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D~eember 17, 1912. <br /> <br />At a regular meeting of <br /> <br />the Board of Aldermen December 17th there were present: <br /> <br /> Messrs-~C. W. ~alker, President~ W. Jones Nilliams~ ¥ice~President~ W. C. Moore, M. B. Lan ghorne, D. W. Ballentine, L. Privett, C. N. Markham, <br /> S. T. Montague, L. H. Davis, O. P. Murry~ L. O. Nicholson, !t. <br /> <br /> The minutes of the regular meeting No~ember 19th ~ud of Joint ~es$ions November 18th and Decem- <br />ber ~rd were read and were approved. <br /> <br /> REPORTS OF CO~MITTEE~o - <br /> <br />Auditing-- <br /> <br />month of November, t91Z, and <br /> <br /> Street Filling, <br /> Sidewalks, <br /> Horse & Buggy, <br /> Third street, <br /> Fifth-Street Pipe, <br /> West Park View Streets, <br /> Street Repairs, <br /> 1North Street, <br /> Repairs to Asphalt, <br /> Incinerator, <br /> Almshouse, <br /> Board of Health, <br /> Contingent, <br /> Cemeteries, <br /> Cemetery Account, <br /> Court Expenses, <br /> Eiection, <br /> Registration, <br /> Police, <br /> ~ewera~e~ <br /> Play Grounds, <br /> Fire, <br /> Water Commission, <br /> Public-Property, <br /> <br />they recommended the payment <br /> <br />The Joint Auditing Committee reportedhaving examined bills against the City for the <br /> of same to the following amounts: <br /> <br />Total,.~ <br /> <br />$ 18.50 <br />150.0~ <br />30. O0 <br />11.10 <br />21.ZO <br />158.1Z <br />48.60 <br />20. O0 <br />17.85 <br />9.75 <br />184,94 <br />~lZ.SZ <br />429.55 <br />156.77 <br />7.33 <br />100.95 <br />15~ ~ 90 <br />81.00 <br />2Z. 50 <br />248.05 <br />150. O0 <br />$04.58 <br />55.65 <br /> <br /> z,515.6 . <br /> <br />City Proper, <br /> <br />Sixth Ward Bills: <br /> <br />Board of Health, $ ZO.O0 <br />Lights, 64~.95 <br />Salaries, 50.00 <br />Sidewalks, __$.Q8 <br /> Total, ~ 717.03. <br /> <br />Seventh Wa2d Bills: <br /> <br />Salaries, <br /> <br />On motion, the bills were allowed and by the following vote: <br /> Ayes--Walker, Williams, <br />Moore, Langhorne, Ballentine, Privett, Montages, Davis, Murry, Nicholson, M~3~kham, ll. <br /> <br /> Finance-- Hon. Board of Alde~rmen. <br /> Gentlemen:-- YOtL~ Finance Committee respectfully reports here- <br /> <br />concerning the following matters referred to the Joint Finance Committee November lZ-lS,and August <br /> <br />15: 19lB: <br /> <br />Referred by'Common Council November lSth. <br /> <br /> $5,000.00 to pave-with Dollarway Chestnut street, from South to Lincoln, and to curb.ChestD, ut <br />street, from South to Griffin; provided the Seventh Wa=d willappropriate the balance to complete <br />the work. <br /> We report that this matter was sent back to the Street Committee by the Board of Aldermen. <br /> <br />$62.00 to renair roof of the Sewer Power House. <br /> We report that an approonatzon o said amount wilt be considered for the "budget" <br /> <br />.$50.00 additional for a feed room at the Union fire company's house. <br /> We report that an appropriation to said amount will be considered for the "budget" <br /> <br />An appropriation for a l~Eht at the corner of B and Hatton streets. <br /> W~ ~epor~ that such an appropriation will be consmde~ed for the "budget" for t915. <br /> <br />$511.50 to sewer Hunter's lane and $404.50 to sewer Eastwood's lane. Progress as to same. <br /> <br />for 1913. <br />for 1913. <br /> <br /> Report of the Auditor of fqllowing bills held up by him, because of~laok of appropri§tion for <br />them or because thev exceeded %/1~ of apnropriati?n allowsd for ~ame: Gleaning Streets, <br />Chestnut street, $1~8.90: publzc Property, $92.$0; Fire, $$64.60, Almshcase, $8.5Q; ~qemete~y~ $31.00; <br />Seventh Ward Contingent, $75.00, Seventh Ward Bond Account, $66,96B.9~. <br />We repor~ that an appro$riation of $?00.00 was allowed in November for Cleaning Streets; <br />which said amount will cover the $~8~80 asked for. It is recommended that a special appropriation <br /> <br /> <br />