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Show WATER FINANCES OF CITY FOB MONTH OF MARCH The financial statement of tho Ogden Og-den city water department for the month of March was presented to Commissioner Chris Flygare, superln tendent of the department, by Assistant Assis-tant Superintendent . T. Corey, nhow ing that tho city expended about one third more money in maintaining the deportment than was taken In during the par month. The receipts' for the month were $6,013.12 and the disbursements disburse-ments $9 104.69. Following is the detailed report: Receipts Rated water rentals $ 2,051,86 Metered water rentals 4,212.7ti Taps and -connections 96.00 Miscellaneous receipts 124 21 Interest, on daily bank balance bal-ance 28.30 Receipts for month of March 6,513 12 Cash on hand March 1st .... 16,932.02 Total 22.445 14 Disbursement Bond interest paid 1,687.50 Exchange on above 1 68 Water main extensions .... 4,975.72 Commissioner and office salaries sal-aries 620.85 Foreman and inspector salaries salar-ies 510 00 Maintenance 930 so New meters 240.00 ogden bench canal stock .. 99 50 Stationery, printing and postage post-age 38 64 Disbursements for month of March 9,104.69 Cash on hand March 31st. 13,340.45 Total 22,445 14 |