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Show City Council Hears Favorable Expenditures Report . The City Council at Its meeting Thursday night heard a report of budget expenditures for the first six months of the current year, and found that each de partment was well within the amounts budgeted as of the midway mid-way mark of the year. Mayor Arnold Anderson pointed point-ed out that total expenditures for the first six months of the year amounted to $98,270.27, and that sufficient money remained in each department to meet all contemplated expenditures during dur-ing the remaining half year. In some instances, he said, minor Items' were overdrawn by the end of the first six months, but no department de-partment will suffer since the overall budget in each department depart-ment is well within contemplated contemplat-ed expenditures. Conditions' of the funds reported report-ed by the Mayor, with the total to-tal budget, the amount spent and the balance remaining, in that order, was as follows. General fund, $38,798.90, $15,-977.60, $15,-977.60, $22,821.30. City hall, $4,531.38, $2,463.24, $2,068.14. Public library, $7,962.51, $2,523, Sewer fund, $18,290, $4,8-18.77, $13,641.23. Public Safety department, $26,-654.39, $26,-654.39, $14,956.62, $14,797.77. Fire department, $13,001.02, $6,-428.08, $6,-428.08, $6,572.94. Waste removal, $8,722.98, $4,-222.69, $4,-222.69, $4,500.02. Parks and puhllc property, $20,146.51, $11,082.97, $8,063.34. Streets and sidewalks, $33,662, $16,413.88, $17,248.12. Airports, $10,594.57, $3,309.90, $7,284.67. Waterworks' department, $79,-350, $79,-350, $25,143,35, $53,206.65. |