Show CITY'S AUDITORS ANNUAL REPORT Total Assets at the Close of the Year Show Increase of REVENUE FUND DECREASE Detailed Statement Given on Status of Funds of Various Various Various Va Va- rious Departments c Rudolph Alf Alff city auditor on Thursday Thurs- Thurs t day lay submitted his annual report for or the your ending December 31 31 1905 IOOS figures on the the report containing general condition o of the city and the state elate of or tho the various arlous funds at tho the end endot of ot tho thu year and anti a comparison with the lie figures at tho the close of ot the tho year r the tho head of or revenue funds fund current assets and liabilities on tho the general balance shoot sheet the rop report rt shows total assets on December 31 31 a. 1908 of ot an un increase of or SJ Io O over fiver the total at the tho close of oC tile the the preceding year Under tinder the thc special funds account on the name same balance sheet shoot there Is la an Increase of or over o the preceding pro pro- ceding year car while tho thio calli capital tal assets show how an tin Increase of 13 max mal trig a grand total under tho ho three headings headIngs head head- ings s. s of or over o the year 1 1907 01 The rho fl figures on tho the city trea treasurers treasurer's uror's und fund balances as shown on the th auditors auditor's audi audi- tots tor's books show tho following totals Cash on hand December 31 U 31 I 1907 Oi revenue revenue revenue rev- rev and funds receipt and transfers total receipts warran warrants ts redeemed i S. S 23 transfers total disbursed 1463 1 balance cash on hand hand December Decem Decem- her ber 31 21 31 1908 96 GO The totals on the warrants unpaid In the revenue funds at the end of I the th last Jast year with the comparison for or orthe tho the preceding year ear wore as an follows tOllow Outstanding December 31 1907 12 Issued PIOS ro- ro deemed 1908 2 outstanding December 31 1908 U l Dc rn There rc was a a. decrease In the total of or the tho revenue re funds fund surplus of Ut f u 1 0 at the tho close of 1908 1905 as compared with wiLl the tho preceding year the figures at nt atthe atthe the close of ot both years curs being as a follows follows fol fol- fol- fol lows 1 1908 1907 decrease OJ The r revenue surplus surplus sur sur- plus or 01 deficit b by funds for the year tar ending December 31 a. a 1905 was vas as fol Col- oh- oh lows Contingent fund CunI surplus 88 J water fund deficit 40 0 00 water works fund surplus 66 ai i anu flU sur plus Ius 48 sewers and drains fund deficit 7 library fund surplus stir sur 11 plus PIUS us 1 03 WH water leI bond fund tori stir sur ur- ur plus I 14 64 8 sewer bond fund funel surplus sur Mur- plus iltis 21 ll 12 44 44 bond hond interest and sink sink- ing fund surplus S 3 85 total stir sur plus Tho The revenues from the thc revenue funds h by funds and departments for 01 the year nr ending December De r 31 31 1903 1908 showed to totals to- to tats of 72 divided a as fol follows fol- fol lows Contingent fund iO water wate supply fund I 11 1 waterworks water waterworks works fund 32 streets and sidewalks fund sewer and drains fund lunch library fund bond bant Interest and anil sinking fund 28 To Mil l The exp expenditures t u 1 8 for tor the t period a a total nt or u divided hed among the tue funds a as r follows Contingent Contin gent Jent fund water fund 9 8 95 water works fund streets and fund 6 68 fund un library tuu uit 1 1100 tOb bond Interest and sinking Inking fund funI J 2208 The nt of or rove rove- and expenditures exp for fIr l IS n l 1907 Oj Is Js as aN s i. i nov for r 90 2 for or J. J 1007 1191 l. l Increase 11 Expenditures for 1908 1905 64 for or 1907 15 increase 1908 67 19 I ITie Tie 0 statement on II- II I- I censes for tor 1908 and 1907 Is as fiS follows follows- 1 Alt e 71 abated 17 11 receipts ed etL receipts 1907 18 |