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1955 Budget Summary and Index
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1955 Budget Summary and Index
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6/5/2014 10:32:01 AM
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City Council - City Clerk
City Council - Document Type
Ordinances
City Counci - Date
8/30/1954
Ord-Res Number
4002-54
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COMPUTING THE 1955TAX RATE <br />]FORD- <br />Mm- <br />FUNDS REQUIRED FOR EXPENSES <br />Tine . Total Budget r 955 <br />ne 2. Necessary expenditures to be made from <br />appropriations• unexpencl'ed Jul:' 31, 1954 <br />for the period 8/1/54 to 12/31/54 <br />Line 5. Total funds required to operate for <br />period 8/1/511 to 12/31/55 <br />437,531.50 <br />110.562.00 <br />Line 7. Taxes to be collected December 1954 186",035.64 <br />Line 8, Miscellaneous Revenue to be received from <br />8/1/54 to 12131155 <br />as Special Taxes(Bank, Excise, Bldg. & <br />Loan, Poll, etc.) 17,458.50 <br />b. Fees and other revenue (See Schedule) <br />Line 9 Total Balance on hand and funds to be received <br />from Miscellaneous Sources <br />Line 10 Net amount to be raised for expenses to 12/31/55 <br />Line 11 Operating Balance to be on hand 1/1/56 <br />(Not in excess of excess of expense Jan 1 to June 30 <br />less Misc. Rev* for same period) <br />Line 12 Amount to be raised by tax levy <br />Proposed Rate <br />COMPUTING THE 1955 TAX RATE <br />PARK DISTRICT FUND <br />FUNDS REQUIRED FOR EXPENSES 24206.68 <br />Vine 1. Total Budge for 1955 <br />Line 2. Necessary expenditures to be made from <br />appropriations unexpended July 31, 1954 for <br />the period 8/1/54 to 12/31/54 <br />Line 5. Total Funds required <br />FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHE: <br />Line bo Actual CasS Balance July-73Y. <br />Line 7. Taxes to be collected - December 1954 <br />Line 8. Miscellaneous Revenue to be received from <br />8/1/54 to 12131155 <br />21221.00 <br />y;�•� e� <br />10,580.22 <br />a. Special Taxes (Bank, Excise, Bldg. & Loan, <br />Poll, etc.) 912.47 <br />Line 9. Total Balance on hand and funds to be <br />received from Miscellaneous Sources <br />Line 10. Net amount to be raised for expenses 12/31/55 <br />Line 11, Operating Balance to be on hand January 1, 1956 <br />Line 12. Amount to be raised by tax levy <br />Proposed Rate <br />549,093.50 <br />140 181.48 <br />07,912.0 <br />1�4 7,6.9.78 <br />422.900j 600 <br />.20 <br />45,427.68 <br />22.525.38 <br />22,902.30 <br />2 458.6o <br />, 900 <br />.012 <br />67 <br />
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