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April 16, 1912. <br /> <br />At a regular m~eting of the Board of Aldermen April 18th there were present: <br /> <br />Messrs--~ W~ Walker, President, ~. Jones WilliamS, Vice-President, M. B. Langhorne,~D. W. Ballentine, M. M. Adams, L. Privett, <br /> C. N. Markham, L..H. Davis, O. P. Murry, L. O. Nicholson, <br /> W. C. Moore, 1I. <br /> <br /> The minutes of the regular meeting March 19th and of Joint <br /> <br />were read and were approved. <br /> REPORTS OF COMMITTEES. <br /> <br />Sessions March Elst and April 1st <br /> <br /> Auditing-- <br /> Reported having examined bills against the City for March, 1912, and they recom- <br /> <br />mended the payment of the same to the following amounts for the ~%y proper,'Sixth-'Ward and. SeVenth <br /> <br />afdc <br /> <br />Street[Paving $o~d. Acs~unt~ <br />Street Clean~ng, <br />Repair~ ~o ~ide~alks, <br />Street Repairs, <br /> " Filling, <br />Trash & Garbage, <br />Incinerator, <br />Almshouse, <br />Board of Health, <br />Cemeteries, <br />Con$ingent, <br />Court ~xpenses, <br />Sewerage, <br />Water, <br />Effing ~ham street~ <br />Horse Hire, <br />Public Property, <br />Fire, <br /> <br />~ota_, <br /> <br />$ 82.33 <br />i3~. 50 <br />' ~.00 <br />108. i0 <br />345.87 <br />418. O0 <br />19.70 <br />204.41 <br />343.15 <br />20.00 <br />488.69 <br />20. O0 <br />264.63 <br />1,282.50 <br />81.25 <br />30. O0 <br />211.17 <br /> <br />$4,448.78. <br /> <br />City Proper. <br /> <br />Sixth Ward Bills: <br /> <br />Seventh Ward Bills: <br /> <br />Bond Account, <br /> <br />On motion, <br /> <br /> Langhorne, Ballentine, Adams, <br /> <br />Finance-- <br /> Hon. Board of Aldermen. <br /> <br />$4,553.40. <br /> <br /> Board of Health, $ 78.00 <br /> Contingent, 48.25 <br /> Night Soil, 714.60 <br /> Lights, 184.50 <br /> Officers' Salaries, 50.00 <br /> StreetS, 51.50 <br /> Improvements, 1440~4 <br /> Total, $1,~70~89. <br />the bills were allowed by the following vote: <br /> <br />Privett, Markham, <br /> <br /> Ayes-- Walker, Williams, <br />Davis, Murry, Nicholson, !i. <br /> <br />Moore, <br /> <br />Gentlemen:-- Your Finance Committee respectfully reports <br /> <br />herein concerning the following matters referred <br /> <br />to the Joint Finance Committee March 12-21 and Janu- <br /> <br />ary 9, 1912, and September 12, 1911: <br /> <br />Referred by Common Council March 12th. <br /> <br />$75.00 to pay City's part of cost for paving in front of the Union fi~e company's house. <br /> Progress as to same. <br /> <br /> $~50.00 to pave the Star lane. <br /> It is recommended that this matte~ be referred to the <br />culars concerning it. <br /> <br /> $2,688.00 to pave North street, between Crawford and Water. <br /> It is recommended that this matter be referred to the <br />work can not be done cheaper. <br /> <br />Street Committee for further patti- <br /> <br />Street Committee to ascertain if the <br /> <br />$50.00 to pay a bill of consulting engineers Dow & Smith, for inspection of paving. <br /> It is recommended that a special appropriation be allowed for same. <br /> <br /> $22,331.72 to pay a bill of the same company, dated February 28th, as per contract for paving. <br /> It is recommended that the City give a renewable note for said amount, 5% interest, payable <br />every ninety days from February 28, 1912. <br /> <br /> $278.08 to pay a bill of the Atlantic Bitulithic Company, dated February 20th, for repair of <br />asphalt pavement. <br /> It is recommended that said bill be paid, out of appropriation for "Repairs to Asphalt" <br />in the "budget" for 1912. <br /> <br /> <br />