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Show ANNUAL REPORT OF CEDAR CITY CORPORATION FOR THE YEAR 1954 Report of receipts and expenditures of Cedar City Corporation for the year ending December 31, 1954: Explanation Receipts ' Receipts Disburse. General Fund: Bicycle licenses $ GS.45 Building Permits 2,112.35 Business licenses 15,252.02 Miscellaneous revenue 14,718.32 General taxes 17,90(5.14 Franchise 3,000.00 Salaries $14,757.70 Assessing and collecting 206.70 General expense 2,489.76 Insurance and surety bonds ' 197.84 Office supplies and printing 1,152.54 Telephone and telegraph 425.76 Planning Commission 201.55 Miscellaneous 22,881.09 City and County Building: County share of expense $ 1,417.64 General taxes 2,553.38 Salaries 1,720.01 Assessing and collecting 29.28 Fuel and power 383.20 Insurance 479.24 Supplies for operation and maintenance 1,888.36 Library: General taxes $ 7,228.95 Miscellaneous revenue 30.00 Assessing and collecting 83.77 Insurance and -surety 316.69 Remittance to library 6,000.00 Supplies for operation and maintenance 121.70 Telephone 84.07 Sewer: Miscellaneous $ 122.00 Sewer connections 9,545.00 Sewer service charges 6 315.75 General taxes 3,135 00 Salaries 3,916.28 Assessing and collecting taxes 36.09 Auto and equipment expense 287.29 Fuel power 40.00 Insurance and surety bonds 29.88 Supplies for operation and maintenance 606.28 Transmission lines 10,009.38 Extensions 3,708.28 Public Safety: General taxes $21,272.75 Dog tax collections : 1,220.00 Fines and forfeitures 7,136.50 Miscellaneous revenue 1.85 Parking meter revenue 11,723.62 State liquor fund 6,363.90 Fire truck fund 3,000.00 Salaries 22,774.53 Assessing and collecting taxes 241.44 Auto and equipment expense 2,306.45 Dog catcher expense 801.57 Feeding prisoners 1,129.10 Fuel . Power 178.77 General expense 1,147.79 Insurance and surety bonds 656.16 Office supplies and printing 231.80 Supplies for operation and maintenance 894.05 Telephone 205.76 Waste removal expense 10,994.37 Parking meter expense 458.05 Equipment purchased 3,981.00 Parks and Public Property: Miscellaneous revenue $ 3,843.75 General taxes 8,515.82 Annual care of lots j. 66.00 Recreation taxes 2,126.16 Interments 00.00 Rental Income 330.00 Swimming pool receipts 4,503.40 Bridge 9,300.00 Salaries 5,493.31 Assessing and collecting taxes 97.65 Auto and equipment expense 1,058.97 Fuel power 68.20 General expense 137.04 Insurance 435.19 Supplies for operation and maintenance 1,899.28 Recreation and ball park 6,818.95 Swlmmin pool expense 5,878.70 Bridge : 12,509.84 Streets and Sidewalks: Miscellaneous revenue $ 2,812.82 Utah liquor revenue 2,500.00 Street work re-imbursed 10,947.22 General taxes 21,272.75 Salaries 20,143.74 Assessing and collecting taxes 241.43 Equipment expenses 4,775.83 Fuel power 5,964.68 General expense 448.91 Supplies for operation and maintenance 5,933.67 Telephone . 46.75 Miscellaneous 2,399.08 Insurance 554.14 Airport: Miscellaneous revenue $ 1,083.17 Rental Income 3,158.71 General taxes 6,378.47 Salaries 240.39 Assessing and collecting 74.01 Fuel power 1,156.67 General expense 7,148.00 Insurance 1,172.50 Supplies for operation and maintenance 610.70 Equipment purchased 300.00 Waterworks: Customer deposits . $ 462.50 Installing meters 5,417.45 Irrigation water 578.05 Miscellaneous revenue 21,099.90 Water receipts .. 74,225.42 Salaries 17,112.12 Auto and equipment expenses 3,002.67 Bond interest paid 8,479.00 Fuel - power ' 2,488.00 General expense 6,513.97 Insurance 532.48 Supplies for operation and maintenance 4,462.32 Telephone 59.47 Bonds paid 13,000.00 Equipment purchased 2,862.90 Distribution system 15,832.94 Miscellaneous 10,210.86 Bond Interest and Sinking Fund: General taxes $20,642.13 Assessing and collecting taxes 217.34 Bond Interest j)aid 1,930.00 Bonds paid 20,000.00 Guarantee Fund: General taxes $ 850.44 Assessing and collecting taxes 9.76 $317,713.15 $293,304.71 Dated this eighth day of February, 1955. CEDAR CITY CORPORATION 1 Zelma R. Class, City Treasurer. 1 (Feb. 17, 1955) i . |