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Show 4 MAGNA TIMES, MAGNA. UTAH t RECEIPTS AND EXPENDITURES : I 56,705.97 Operating Cash 19,804.79 Sinking Fund Cash 235.00 Capital and Bond Fund Cash THE MAGNA TIMES Published Sine lilt EdUh If. Rldgt, Editor Howard Ridg. Publisher Published By The Copper Printing Company Issued each Trlday morning at Magna. Utah Entered as kecond class mail matter under the act of March 3rd. 1171 at Magna. Utah Total Balance on Hand as of July Granite District Public Schools Salt Lake County, Utah To the Honorable Board of Education, A District School Gentle In accordance with Title 75, Chapter 11, Section 15 of the Revised Statutes of Utah, I submit my Annual Report (being the h Annual Report) of the receipts and expenditures of the Board of Education of Granite School District, and the condition of the various funds for the school year ending June 30, 1943. Thirty-eight- submitted, F. G. BURTON, Clerk. Respectfully ..$ . ht CLERKS ANNUAL REPORT Granite 1, 1942 Revenue Receipts: .. Uniform School Fund Federal Aid for Vocational Education State District School Fund State High School Fund State Equalization Fund Vocational Education Fund..............-:.:- ... House Bill Twenty-eigcal tax of '12 mills fof ihaintenance.. Local tax of 2.40 mills for Binking fund and bond interest fund.... Tax sale redemptions and supplemental (Sinking Fund$2, 753.40. Other $19,526.48) Interest on invested sinking fund .:. Interest earned on deposits and loans other than sinking fund Laboratory and other fees.. Rent of buildings and grounds All other revenue receipts (Summer music $649.16; Bookstore $300.71; Nat4 Def. $2,937.29; Miscl. $1,200.81) COUNTY OF SALT LAKE ) ss. F. G. Burton,' being duly sworn, deposes and says that he is the only ,elected, qualified and acting Clerk of the Board of Education of Granite School District, that he prepared the above report and foregoing statement and that the same contains a full, true, and correct of receipts and expenditures of all moneys of said Board of report Education during the school year commencing July 1, 1942 and end , Non-Ravsn- Holladay Lincoln Madison Monroe Oakwood Plymouth Roosevelt Sherman $ I Blaine Cyprus 493.15 Garfield Granite Irving $ 954,362.72 Jr. 1, 1942 5,026.3 8,475.85 227.2 264.4 112.9 519.3 453.6 260.4 182.1 141.6 2,161.5 383.13 445.86 389.7 1,152.7 1,542.4 TOTAL, Sri Warehouse 6,173.22 District Nursery Office 960,535.94 Miscellaneous .... 190.38 . 875.70 764.91 439.11 307.08 238.78 3,644.95 ReHir U Ik 1 32.1: ' 46.3s 614; 34 jj 54 174! 274! 8341 5 rti" 22.6; 25.;c -- m 50. 78.i 25,r 17.7; 16.72 2484 657.16 . 1,943.80 113.(X 2,600.96 2041; $1, 037,281.70 74,123.26 $ 40,000.00 30,966.44 670,908.26 9,127.11 23,189.49 75,658.92 38,326.35 6,359.80 21,520.59 112,652.72 Garfield ,220.44 1,315.58 1 Total Expenditures Balance on Hand, June 30, 1943: Operating Cash Sinking Fund Cash TOTAL EXPENDITURES -- School Bacchus .... Blaine Boone 404.19 . $ 991,649.89 17,456.26 .....7 55,011.96 152.05 32.45 Total Cash on Hand SERVICE TOTAL, Madison Monroe Plymouth TOTAL, Cyprus Granite $ 25.63 585.82 102.86 464.74 555.30 639.44 875.36 342.49 212.14 618.53 892.90 690.54 963.05 309.77 436.08 586.50 $ 347.4 61.0 275.6 329.3 379.2 519.1 203.1 125.8 366.8 529.5 671.1 183.7 258.6 347.8 Woodstock TOTAL, El 3.23 1,662:33 Maint. Salaries 409.5 22,279.88 68:03 non-reven- I DEBT SERVICE i Redemption of Bonds Interest on Bonds (current funds) Sinking Fund Investments Interest on short term loans Other debt service .. Wm. Penn Total, Revenue Receipts Receipts: Sale of bonds maturing 1943 Sale of property (Autos $555.00; Haw thome School $1,950.00) Return of invested sinking fund All other receipts Expenditures: General Control Instruction 326.09 Coordinate Activities 100.00 Auxiliary Agencies 759.26 Operation of Plants $ 74,123.26 1119,755.07 Maintenance of Plants Fixed Charges Total Cash on Hand $ 45,631.81 Capital Outlay F. G. BURTON, Clerk, Board of Education. Debt Service Subscribed and sworn to before me this 25th day of August, 1943. Refund to Federal Government ANNA L. JOHANSON, Notary Public. Health Fund O. S. Y. A.. 113,714.72 4,855.00 -- AT. W. Wilson Non-Reven- - ' Webster Whittier Non-Reven- First National Bank . 91,153.16 5,087.97 ing June 30, 1943. Receipts He furiher t.Vos that there is a balance in the Sinking Fund of Total, l.Ofi i:icoted in accordance with Laws of Utah. Also cash on Total Receipts, Revenue and TOTAL RECEIPTS, including balances July hand as follows: Debit Credit Utah Savings & Trust Co Guaranty Trust Company. Walker Bank & Trust Co Clerks Contingent Fund First National Bank (Sinking Fund).... jJ 15.2 A.D Garfield 8,632.61 867.25 258,504.83 7,428.95 52.930.36 1,094.75 48,504.28 455,651.95- V STATE OF UTAH . 76,745.76 School Bacchus Blaine Boone Webster Whittier 44,872.55 ..$ 45,631.81 $1,037,281.70 AND CASH ON HAND ....$112,652.72 STATEMENT Holladay Lincoln Madison Monroe Oakwood Plymouth Roosevelt Sherman .... .... .... . .. .'... ... ... Wm. Penn W. Wilson Woodstock TOTAL, OF BONDS OUTSTANDING 1943 Paying Agent Guaranty Trust Guaranty Trust Walkers and Guaranty Trust L. W. Gibbs Co. Due aerially after 1948 $20,000.00 TOTAL per year, $60,000.00 1956. School Bacchus Blaine Boone Garfield Holladay Lincoln Madison Monroe Oakwood Plymouth Roosevelt Sherman Webster Whittier Wm. Penn W. Wilson : Woodstock Davis & Cahoon Property TOTAL, Elementary Blaine Cyprus Garfield Granite Irving Madison Monroe Plymouth Jackson : Horace Mann TOTAL, Junior High t Cyprus Granite West High TOTAL, High School Inventory Phys. Education .... Adult Education Summer Recreation Sun..ner Kindergarten i. S. 4 . Miscellaneous Office Maintenance Trucks Warehouse District Nursery Maintenance Refund to Federal Govt Health Fund TOTALS v Miscellaneous TOTALS y 8730 2 $ 11,55:. 04 $ 47,170.66 -- $ 10,056.58 $172,672.:? $382,857.47 $ 9,389.61 $ 505.24 $ 2,814.30 $ 617.50 f 9L76 $ 2,610.57. f I3 |