Implies and Services &nloyre benefits, Ketirenent 25.732.14 43.569.15 98,770.03 21,859.34 29,000.95 9,216.99 6,081.00 Here are Stopping Distances Computed from Official Tests 2,919.52 4.551.32 Account HI TIjyiE? 487 .J2 .15,342.41 Salaries and Rapes . . . . . Materials, Supplies and Service Customer CAN YOU J 32, 7i .57 24,734 97 ,S 58,013,09 .............. Transuireion and Distribution! 33,465.00 31,813.14 159,375.53 543,695.72 33.720.64 30,290.91 9,216.99 3,492.11 950,866.60 ......................... ......................... .................. Cperetlnr Revenue Peductionai Opera tinp Expense: Sourer of Supply - Power 4 Pumpinpi Materials, Supplies and Services . 7,651.90 23,094.33 27.990.63 . payable - Gen. Obliga. - Revenue Bonds Contributions-i- n aid to Const. Surplus ---- Invested Fixed Assets Earned Surplus . . .. Bonds ft C 33,465.00 Improvements, Other. Machinery ft Equipment. Automobiles ft Ttucks . LIABILITIES, Fund Sewer 7,651.90 . ft Class Fund $ 13,141.39 . .. Penal tie . Srreice Charge Sales of Materials ALL FUNDS General Peeenueet Metered of Mater Sale . - Materials ft Sup. - U.S.Treas. Notes. Inventories Investments Land ... 43,039.65 $ inc. -65, CCMBINH) BALANCE SHEET ASSETS: SBKEB ITTUTT FUM) income and Expense Statement Piscal Tear July 1 to June 30, 194S MATH! AMP CITY to 7-1- -64 SOUTHERN UTAH NEWS Kanab, Utah Thursday, August 5, 1965 STATU (ENT KANAB Year Thursday, August 5, 1X5 37 Lily 38 Let fall 40 Small shield 41 Part of to be 42 Mitigates 44 Square meosure fiber 47 Threefold 45 Body 49 Lorge woody plants 50 Run away to morry DOWN Stage play Keep Like Alcoholic beveroge Prude Kinds of poems 7 Unit .work 8 Plural ending 9 Roof of mouth 10 Blackboard 12 Clock faces 15 Golf mound 18 Male ducks 20 Chattering birds 22 Belonging to you 24 Profit 26 Soft shoes 29 Knot tn wood 31 Inclined plone 32 Clock 33 Water around castle 35 Skin on head Thick soup Funeral pile Prayer Yellow pigment Concerning Italian river !) |