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City Treasurer's Report

City Treasurer's Report image
Parent Issue
Day
8
Month
March
Year
1888
Copyright
Public Domain
OCR Text

The city treasurer has his report for December, January, and February ready for presentation to the council. The moneys received during the three months amount to $19,888.12, - nearly all taxes. The balance on hand March 1 was $8,995.49, wbich is distributed among the variou9 funds as follows : Contingent fond _ JSO68 69 General fund _ 447 90 First ward fund i,ot,9 31 Seeond ward fund. 1,095 9 Third ward fnnd „ 1,168 18 Fourtn ward fund 3i5 71 Fiith ward fund _._ „„ 620 62 Sixth ward fund _ S74 30 City Cemetery fund a 82 Dok tax fund „ 188 32 Waterworks fund 3,407 118 The general fund March 1 was overdrawn $1,159 47; and the delinquent tax fund, $1,595.26.

Article

Subjects
Old News
Ann Arbor Register