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07-22-1948 Special Meeting13V July 22, 1948. A Special meeting of the Mayor and Council was held at the City Hall on July 22, 1948 at 6;00 P. M. The meeting was called to order by the Mayor, Mrs. Lorena P. Pruitt with the following Councilmen present; H. D. Durham, M. L. Collins , M. L. IQcEntyre, P. P. Shaw and H.• P. McCollum. Attorney Harold Willingham also was present. Motion was made by P. P.Shaw and seconded by H. P. McCollum,to p ss an ordinance to sell all notes on the Six Streets, Namely, Dunn, Lee, West Spring, Love, King and Brovrn Circle, to the First National Bank of Marietta In order to pay Ledbettor-Johnson for the Streets. The ordinance attached and made a part of these minutes was passed unanimously. R. Motion made by H. P. McCollum, seconded by P. P. Shaw --to offer to Mrs Dolly Black, the lot on her property, reviously bought by the City of Smyrna, at the same price, Namely 1.60.00 Voted unanimous. There being -no further business, the meeting was adjourned by motion of M. L. Collins, seconded by, H. P. McCollum and voted unanimous. 1 0 9 0 138 FINANCIAL STATEMENT FOR THE MONTH OF JULY 1948. GENERAL FUND Cash Balance July 1, 1948. 010402.95 Property Tax 1947 86.94 , Fi Fas 4.00 Int. on past Due Taxes 5.14 Business Licenses 30.00 -Police Fines .7.1..00 Meter Installations 721.27 Seiver Taps 00.00 Building Permits 41.00 Plumbing Permits 17.50 Telephone Commissions 1.66 Library Board Fees 00 WithHbldi,ng Tax - 23.40 Water Deposits 3.00 Miscellaneous Revenues 1,098.15 EXPENSES General & Administrative Expenses; Salary Mayor " C ounc i lman • Clerk Administrative Expenses Legal & Accounting Expenses Library Board Fees Ydith Holding Tax Paid Publis Safety; Police Dept. Labor r� It Supp l3 es rr rr Jail Supplies Street Lighting Plumbing Permits SANITARY DEPT: Labor rr rr Supplies Street Dept.; Labor It It Supplies Truck Expense Street Repairs WATER DEPARTMENT: Labor Other Supplies Truck Expense Water Deposits Returned Meter Boxes P ower Postage on Water Bills Fire Department Supplies %== Balance July 31, TOTALS ,25.00 25.00 150.00 58.49 25.00 20.00 75.80 382.85 25 1.00 120.95 11.03 125.00 48.13 181.80 44.35 15.19 616.51 200.00 3,40 59.25 3.00 326.07 6.29 21.40 136.95 1948 823.30 6 SINKING FUND-JULY 1948. 139 INC OME : Cash Balance July 1, 1948 Property Tax 1947 Balance Totals $1,4510.07 49.68 1 506.75 6.75 §ij506.75 WATERINORKB & SENERAGE SINKING FUND-1948 JULY. Income; Cash Balance July 1, 1948 $ 2,243.72 Water Revenue Fund 750 of June Receipts 1,671.75 Balance 3 915.47 Totals $3;91S.47 pp915.47 WATERWORKS & SEWERAGE REVEIME FUND JULY 1948, Income; Cash Balance July 1, 1948 0 1,631.05 Water Revenue 20229.00 Expenses; Water Revenue Sinking Fund 75% of June Receipts 1,671.75 t"'ithdrawn for General Fund 1,098.15 Balance lCjC90.15 Totals 860. 1