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220 <br /> <br />February BO, 1912. <br /> <br />At a re Eu!ar meeting of the Board of Aldermen February BOth there were present: <br /> <br />Messrs--C. N; Nalker, President, ~. Jones Witti&ms, Vice-President, ~4. B; Eangno.ne~ D.'W. Ballentin~ M. M. Adam~,~ L. ?rivett, <br /> C. N. ~arkham, L. H. Davis, 0. ?. ~,~urry, L, 0. Nicholson, <br /> <br />10. <br /> <br />The minutes of the reEu!ar meeting January 16th and of Joint Sessions January llth and <br /> <br />were read and approved. <br /> <br />REPORTS OF CODS~!TT~S. <br /> <br />Auditing-- <br /> The Joint Auditing Committee reported having examined bills against the City for <br /> <br />the month of January:.lg!Z,.and they recommended the payment.of <br /> <br />Street Cleaning, <br /> " Repairs, <br /> " Filling-, <br /> ~arbage~& Trash, <br /> Street Paving Bond <br /> -Incinerator, <br /> Board of Health, <br /> Cemeteries, <br /> Contingent, <br /> <br /> Public Property, <br /> Sewerage, <br /> <br /> the same <br /> <br />ng.z5 <br />98 12 <br />6400 <br />396 O0 <br /> <br />1~ 50 <br />55~.76 <br />SO 50 <br /> <br />43.39 <br />16.18 <br />~60 <br />~88~7 <br /> <br />to following amounts: <br /> <br />City proper. <br /> <br />Sixth Ward Bills: <br /> <br />Board Of Health, <br />Drainage, <br />Lights, <br />Night soil, <br />Officers~ Salaries, <br />Streets, <br /> <br /> $ 100.00 <br /> 520.80 <br /> 199.77 <br /> 685.55 <br />50.00 <br />,., 110,53 <br />$t:466.45. <br /> <br />Seventh Ward Bills: <br /> <br />Contingent, <br />Garbage ~ Trash, <br />Officers' S~laries, <br />Lights, <br />Streets, <br />Stree~ Improvements, <br />Bond Account, <br /> <br />$ 22.85 <br />52.00 <br />10.00 <br />493.40 <br />651.30 <br />1,6~5.02 <br />6,606.90 <br />$9,461.47. <br /> <br />On motion, the report of <br /> <br /> Williams, Langhorne~ <br /> <br />the Committee was adopted by the following vote: <br /> Ayes--Walker, <br /> Bal%entine, Adams, Privett, Markham, Davis~ kearry, Niehoison, <br /> <br />10. <br /> <br />Finance-- <br /> <br />Hon. Board of Aldermen. <br /> <br />Gentlemen:-- Your Finance Committee respectfully reports <br /> <br />herein concerning the following matters ~eferred ~o the Joint Finance Committee January 9-11-16, <br /> <br />1912 and December 12-19, 1911: <br /> <br />Referred by Common Council Jany. 9th. <br /> <br /> $150.00 to put in serviceable condition the dock at the foot of High street. <br /> It is r~commended that the appropriation be allowed, out of "Repairs to Streets" in the <br />"budget" for 191~. <br /> <br />$10,000.00 to provide additional armory and storage facilities for Grimes Battery. <br /> Progress as to same. <br /> <br />Recommitted. An appropriation of $~15~O0 for three typewriters for the Clerk of the Court. <br /> Progress. <br /> <br /> $650.00 ~o move the "Armistead house~" next to'~he court house yard, back from its present lo~ <br />cation. <br /> It is recommended that said amount be allowed, ou~ of appropriation for building ~he new <br />Clerk's office. <br /> <br />$17~.50 for 100 mattresses and 75 blankets for the City Jail. <br /> It is recommended that $150.00 be allowed for same, in the "budget" for 191~. <br /> <br /> A <br />by all <br /> <br />request of James Talbot, policeman~ for an increase of pay equal to that now being received <br />other regular patrolmen of the City Police fSrce. <br /> ~e repot% that this matter has been referred to the Ordinance Committee. <br /> <br />A petition of the Salvation Army for an .appropriation of $S00.O0 per. year for relief work in <br /> <br /> <br />