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Newspaper Clipping - Report on City Finances FY ending 3-31-1925DOUGLAS REPORTS ON CITY'S FINANCES CITY MANAGER PREPARES A STATEMENT RE- VEALS CONDITION. TOTAL REVENUE WAS $806,988,67 Expenditures Amounted to $878,-I 986.66Sums Collet eds penses and The financial condition of the city of Dubprisforshown pp publication statement prepared and issued by City Manager C. E. Douglas, The report shows that the city, for the fiscal year 8ing March 31, 1925, collected 988.67, and expended $878,93 r66. Revenue 51. Theall taxes miscellaneous gat- ed $64,G35.51.g5,- receipts reached receipts otal of $ere $18,13. $18,131.83, while other receipts amounted to $59, 8 3-11. of. the Operating 534,984.75, and city amounted to included other items.outside of lay, gen- eral administration work. Out expenditures for municipal improve- ments ove- ments amounted Theo $ sinking fund for capital outlay. Ink sinking f in shows that there is $ the account. Police 19nd3 fird fire pen- sions cost the city $ , show- ing table has been prepared sw- ing receipts and expenditureswithin l cording to the subdivisions which they come and is as follows: Financial Report of City of Du- buque, Iowa (For Fiscal Year Ending 3-31-26) Oper. Receipts Taxes — Regular 1924 taxes $531,451.14 Anticipating 1924 i1,732.57 taxes ••••••• i Previous year s taxes 9,104.71 . Monies and credit 1L615.34 taxes County road tax... 5.401.55 County road park 43.941.32 ' tax 388.88 Penalty on taxes..$643,635.51 Miscellaneous— 16,440.34 834.75 Business licenses • . $ Dog licenses • • • • • • Dept. permits • • • 8,860.57 Police court fines 14,753.63 and costs . Ambulance services 1.283.20 Scale receipts • • • • 8 Certificate fees • • 6 11.000 (Interest on deposits .6its 3,973.34 Miscellaneous Micel1aneous rent- als •• ......... 569.00 Filling cisterns • • • Franchise Tax Dub. 600.00 Elec. Co. -ater Works old 'ebt. int. charge 25.929.36 Wing beach re- 1,487.49 pts • . .tic Field re- 93,84 its.. tg rink re- 4.,274.65 is ig weeds 65 4,g7434..33 receipts 40 S5,878.22 n-Revenue Receipts— ,.rtmental re-$ 71 924.31 ipts .. ... sale certificates 6,207.52 )ther Receipts— 12,400.00 mporarY loan • •$ ;evious year re- G02.00 fund • • ....... 13,131.33