06-17-1948 Special MeetingJune 17, 1948.
13 V'
A Special meeting was held at the City Hall at 11:30 on June
17, 1948.
Meeting was called to order by Mayor Lorena P. Pruitt with
all councilmen present, P. P. Shaw, M. L. Collins, H. D. Durham
and H. P. McCollum.
The following Die
Assessors were approved for the year 1948.
G. W. Davis, DickC hird Sr B. H. Hanson Sr. Voted Unanimous.
Tax Assessors to be paid $30.00 each.
A New Councilman was selected to fill the unexpired term of
Henry Konigsmark Jr, Who resigned to be effective May 4, 1948.
Mr. M. L. Collins Nominated J. F. Bradfield seconded by
P. P. Shaw.
,7r - H. D. Durham Nominated H. L. McEntyre Sr. seconded by H. P.
u� McCollum.
The voting was as follows Two for Bradfield and Two for
McEntyre, The tye was broken by the Mayor, Mrs Lorena P. Pruitt
voting for H. L. McEntyre for Councilman.
M. L. Collins made motion that -the meeting adjourn, seconded
by P. P. Shaw.
erk.
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132
C OUNC ILMEN t S OATH OF OFFICE.
I, M. L. McEntyre Sr. do solemnly swear that I will well and truly
demean myself as Councilman of the City of Smyrna for the balance of
the term of Henry Konigsmark Jr, (Resigned) , And that I will faithfully
enforce the Charter and Ordinances of said. City to the best of my ability
without fear or favor, 4 nd in all my actions as councilman act as I
believe for the best interest ,of the City, So help me God.
6�4
L. McEntyre S .
Subscribed a� �w to before
me this the oL. 1�— day of 1948.
ayor. .
FINANCIAL STATEMENT FOR THE MONTH OF Jrl'ri6- 1948.
GENERAL FUND.
133
rfi�1
Cash Balance June 1, 1948
Property Tax 1947
FiFas
Int. on Past Due Taxes
Business Licenses
Police Fines
Meter Installations
Building Permits
Plumbing Permits
Water Deposits
Miscellaneous Revenue
With holding Tax
TOTALS
EXPENSES
General & Administrative;
Salary-- Mayor
it C ounc i lmen
" Clerk
Administrative Expenses
.Legal & Accounting
Library Board Fees
PUBLIC SAFETY:
Labor- Police Dept.
Police Dept Supplies
Jail Supplies
Street Lighting
Plumbing Permits
SANITARY DEPT:
Lab or
STREET DEPT:
Labor
Supplies
WATER DEPT:
Labor
Other Supplies
Truck Expense
Water Deposits Returned
Meter Boxes
Power
Fire Dept Supplies
Balance
TOTALS
$3,065.53
5.60
1.00
.36
240.00
96.00
450.00
10.00'
9.00
6.00
100.00
23.40
,006.8
$25.00
20.00
150.00
54.61
25.00
20,00
383.70
87,98
28.07
126.95
14.63
100.00
139.40
310.97
226.00
401.32
53.64
3.00
412.80
6.29
14,58
1.402.95
SINKING FUND JUNE 1948.
INCOME:
Cash Balance June 1, 1948
Property Tax
EXPENSES:
Interest on Sewer Bonds.
Balance
TOTALS
$1,658.87
3.20
205.00
1,457.07
1 662.07 $1,662.07
WATERWORKS & SEWERAGE REVENUE FUND JUNE 1948.
EXPENSE:
Cash Balance June 1, 1948. $1,722.15
Water Revenue 2,087.75
EXPENSES:
Water Revenue Sinking Fund
75p of May Receipts 2 178.85
Balance 1.631.05
TOTALS 3,809.90 3.809.90
134
_ WATERWORKS &
SEWERAGE SINKING
FUND. 1948.
r
INC OME :
'
Cash Balance June 1, 1948.
$39832.91
Water Revenue Fund
"
75% of May Receipts
1,0565.81
EXPENSE:
Semi -Annual Int. on Bonds
30155.00
Balance
2
243.72
TOTALS
�5 398.72
5,398.72
WATERWORKS & SEWERAGE
CONSTRUCTION FUND
TUNE 1948.
.1xC:OMEI "
i
Cash Balance June 1, 1948
$324.17
Balance
324.17
TOTALS
324.17
$324.17
<
Clerk.
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