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04/11/1961 - Minutes
RECEIPTS AED DISBURSEMENTS TIGARD WATER DISTRICT TIGARDIOREGON APRIL 1961 Income Cash in Bank April 1, 1961 3490.27 Deposited During the Month 9218 12708.65 Checks by Bank Outstanding Checks 1 34 # 4.886 54. Balance 5429. Water Charges for the Month 2877.98 Cubic Feet of Water Sold 779590 V Renters Balance 390.00 Tax Fund 7765.07 Tax Fund # 3 12303.33 Maintenance 2876.89 Bull Mountain Improvement Fund 4537.77 Meter Installations NO. Name /$00/q/$40,10////// # $# Meter Materia Labor Cost Amount Paid 748 Luther's Market 121.36 66.14 63.50 250.00 250.00 1046 V.R.Lee 30.90 35.30 27.50 93.70 90.00 1047 A.Schulz 30.90 28.55 20.00 79.45 90.00 1048 M.H.Roemhilt 30.90 15.45 14.25 60.60 90.00 1049 V.R.Lee 30.90 28.75 32.50 92.15 90.00 1050 Stan Adkins 64,75 18.07 12.75 95.57 125.00 1051 F.E.Trueax 30.90 28.10 32.00 91.00 90.00 1052 W.S.Averill 30.90 15.30 17.25 63.45 90.00 1054 Stan Adkins 30.90 14.85 13.75 59.50 90.00 401.41 250.51 233.5V 885.42 975.0U 1111r