OCR Text |
Show City Auditor's Financial Report For Month of April The report of Auditor Arthur F. Larson Lar-son for the month of April was submitted sub-mitted to the city commission this morning and ordered filed. The recapitulation re-capitulation of the report shows the following receipts and expenditures of the various departments in total figures fig-ures . Receipts Auditors office $ 1 40 Department public affairs and finance 39.120 1 5 Dept. public safety 2,139.55 Depl parks and pub. prop. . 1,583.00 Dept. streets and public improvements im-provements 8.10 Improvements. engineering department 373 05 Toial receipts $43,27S.2o Disbursements Auditor's office , 435.40 Dep't public affairs and finance fi-nance 10.262.24 Dep't public safety 7.172.66 Dep't parks and public property prop-erty 2,256.75 Dep't streets and public im provements: street department, depart-ment, engineering dep't 7,72159 Total expenditures . . $27 S48 64 This' report shows that 'he city received re-ceived the sum of $15,430.21 for the month of April, ovf-r and above operating oper-ating expenses. In March there was an overdraft, however, of the total sum of $12,638.85, lea ing only an actual cash balance of $2,791.26. |