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~ebruary 14, 1911. <br /> <br /> LIGHT DEPARTi~¢T. <br /> <br />156 Arc Lights, <br />1910 Lights. <br /> <br /> Total, <br /> <br />$ 9,048 <br /> 4,000 <br />$13,048. <br /> <br /> ~VATER DEPAR~NT. <br />Hydrants, &o., $'5;330 <br />Water Comlnissioners. <br /> Totad, ~10,330. <br /> <br />PUBLIC SCHOOL DEPARTi~NT. <br /> <br />School Board, $40,000 <br />Due on 1910 Appropriation. 2,35~ <br /> Total, $42,351. <br /> <br />INTEREST. <br /> <br />Coupons, <br />Ferry Coupons, <br />Fifth Ward Coupons, <br /> <br />$54,960 <br /> 1,225 <br /> <br /> 59,645. <br /> <br />B~c~gh~ Forward, <br />R~g~stered~Bdnd~, <br /> <br /> Total~ <br /> <br />$59,645 <br /> 3,?00 <br />5,000 <br />$66,345. <br /> <br />OFFICERS NOT <br /> <br />MayOr, $ 1,200 <br />City Clerk, 1,820 <br />Treasurer, 600 <br />Auditor, 1,000 <br />City Collector, 2,500 <br />Deputy City Collector, ~ 1.000 <br /> 7,920. <br /> <br />ATTAC~ TO A DEPAR=.~E1~T. <br /> <br />Brought ~orward, $7,920 <br />Commissioner of Revenue, 600 <br />City Attorney, 1,800 <br />City Engineer, 2,000 <br />Asst. to City Engineer, 1,20~ <br /> Total, $13,520. <br /> <br />OTHER PURPOSES. <br /> <br />King's Daughters' Hospital, $ t,200 <br />Sir~ing ~nd, 5,175 <br />Re'demption of Notes, 20,000 <br />Cash in People's Bank, <br /> 33,288. <br /> <br />Brought Forward, ~33,288 <br />Trmnefer to Sewerage~ <br />Bal.?;~mt.'Borrowed 1909. 1 500 <br /> Total, $34,788. <br /> <br />Total Anticipated Receipts for City ~roper, <br />Total .Expenditures for City Proper, <br />Balance for City Proper. <br /> <br />$311,86i <br /> ~07_ 24i_ <br />$ 4~62o. <br /> <br />SIXTH WARD. <br /> <br />EY~P~I TUI~.S: <br /> <br />PI~CEIPTS: <br /> <br />~ast.yea~ s balance <br />Estimated, <br /> <br />Salaries & Office EXpenses, 450 <br />Street Inspector, 780 <br />~ights, 2,500 <br />~a~b~ge & Trash, 1,400 <br />Drainage, 2,700 <br />Broken S~one, 1,200 <br />Street ~aber~ ~ <br /> 10,030. <br /> <br />12,000 <br /> <br />Brou~t ferward, 10,030 <br />Sidewalks, 400 <br />Top. Nap, 650 <br />Sinking ~nd, 563 <br />Interest, 1,587 <br />Sun~l~i'e~, 20~ <br /> <br />Total, $13,530- <br /> <br />~Ei~D I TUllES: <br /> <br />REOEZPTS: <br /> <br />Last year's balance, <br />Estimated, <br /> <br />$18,586. <br /> <br />Street Improvement, <br />Interest, <br />Sinking Fund: <br />Streets & Sanitation, <br />Lights, <br /> <br /> 8,000 <br /> 1,688 <br /> 563 <br /> 1,500 <br /> <br />13,751. <br /> <br /> (Signed). <br /> <br />Lei gh excused from further attendence). <br /> <br />Brought Forward, 13,751 <br />Garbage,& Trash, 1,200 <br />Salaries, 500 <br />Sundries, 20q <br /> Total, '$15,651. <br /> <br />Jnc. Howard Hall, <br /> Chairman'C. <br /> <br /> On motions, lhe regular report of the Committee and the recommended #budget~ were adopted by <br />the following vote, ~he vote being the s~me for each; <br /> Ayes--P~ll, Jno. Howard; Parrish, <br />Brooks, Corbitt, Score, Johnson, Brinson, Withy, Tyler, Hawks, Hutchins, Parker, Beisel, <br /> <br />Hanvey, <br />Cooke, 15. <br /> <br />Streets-- <br /> <br />Hen. Co~mon Council. <br /> <br />Gentlemen:-- <br /> <br />Your Street Cemmittee <br /> <br />respectfully reports herein <br /> <br />concerning the following matters referred to.the Joint Street Coznmittee Ja~uuary 10-1?th and previous: <br /> <br />Referred by Core, on Council January 10th. <br /> <br /> <br />