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03-05-1948 Regular Meeting
92 March 5, 1948 A meeting of the Mayor and Council was held at the City Hall March 5, 1948, at 7:30 PM. The meeting was called by the Mayor, Lorena P. Pruitt. All Councilmen were present: Henry Konigsmark, H. P: McCollum, M. L. Collins, P. P. Shaw,H. D. Durham., T. G. Young and F. C. Dabney from the American Legion were present. The attanhed resolution was passed. Motion was made bJ Mr. Shaw, aeconded by Mr. Durham that the resolution be addopted. Motion carried. No further business, the meeting was adjourned. 0� , ,r;r; •Tam�TL.ierce, Sr., Clerk RECEIPTS AND DISBURSEII�IENTS YEARS 1947 & 1948 Actual &."Estimated GENERAL FUND S OURC E AdValorem Taxes 1948 if It It 1947 tr rr rr 1946 it rr It 1945 rr rr rr 1944 y �' It rr n 1943 Intangible Tax 1947 Fi Fas Int. on past due taxes Business Licenses Police Fines Meter Installations Sewer Taps Telephone Commissions Building Permits Plumbing Permits Miscellaneous Revenue Library Board Fees DISBURSEME111TS Department Gen: &.Administrative: Salaries: Mayor Council Clerk Lights - City Hall Heat - City Hall Atationery - Printing & Supply Telephone & Telegraph Library Board Fees Legal -Arbitrator rr Paving Retainer Accounting Tax Assessors Insurance Election Expense Miscellaneous PUBLIC SAFETY: r Salaries: - Day Police Night rt Extra Police Jail Supplies Street Lighting Police Supplies FIRE DEPARTMENT: Salaries: Supplies Equipment SANITARY DEPARTMENT: Salaries (Cecil) Electric Power Supplies STREET DEPARTMENT: Salaries (Jeffares) Supplies 'Street Paving •TRUC IKS : -Repairs Gas & Oil Water Department: (Power) Salaries (Carl Mohorn) Supplies Meter Boxes TOTAL Pipe & Metal Fittings. M Withholding Tax. 93 RECEIPTS Actual Estimated Actu 1 1947 1948 1/31�48 0 dv 7,000.00 . r ;,10 6,3ll.55 1,250.00 �`` 583.86 503.88 75.00 .. 54'.77 - 15,00 21.00 15.00 0 0 37.05 25.00 49.00 50,00 10.00 33.13 30.00 1.76 7,200.00 a7,150.75 1,117.00 •10000.06 .1,605.00 95,00 21806.00 2,500.00 150.00 ' 3 0325.00 1•,000.00 125.00 11.97 10,00 2.35 367.00 150,00 55,00 36.50 18.00 9.00 11.00 10.00 65.97 75.00 60.00 ACTUAL • Estimated' •DISBURSED 1947 1948 1/31/48 300,00 300,00 25,00 300,00 300,00 25.00 1800.00 1800.00 140.20 23,42 24.00 1.96 81.44 82.00 15.10 421,16 `35010= 0 99.22 60.00 9.64 240.00 240,00 20.00 200.00 0 0 0 500.00 0 300,00 300,00 0 470.00 , 300.00 25-000 225.00 150.00 0 452.36 4610.00 0 26,55 27.00 0 99,81 100.00 2,42 2,087.22 21087.22 151,24 1,920.00 1,920.00 92.67 276,.48 275.00 109.44 58.75 60.00 17120 10329.51 10350.00 108.96_ 217,72 220.00 30.10 0 600.00 0 .137,62 140.00 0 --153,70 1500-00 e 0 10345.95 1,250.00 130.90 0 750.00 0 78.29 80.00 0 1,662.90 1,665.00 171.60 227.36 225.00 0 407.93 150.00 0 3,752.30 30000.00 235.97 650.�8 500.00 21.15 , 400.00 500.00 65.25 9.99 " 170.00 20422.57 20500.00 2.00 1,255.74 1. 200(-.,)0,. 23 2423. 63 2341615.22 1,58009 107.21 130.00 1",_818.00 R Receipts OITY bF'' SMY'RNA, SINXIM, •VUND > Disbursements, Rece ptsV''" Estimated A,,tA6tual Bu'd7et Budget 1947 i l�' n `� 1948 Cash Balance Jan. 1 2,699.63 3;350.33 Water Bonds of 1928 20000.00 2.000.00 Ad Valorem Taxes 1948 0 3,750.00 Sewer Bonds of 1935 500.00 0 It n It 1947 32607.10 675.00 Interest -on 'later Bonds 550,00 500.00 rr n rr . `►r 1946 .4p.00 • (1928 ) rr rr 1945 33.71 5.00 Int, on Sevier Bands (1935) 225.00 200.00 n r► rr 1944 12.00 3.00 Fee of Paying Agent 15,00 20I00 Balancee ,.350.33 ' 5',103.33 Total . ` 7-7;82a.33-`�" 5. sU CITY OF SMYRNA, WATERWORKS & SFv'IERAGE REIIENUE. FUND Cash Balance, Jan. 1, 0 .634=�25 Cobb':Cointytylateft�Sybteihi� i2,619,79 • . • . 3,QQO.00 Water Revenue 16,620.B7 21,000.00 Water & Sewerage SiFunag 120465. 65 15�750.00 Water Department: Salaries 650.25 2,200.00 Pipe,Metal & Fittings 172.93 TOTAL DISFURSEP-IENTS Balance Meter Boxes 78,00 634,25 Totals $16,620.87 t21,634.25 162620.87 \� CITY OF SMYRNA, 'HATER1NORKS & SEWERAGE SINKING FUND Cash Balance Jan. 1, 0 1,005.65 Waterworks Bonds of 1946 5,000.00 5,000.00 Water &Sewer underiue :--12,465.65 15,750.00 Interest on Bonds 6,450.00 6,300.00 Bond Interest Expense . 10,00 10.00 Balance 1,005.65 5,445.65 Totals 12,465.65 $16,755.65 $12,465.65 $16,755.65 RECEIPTS AND DISBURSFMENT8 YEAR 1948 Actual & Estimated MR GENERAL FUND S CURC E AdValorem Taxes 1948 it ►r ►r 1947 n rr rr 1944-1946 Intangible Tax 1947 Fi Fa's Int. on Past Due Taxes Business Licenses Police Fines Meter Installations Sewer Taps Telephone Commissions 'Building Permits Plumbing Permitd Miscellaneous Revenue ° Library Board T'lees Water Deposits DISBURSEMENTS Department Cy, Gen. & Administrative: Salaries: Mayor ° Council Clerk Lights- City Hall Heat- City Hall Stationery-Pringing & Supplies Telephone & Telegraph Library Board Fees Legal- Arbitrator if Paving if Retainer Accounting Tax Assessors In'suranc e Election Expense Miscellaneous Withholding Tax Water Deposits Advertising Plumbing Permits PUBLIC SAFETY: Salaries: Day Police Night " Extra r' Jail Supplies Street Lighting Police Supplies FIRE DEPARTMENT a Salaries; Supplies Equipment SANITARY DEPARTMENTy(Cecil) Salary Electric Power Supplies STREET DEPARTMENT- Salaries;(Jeffares) Supplies Street Paving Repairs `1`�Rue./Ydc Gas & Oil WATER DEPAkTMENTQ (Carl) Salaries: Power Supplies Meter Boxes Pipe & Metal Fittings TOTAL RECEIPTS Estimated 1948 7,000.00 1,250.00 105.00 25,00 50.00 30,00 79200.00 1,000.00 2,500.00 1,000.00 ' 10.00 150,00 18.00 10.00 60.00 300.00 300.00 10800.00 24.00 82.00 350,00 60.00 240.00 0 500.00 300,00 300,00 150.00 460.00 27.00 100.00 2.087.M 1,920.00 275.00 60.00 1,350.00 220.00 600.00 140.00 150,00 1,250.00 750.00 80.00 1,665.00 225.00 150,00 3,000.00 500.00 500.00 0.�i 00 20500.00 10200.00 $ 2Z- P,2 Actual 2/29/48 0 837,64 0 18.00 2.87 4,867.50 241.00 250,00 150,00 2,35 73:00 32.00 75.59 20'. 00 $625756,00 50.00 50.00 300.40 4.48 31.48 30.40 23.25 40.00 0 0 50.00 350.73 8,49 130.00 8.50 4.50 26,00 302.48 210.0l 173.80 32,34 217.92 49.05 54.1.6 228,90 339.10 244.97 61.10 187.15 340.00 9.99 28.29 39.18 107.21 3,