Show ANNUAL REPORT OF THE CITY RECORDER OF parowan carowan city corporation FOR THE THE YEAR ENDING DECEMBER 1935 balance january 1935 sinking fund balance january let 1935 checking account RECEIPTS general departments water rentals waterworks Water works income fund 2242 CG electric rentals hydroelectric hydro hydra electric income fund rentals general licenses log jog licenses fines in justices court receipts interest on oil bank balances 2741 telephone refund 1200 library receipts and taxes funeral fees sale of supplies sale of cemetery lots 1625 general taxes miscellaneous receipts money ion long in account at time of audit waterworks Water works operating maintenance fund hydroelectric hydro electric operating maintenance fund special improvement department special improvement taxes principal special improvement taxes inderst int erst transfer from spec imp guar fund redemption of special imp taxes prin redemption ot special imp taxes int general taxes from iron county sinking fund department general taxes from iron county interest on deposit sinking fund P W A waterworks Water works improvement transfer from hydroelectric hydro electric income fund sinking fund P W A hydroelectric hydro electric TOTAL RECEIPTS RECEIPTS BEGINNING BALANCES expenditures general D department part ment state insurance interest on notes redemption of note assessing and collecting surety bond for treasurer printing office supplies telephone 10 SI 6 payment on oil yankee meadow reservoir officers salaries int on hydroelectric hydro electric water ext supplies for water system labor on water system waterworks Water works operating 11 faint P W A labor on streets including city park supplies for or streets including city park hydroelectric hydro electric maint P W A labor on electric system supplies for electric system funeral expenses miscellaneous library hydroelectric hydro electric sales tax hydroelectric hydro electric income fund P W A waterworks Water works income fund P W A special improvement department interest on special improvement 1935 principal in special imp del 1934 interest on special imp delinquent 1934 transfer from special imp guaranty sinking fund department redemption of elmetric bonds redemption of water extension bonds sinking fund department waterworks Water works P W A redemption of waterworks Water works P W A bonds sinking fund fuad dept hydroelectric hydro electric P W A redl redemption of hydroelectric hydro electric bonds TOTAL expenditures balance on hand december 31 1935 1934 warrants paid in 1935 1935 outstanding FUND BALANCES CITY corporation BONDED indebtedness DECEMBER 1935 hydro electric bonds general obligations issued 1923 payable serially from july 1 1934 to july 1 1943 inclusive drawing 6 numbered 19 to 65 water extension bonds general obligation r issued 1423 payable serially nom july 1 1934 to july 1 1943 inclusive drawing 5 interest no 5 6 and 7 special improvement bonds district no 1 issued august 27 1926 payable serially drawing 8 interest numbers 33 34 35 and 36 these bonds past due drawing interest at 6 due august 27 1936 numbered 37 to 40 40 inclusive curb and gutter district no 1 issued august 21 payable serially drawing 9 interest numbered 33 31 34 36 35 36 past due drawing interest at the rate ot of 6 67 0 nos hos 37 to 40 waterworks Water works system improvement revenue evenue bonds issued october 1 1944 payable weri serially ally as follows on october 1 1936 and per year flom 1937 to 1963 inclusive the bonds numbered 3 9 13 18 23 28 33 38 43 48 and shall be the denomination ot of and th remainder shall denomination be in the of drawing interest at the rate ot of 4 per annum payable semiannually semi annually first days of april and october of each year hydroelectric hydro electric improvement revenue bonds issued october 1 1934 payable aerially numbered I 1 to 84 both inclusive payable annually per year from 1936 to 1962 both inclusive and in 1963 bonds numbered 1 4 7 10 13 16 19 22 25 28 31 34 37 40 43 46 49 52 58 54 5 61 64 67 70 82 83 denomination remainder denomination ot at lo int at 4 annually on april 1 and october 1 total 9 90 SINKING FUNDS S TOTAL BONDED DEBT LESS SINKING FUNDS CITY CORP corporation CRATION STATEMENT OF CURRENT FINANCIAL CON ID VIN DECEMBER 31 1935 1235 ASSETS cash on oil hand notes receivable F notes light and water notes i fines special improvement coteel notes delinquent taxes county taxes paid on special imp property special improvement taxes general taxes due from iron county water rentals light and power rentals interest TOTAL ASSETS liabilities warrants unpaid personal accounts with crat credit account to yankee meadow reservoir londs eonda past due interest due august 27 1936 interest bonds due august 27 1936 interest due august 27 1936 hydro bond interest water extension bond interest light and water accounts paid in advance hydroelectric hydro electric bonds due 1936 bonds lue due 1936 TOTAL liabilities 3 current surplus december 31 1935 PAROWAN CITY corporation STATEMENT OF PROPERTY ON DECEMBER 1935 electrical equipment power plant electrical distributing system electrical supplies and tools waterworks Water works equipment water system waterworks Water works supplies and tools street equipment grader fresno 2500 tongue scraper four snow scrapers 2000 real property 46 of city and county building 0 o yankee meadow reserva reservoir jr cne bourth of well dump yard city park Prop property erity fi IG unsold cemetery lots personal property city hearse sextons tools office furniture siren total 1523 2400 TOTAL |