Show I City Council C Conduct lt u t Business For August Mayor n called called the meeting to ta order and All councilmen responded respond d to roll call The minutes of or the previous meeting were read and nd approved A letter teller was read rud from the Labor Da Day celebration committee asking a donation for Labor Day The council allowed flee five deputies for tor that day Committee reports were heard and acted upon The complete audit report for 1953 1962 made mado by City Auditor Wilford A A. A Weight was presented to the city council and reviewed by them Although It has been beena n a struggle with the tho limited funds fund available available avail avaU- able to accomplish the desired improve Improve- improvements ments and maintenance of or the city tho the city officials and employees are aNI to ba bo commended for their Interest In the tho welfare of or the citizens and the city affairs af at- at fairs The culinary wat water r analysis report was presented and showed the water was waa free from contamination The TILe Utah Power and anti Light Co street lighting agreement was presented This agreement agreement covers the next three years It was approved by the council Delinquent water and ac accounts accounts ac ac- counts count were presented and water is la to o be turned off unless these accounts ts are ar taken care of immediately Following Is a the Treasurers Treasurer's report for July Cash Balance July 1 Receipts General Fund Waterworks Fund Public Safety Fund Street and Sidewalk Fund Parka Parks and Pub Public 11 c Property Fund Library Fund 1109 Water Deposit Fund 1800 Bond Mond Interest and Sinking Fund Total Receipts 3 Total to o account for l Disbursements Disbursements' Oen General ral Fund und Waterworks Fund City Hall Maintenance ance Fund 1796 1798 Public Safety Fund Street and Sidewalk Fund Parks Parka and Pub Public 11 0 Property Fund Library Fund Road Fund Water Deposit Fund Social Security T Tot Total o t a l I Disbursements Disbursements Disburse Disburse- Disbursements ments t I Balance of cash cashI July 31 I Respectfully submitted EVA Treasurer This being all the business to o come I before the meeting mee It was adjourned IThe f I- I The next meeting will be September 3 at pm p.m. M. M B. B I |