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COMPUTING THE 1955 TAX RATE <br />STREET AND F IC FUND <br />REQUIRED FUNDS FOR EXPENSES <br />Lane 1 Total Budget for 1955 694580.98 <br />Line 2 Necessary expenditures tobe made from <br />appropriations unexpended July 31, 1954 <br />for the period 6 /1/54 to 12/31/54 367,849.10 <br />Line 3 Additional appropriations 8/1/54 to <br />12/31/54 9.000.00 <br />Line 5 Total Funds Required (add lines 1,2, &3) 19068,430.08 <br />_FUNDS ON HAND AND TO BE RE14EIVED FROM SOURCES <br />HER THAN PROPOSED TAX LEVY <br />'.fine 6 Actual Cash Balance, July 31, 1954 297.9496.53 <br />Line 7 Taxes to be collected December,1954 14,106.95 <br />Line 8 Miscellaneous Revenue to be received <br />August 1, 1954 to December 31, 1955 <br />a. Special Taxes (Bank, Excise, Building <br />and Loan, Poll,etc.) 1,135.54 <br />be Officers fees and all other Revenue <br />(See schedule opposite page) z 7578897.69 <br />Line 9 Total funds (add lines 6,7,8a, &8b) 1,070,636.71 <br />Line 10 Net amount to be raised for expenses <br />August 1, 1954 to December 31, 1955 (- )21206.63 <br />Line 11 Operating Balance to be on hand 1/1/56 25,206.63 <br />Line 12 Amount to be raised by Tax Levy 1.00 <br />Proposed Rate 1 .00 <br />51 <br />