Show Financial Statement of Manti City for Fiscal Year 65 Ending June 30 1965 Assessed valuation of Manti ManU City for the year 1965 Tax Levy 23 Levy 23 mills divided as follows General Account mills 17 mills General Obligation Bond 5 mills Special Improvement Guaranty Fund 1 mill TOT TOTAL L m RECEIPTS AND EXPENDITURES IN DEPARTMENTS GENERAL FUND BUDGET ACTUAL ESTIMATES RECEIPTS Current Taxes Taxes- t Redemption Prior Year Taxes I Penalties and Interest Int resL r 4 Sales Tax Business Licenses Dog Taxes Fines Rents and Concessions 1600 State Liquor Fund Special Services Cit City Dept Swimming Pool Receipts Cemetery Fees Sale of Real and Personal Property Interest on Perpetual Care Bonds Contributions from Other Funds Funds- Sundry Revenues TOTAL Budget Actual Appropriations Expenditures Administrative Municipal Court City Hall Building Police Department Fire Department Streets and Highways Waste Collection and DisposaL Ephraim ManU Airport Creek Health Service Library Recreation Memorial Park Cemetery Manti-Ephraim Manti TV Translators TOTAL TRUST FUNDS Receipts Expenditures Class c Road Fund Special Imp Guaranty Fund Fund Fund- Paving DistrIct No it 11 to No 13 North Paving District No 1 1st East Pavin Paving District No 2 BUS 00 2nd d NOrth North P Paving District ri t-N t No 3 4 2nd South Paving District No 4 Main Street Paving District No 5 Cemetery Perpetual Care Fund Funds Fund Manti Manti-Ephraim Manti Ephraim Airport Trust Fund Ephraim Manti-Ephraim TV Translator Fund Water Improvement Revenue Bond Fund m 00 General Obligation Bond Bon L. L WATER UTILITY FUND OPERATING REVENUES Thawing Water W Water ter Sales Material Sales f Meter Deposits Sundry Revenues 1 F TOTAL OPERATING AND REVENUE DEDUCTIONS Salaries and Wages Materials Supplies and Services Other Charges Transferred to Water Improvement Rev Bond Transferred to Other Funds Capital Outlays TOTAL ELECTRIC UTILITY FUND OPERATING REVENUES Sale of Electric Energy Energy- Power Sold to Wells Sales of Material and Labor Meter Deposits x Sundry Revenues e TOTAL OPERATING AND REVENUE DEDUCTIONS Salaries and Wages Material Supplies and Services Power Purchased from Bureau of Reclamation V and Utah Power and Light Other Charges Transferred to General Account Account- 00 Capital Outlays TOTAL Manti Monti City Outstanding Bond Program m Description Rate Due Date Paid in 65 64 Outstanding Paving Districts No 11 to No 13 31 1 Interest Curb Gutter and Sidewalk No 1 to No 5 4 5 24 Interest Interest Waterworks Revenue V Bond 4 6 1 Interest VV V General Obligation Bond 1962 Series 4 1 1 7 1 Interest Interest BALANCES ON HAND JUNE 30 1965 Cash on Hand Cash in Bank General Account Account- Cash in Bank Trust Account Account- Cash in Bank Utility Account Cash in Bank Payroll Account US U.S. Government Bonds V US U.S. Government Securities T I Bart A. A Peterson Recorder for Manti ManU City for the Fiscal Year 65 1964 do hereby submit and certify the above financial Statement for Manti ManU City for said fiscal year Attested to this day of August 1965 In witness whereof I have hereunto set my hand and affixed the seal of Manti ManU City this day of August 1965 BART A. A PETERSON City Recorder S SEAL r A A r K f t XI L 1 14 1 w r Z 01 Pr Y f C Q J |