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05/10/1960 - Minutes .... RECEIPTS AND DISBURSEMENTS TIGARD WATER DISTRICT TIGAD,OREGON FOR TEE '3NTU OF MAY 1960 Cash in BanL,May 1, 1960 71449.93 Deposited During May 11588b.29 Checks by Bank 102866.29 Balance at end of month 13020.0j No outstanding checks Water charges for the month 2779.15 Cubic feet of water used 822400V Renters Balance 294.00 Maintenance balance 5490.80 Bull Mountain Fund balance 2388,65 Tax Fund balance 10079.59 .... Tax Fund balance Bond # 3 7437.50 ::1,,rfth INSTALLATIONS FOR THE MOM OF MAY 1960 Meter ,' Name Meter Material tabor Coat Amt. "aid 961 Jaillock 30.30 17.88 12.00 60.18 70.00 962 Jaillock 30.30 17.88 12.00 60.18 70.00 965 J.Willock 30.30 16.53 12.00 58.83 70.00 975 Vance R.Les 30.30 15.18 9.00 54.48 90.00 976 Pat. Wright 30.30 13.83 7.00 51.13 90.00 977 Edd Schleif 30.30 15.13 7.00 52,43 90.00 978 C.F. Nicoll 30.30 25.78 14.00 70.08 90.00 979 H.I.Duffy 30.30 32.18 29.00 91.48 90.00 980 R.B.Brown 30.30 25.68 16.00 71.98 90.00 272.70 180.07 118.00 570.77 750.00