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Show FINANCIAL STATEMENT of the City of Mount Pleasant FCR THE YEAR ENDING DECEMBER 31, 1930 RECEIPTS FOR 1930 C.'.ish cn Hand January l.-t 1930 $2,405 01 Water Caller-Lions U3C2.'iu I.i":t!ic I..'.".'. Revenue 20,733.04 Ucen.sc- ol er-tcd 1.343.50 C'- n et-.-ry Department 361.00 fi-'Ci collected m .justices' court 431.50 Int.ei est cn daily b;.l .:i-o 33.00 Taxes Received 9,929.21 1' .'..;:c.r e. ; .'... 5.00 Miscellaneous Items listed in Contingent Dept. 179.72 Smk'.ne fund used to pay bonds maturing 5,000.00 Interest on Sinking Fund 7 100.00 Sp'-aial iinprcvcm- nt assessments collected 2,131.50 Dog Taxes collected 290.00 Rr-funrl f'.'om State Read Commission for paving over payrnei.e in 1928 548.88 Total $49,859.12 DISBURSEMENTS FOR 1930 Electric Liertit Department $7,079.32 Tiond mteiest and Payment of Bonds 11,788.69 Salaues 1,459.80 Stat'cneiy and Printing 206.91 Miscellaneous items itemized in Contingent Dept 741.91 H. C. Mills Compensation in full .7.129.75 Triigaticn Dr partmr nt 849.46 Watei Wf.ks rhum.ennnx" 2.940 S7 Water works improvements 3.363.83 Police Salary 1,262.55 lire Department .....434.87 HesUh Department 37.00 City justice fees .7.196.62 Cilv Kail ana Publl: Grounds 322.48 Cemetery Department .7. 1,090.06 S:rlevolks and Streets Maintenance 1,264.04 Streets improvements '.. 65.04 Flrod Dam ip keep 110.50 Library Apportionment of taxes 767.38 CiiJitu! ic ttlootris Usht Dpaitment for street Lights 5,325.00 Deposited cn Savings for Sinking Fund 8,000.00 Sundries 207.50 Poundkceper ...77 45.00 To Sanpct2 Ccunty for Collection cf Taxes 445.53 Insurance on City Employees 302.32 Elections 100.62 City Park expense .". 6.75 Warrant No 13419 issued in 1929 paid 25.00 Cash h: bark December 31st, 1930 .7. 1,290.82 Total $49,859.12 STATEMENTS BY DEPARTMENTS Electric -Light Department Elctric Liyht sales to customers 15,174.62 Credited to Light Dept. for street lights 5,325.00 Meters Sold 233.42 Maintenance and Improvements $5,423.27 400 feet Armaco pipe installed 668.30 L. H. Kimball engineering lees, new plant 200.00 .Advanced to Caldwell & ll:havds for new plant 552.70 Meters bought 235.00 Bond Interest Electric Light bonds 2,090.00 Surplus 11,563.72 Totals $20,733.04 $20,733.04 Water Department Apportionment of Taxes 4 mills $2,383.83 Collections for service 6,362.76 Dlrbursed for Maintenance 2,940.37 Disbursed for new pipe and installing same 3,363.fe3 Irrigation Dept 8494fi Ealance Surplus 1,592.93 Totals $8,746.59 $8.7 1H.59 Streets Department Apportionment of taxes 2 mills $1,191.90 Refund from State Road Commission for overpayment in 1923 548.88 Street Maintenance .7.7 1,264.04 Streets Improvements 65.04 Balance Surplus 77 411.70 Totals :. $1,740.78 $1,740.78 Carnegie Library Apportionment of taxes 1 mill for 1930 $595.98 Advance on 1931 taxes 171.40 Amount remitted to Library Board 767.38 Totals , $767.38 $767.38 |