OCR Text |
Show FINANCIAL REPORT OF CITY FOR MONTH OF OCTOBER The financial statement of City Auditor Au-ditor A F. Larson for the month of October shows a deficit of a little more than $12,000 the greater expenditures ex-penditures being from the public safety safe-ty department and the greater receipts re-ceipts from the department of public affairs and finance. Receipts In tho waterworks department exceeded the disbursements nearly $3000. Following is a recapitulation of the report Receipts. Department of public affairs and finance $11,645 24 Department of water supply and waterworks 7,064 14 Department of public safety. parks and public property . 698.15 Department of streets and public improvements ... 930 45 Total $20.337 98 Expenditures. Department of public affairs and finance ... $ 5,777.93 Department of water supply and waterworks 4 212 35 Department of public safety. parks and public property 6,959.55 Department of streets and public Improvements 15.078 26 Total $32,028.09 |