Show City Fathers Budget For 1939 Expenditures I IThe The tentative budget of expenditures expend In Cedar city for tor 1939 as set setup setup setup up by the City Council and on which a el BI public hearing will be held heldon heldon heldon on Saturday December reveals that the city officials expect to have a surplus of at over at the end of ot the year and that they contemplate contemplate contemplate con con- template the expenditure of tar for the administration of ot city affairs affairs af af- at- at fairs and the payment of ot bonds and Interest during the year of at 1939 The balance In the city treasury on December is expected tobe to tobe tobe be Approximately 50 of ot this is in the sinking fund for theIn we Ute wein in the payment of bonds bond leaving over that might be used for tor other purpose The expected revenues for tor 1939 Is set at the exact amount set up in the tentative budget for tor expenditures Thus if It no additional expenditures are ore made during the year and revenues are as high as expected there would still be a credit credIt credit cre cre- dit balance of ot at the end of If 1939 If It expenditures could be held to a lower figure than that set up in the budget or If It additional re revenues revenues revenues re- re venues could be secured an even greater surplus could be accumulated accumulated accumulated by the end of ot the year The balance on hand puts the city in a very advantageous position to proceed with its proposed building buildIng building build build- ing program to provide administrative tive and a jail JaU etc The revenues are enumerated as follows I IFor IFor IFor For the general fund fund City City taxes Merchants' Merchants licenses 5 3 Irrigation water rental Building permits Miscellaneous Total For the Waterworks funds Wa funds Wa Water ter rental tapping main meter installations Total For streets and sidewalks sidewalks City City taxes city's share of at the state car license tax Total Total To To- tal For Public Safety City taxes tines fines and forfeitures 00 fees and dog licenses Total Parks and Public Property Tourist Camp cemetery lots and fees Total 1300 00 Special Improvements ments paving paYIng Taxes special Improvement collections Total Sewer Fund Connections 2 And the following amounts from city taxes Bond taxes Bond sinking fund 4 St- Interest fund I Guarantee fund Public II library Total receipts The contemplated expenditures are as follows General fund Salaries Street lighting Irrigation Irrigation tion expense Office supplies and rent Insurance and Bond Dond premiums Assessing and collecting taxes PublishIng Publishing Publishing Pub Pub- lishing and printing Election Election Election Elec Elec- tion expense Curb and gutter project on school street Recreation and aid band Traveling donations and miscellaneous Total Waterworks Maintenance 8 extensions replacing pip pip etc Total Streets and sidewalks Assessing and collecting taxes maintenance maintenance main main- Equipment 00 street oiling oiling of First West In 1938 Total 5 5 3 It will wUl be noted that the used for tor the oiling of ot First W West t r. r Is fa to be covered by the expected ex expected expected ex- ex receipt of ot from state automobile license fees tees Public Safety GaIety Fire department mali maintenance health supple sup sup- plea 2500 Police car expense Police Pollee expense pound keeping expense Total Total Total To To- tal Parks and public property property property- and park Bond payments Bond Dond Interest payments assessIng assessing assessing assess assess- ing and collecting Total Special sewer fund ProvisIons lurid Provisions to replace funds diverted Public Library Maintenance Library Maintenance and operation and assessing and collectIng collecting collect collect- ing lag Orand Grand total |