Show 8 H i CITY GITY AUDITORS REPORT SHOWS t ENORMOUS DEFICIENCY IEN Y FOR YEAR YEA t After Ater a n months month's Ilela delay lelay the tho annual report of or the city's financial Indebtedness Indebted ness upon which the entire party officials sat In judgment before bet be be- t fore j It wa was made public was submitted Thurs Thursday ny b by City Auditor Rudolpi Alft AU to toIa Q Mayor Ia or Ezra Thompson Marked with deficits In nearly every und fund the t report shows extravagance nce and ond wa waste wate tp Th The receipts for the entire car i J amount to an and the disbursements for the same period amount r to tn or nearly le more than the receipts The Tho balance In ft Inthe the treasur treasury on un January 1 1 1906 was or the deficit in th the r. r general and special funds would have he been n 4 In Tn three thre of or the thc six general funds there here are deficits which amount amount to It The They are alC In the contingent water supply and waterworks funds 1 The contingent fund suffered 11 worst tort WOI t of oC at nil When hen the thu officials took hold hoit of the city's alTo affairs Irs tit the contingent expense fund had a balance of oC I G on th the right Ride side of or the ledger r. r hut but now It hat has ha In the thc deficit column There arc are deficits In two tWI funds out of or tho the thirteen special I S S J 1 f undo Th The created a balance In one fund Cund only where there wo n fl deficit when the tile accounts were turned over to HI ci the tw administration on extension fund It sav saved ll January 1 1 1906 This was In the street paving however because u e there were no improvements drawing dravIng on the fund Cund The street b by bp the Morris administration adminis i deficit was caused by th the paving of oC Brigham been completed during the year car 1906 W was wasl i TIt The only paving that has l q West est First South street West Yet Ye t Temple to Third West Vest Nt street The en entire en- en tire e estimates for tor this work has not been paid The Tho deficits created In the in the thc sidewalk exten extension lon and main water exten extension lon fun funds s. s S. S special funds were I The amount totals total 9 r The he balance received In the general funds from the former administration was wa's was an and the he deficit In the funds on In December 31 31 1906 Is Js shown In the report to tn be he The receipts i for the general funds fund for Cor the year eat amounted to and the merits hurst 9 The r receipts In the special funds for the year yearS S amounted to while hiie the disbursements amounted to derived from tho the receipts The outstanding warrants war var- nearly twice the amount or 01 in the general and special funds amount to HG which ar are no not rants not been heen paid and It Is 15 stated Included in the report rel he These e debts l have condition of oC the elt city account of oC the financial have h been held up on l that that they figured out at ul The the assets of the city ar are In the report Improvements furniture and fixtures fixture public pub nub nf con consist st t ut the Ow permanent miscellaneous lands The hp liabilities amount to 30 and aull I tic lie buildings ln balance over the liabilities of 7 The liabilities lia ha- ha the assets a. a f This ThiR gives t S. S con consist of or outstanding warrants warrant which amount to G. G and the thed funds and special d deficits in the general where whre detailed stat statement of disbursements showing I The rIse report Includes I des a In hI the various departments These are nrc 01 on ill has haR been spent monc money the Ow city's comparative c statements l accompanying the report however ho for the receipts S and disbursements dl of or former Cormer years year alan ts t's f I FUNDS Jan 1 1 h 9 j JG Dec 1 l 4 j 2 mf 33 suPply sin H 97 works S 91 Water l l c- c 13 i. i I I St 11 8 GIS I i 1 or r I Total on bal bai hw gei- gei o f 7 eral ral funds 48 S Total overdrawn balancek en- en erni eral funds ij t HIj 7 i S Not Net totals general funds j- j ClAr I FUNDS extensions 12 oS JS' JS Sidewalk I 9 r 3 IJ ci cip S ic r extensions l J extensions 23 13 Sater at r main ow T p lt Water deposits S. S extension re reserve er S s Bicycle w path 8 N S1 OO ansi and Irit gutt extensIons extensIon's 27 S It 11 Curbing Special redemption H. H UI 2 r I hom fund 3 Sewer fund S. 1 r- r S 'S I Water hon bond sinking fund l. l iro S SEwer er bond fund m Ct sos t bond serIes No N 9 I i t g Total iah on funds hand balances sp- sp spI O k v 1 r r Total Tott k vial overdrawn balances pe- pe pek SO I Net t total special funds i l i S 1 t. t J. J J I Grand total all al funds i I RECO C E iENi OP OF AUDITORS AUDITOR'S AN A D TREASURERS TREASURER'S BALANCES Auditors Treasurers Treasurer's Treasurer d JT I f FUNDS S Dee Dt 31 U 1906 Balances ii f r Contingent OI S l uter Sent 1919 ot Vater uter works c Streets 2 t r Sewers vers w IJ IJ 11 S S Library i 5 1 Street SPECIAL paving FUNDS extensions 7 S. S Sidewalk extensions i Gio 5 Sewer extensions I 3 Water ater nisin extensions o t t t I ater meter deposits ateI S Sewer extensIon r rere reserve t. t r Bicycle path ere and guttering ns H r SPecial redemption 2919 t Vater bond fund o I Sewer bond fund funil Sever Water bonc bond sinking fund 21 S Sewer bond sinking fund G 1 Total on hand balances S Total overdrawn r. balances Ci Net total wIth Indicate amount overdrawn Note Figures N D Does riot not include warrants to o S 1 CLASSIFICATION OF OF 1 19 1 J. General Administration Uon tl-Uon Receipts Detail Total 5 1 Taxation Taxation- General taxes J J 8 License Licence collections S Poll pon taxes t. t iO Dok Dot taxes V Water ter rates J 2 J tax Special Assessments A S Street paving 5 h Sewers SeverR CC Curbing and gitLer- gitLer I lo Ing lr i 20 1 Pees Fc s- s fes yv T I E A S AUditor 11 i S iiO Cemetery lot lots r. r 75 I Linds GOMO f l Refunds on J Total K general Jeneral noral administration ad- ad ad administration f t ministration al J i 4 2 Public Safety Sale Salo of f Material Etc Fire department r. r d. d Health COO Ot O 2191 2141 Fines Fine ami F Fees Fees- f City courts CO t I Inspection l S pound I I 52 o 3 i Public Convenience Con I Streets and sidewalks tr CC 5 S. S Sowers and drains 9 f Water ater w wOrks Jt 4 S1 1 lve sive IV of winter ij r rates rateR FO 0 Water supply ft 1 is v 1 p p Cemetery 91 1 i 4 I. Public R Recreation f iJ t f 5 G. Public Charities I Public Education C. C u I 1 c Library fines lOi OI iI 7 Public Interest st st. f s Interest t on on delinquent t I. I assessments I u. u Interest InterEst on bonds 78 0 t. t Interest t on scrip l S. S Miscellaneous contra disbursements ments o W Work rk etc for 04 fo private f parties 1 Work ork for other dc tIc departments i I certificates Water ater meter tr S j i cates Issued cerUt- cerUt 17 Fund AtC trani fera I Special scrip r ti Lion tO Total receipts 1 t I. I u Summary General G n ral of taxes Receipts Special assessments l y or I Lands ands lands sold nJ fe L f Municipal Operations 1 7 V rates rate Licenses Jon o i rV c Finks I forfeitures L p poll fot etc tp t and Io dog tax tax 1 Transfers an and other r n 5 contras to debit I 5 Total r receipts I Net ct balance from from 1905 1903 90 Add special warrants oll outstanding t S. S 9 1 I J 1 fH li Warrant count Ac-count- Account Account- Outstanding Dec 31 n. I 5 J I Issued ISHI In 1906 CC L Less g siR Iclal outstanding outstanding out out- standing 7 SI S OS Redeemed In 1900 19 or Outstanding Dec Dee 31 ii 1905 J GJ SPeCiaL Scrip Account Account- Dee Dec 31 n. n 1 J 01 Li Issued during lulng 90 J Redeemed In OC It-OC Jo Out Outstanding Dec 31 21 1903 19 Water Vater Outstanding Dec 31 n. n 1905 1 9 1 Issued during 1903 19 J S J 93 Redeemed In l 19 h by being re- re ct In pa merit of ot water vater rates Outstanding Eec Dec D c. c 31 1906 J Sinking Funds Funds- Water bond J Jd Sewer bond CLASSIFICATION OF 01 1 1 General Generl Administration Ordinary Betterment Executive Mayor layor J rU Board noarl of ot public J Engineer CZ 23 1 C City it ly council tn J Recorder 1 J Legal- Legal City attorney 2509 Financial Financial- lal- lal Tr Treasurer asu J 1704 Auditor Collecting general tn taxes 4 1080 H J 9 Elections Elections- Municipal election 1903 1905 electon J Voting machines H. H Stor houe ou e for fo voting vot vot- ing machines I. City CI hall hail hal 1 f 91 9 97 7 1 Total general administration administration ad ad- ministration ac- ac IO J Olt 2 Public Safety protection of at Ir S health and property Fin department C i IS' IS J 79 Police and und prison department de- de de dc- Jc Health department City Healt courts 20 Inspectors o l stra poun pound aas Insurance and taxes Total public J 3 Public Convenience COI highways and sanitation Streets anti and sidewalks J 1 Sewer and drains 3 t Works u ater t tat at r antI and Ir- Ir Ir 6 i 5 5 J r r i ift- ift 1 Cemetery 10 1 Claims and Street lighting CC Total public convenience conven conven- lence con e 29 S t V 1 J'S JS 1 1 Public Recreation P Parks r 8 J J I I 5 G. Public Charities und uniti all Corrections Humane department J 4 10 10 1025 rO 50 Juvenile court i l Ju Pensions 5 to ll I Total public chariLe charities chari chari- Le ties J C. C Public l' l Education Library J J 3 4 7 i. Public Interest Qa scrip etc J 37 on n bonds bond Tot public 24 8 S. Miscellaneous contra receipts For parties J For Foe other purLe 72 71 Fo For Foi refund franchises es etC Fund transfers Water meter certificates cates cate redeemed d 5 Special scrip redeemed Water aler scrip redeemed t IS 1 e. e Refund excess assessments assessments assess assess- ments asses S Transfer from water waterworks waterworks I works to water meter meter meter met met- er work account X 1559 Total miscellaneous 20 Total SUO Summary of disbursements disbursements- 1 t. General Genral J 8 I. 33 2 Public safety safet 19 36 31 3 t. t Pub convenience sU 29 S 0 con I l. l Pub recreation S mc Pul 5 Pub lub charities Cl 6 C. C Pub education N. N 7 Pub Interest t t 41 8 S. Miscellaneous 1113 10 12 S i J Total ordinary I Total Si 1 50 1 O Net t balances D cu JK 1 1 1 r 5 1 I |