TWD 1968-1969 - FORM LB-50 Notice of Property Tax Levy
�z To: P� The County Assessor, or other assessing officer, Washington County
The County Clerk, or other recording officer Washington County
❑ State Tax Commission
I
i
On June 18 19 68 , the Board of Directors
(Governing Body)
of Tigard Water District _ Washington County, Oregon, levied a tax as follows:
l (Municipal Corporation)
Within 6°Jo
Part I: To Be Completed By All Municipal Corporations Authorized To Levy Taxes
Limitation
(LB-1 Line 6) ............ 1. The amount levied within the tax base as provided by Article XI, Section 11, Oregon Constitution is $
❑ Not more than largest levy of any of the last three levies within the tax base,
Tax Base Determination plus 6%.
(Check One)
Outside 6%
❑ Not more than tax base approved by voters on 19
Limitation
(LB-1 Line 7) .............. 2. Special levies outside the constitutional limitation approved by a majority of the voters voting in elections
' Not Subject to held as scheduled on the reverse of this Notice of Tax Levy is . . $
6%Limitation
(LB-1 Line 8) .............. 3. The amount levied for the payment of bonded indebtedness principal,interest and other charges thereon is $ 20, 500_nn
Total Taxes
Levied
(LB-1 Line 9) ............ 4. The amount of money to be raised by taxation (total of Items 1, 2, and 3) is . $ 20,5nn_nn
Part II: Also To Be Completed By Those Districts Which Are Subject To Statutory Limitations On Tax Levies
A. The amount of Items 1 and 2 levied within the limitation of ORS is $
B. The amount of Items 1 and 2 levied outside the limitation of Item A, but within the limitation of ORS and ap-
proved by a majority of the voters voting in elections held as scheduled on the reverse of this form is $
A copy of the complete budget document, as adopted by the governing body, on hinp 18 19 68—, for the fiscal year
19 68 - 1969, beginning July 1, 19 68__, is attached to this notice.
By: Title: Chairman
(S' ature of Authorized Official)
Date: June 18 , 19 68
STC Form LB-50 (0-67) THIS NOTICE MUST BE FILED NOT LATER THAN JULY 15. (Over)
FORM LB-1 NOTICE OF BUDGET HEARING L �`
.__ T i((�a n d t-i r�
THE BUDGET FOR _____.-_lam-_. _.Hater LI..S tr_�_� _ FOR THE FISCAL YEAit 19_66, . 19-E9_. BEGINNING JULY 1. I9_-kLa_ AS DETAILED AND SUMMARIZED IN THE ACCOMPANYING SCHEDULES
WAS NOT
WAS PREPARED ON AN A(:000NTING BASIS CONSISTENT WITH THAT USED IN PRIOR YEARS MAJOyRJ CHANGES, IF ANY, AND THEIR EFFECTS ON THIS BUDGET
F ARE. SET FORTH IN AN ACCOMPANYING STATEMENT. A
COPY OF THE BUDGET DOOUMFNT MAY BE INSPECTED
Il BY INTERESTED PERSONS BETWEEN THE HOURS OF 6 A-M AND 5.-P.n— AT _.Ti&rA Water OfLLCe THE BUDGET DOCUMENT, OR
ANY PORTION OF IT, MAY BI OBTAINED FOR f�aV11COMFLETE.. 'O(R� fp--tJ,RLl-1v_V_._ PER SHEET ATS_`d64L�S�-�7,,W}���-C(O�FInnEIa� Sym. A MEETING OF THE Board Of �.O MiSSiQne-rs
--..�UIlL: 10 _ _-. � 8 . AT _J�,I V.-_i.[1'1_ Awl P M . AT _-_L_i p.ra Ld—11_at-e1__,Off i Ce ) (GOVERNING BODY)
WILL BE HELD AT IR �OR THE PURPOSE OF HOLDING A PUBLIC HEARING ON THIS BUDGET.
ANY PERSON MAY APPEAR TO DISCUSS THE BUDGET. OR ANY PART OF IT !' �-/ /
/ C.
(CHAIRMAN OF GOVERNING BODY,
FINANCIAL SUMMARY WashinPton
FOR THE ENSUING FISCAL YEAR BEGINNING JULY 1, 19-6—8 (COUNTY)
TOTAL GENERAL BONDED - f
TAX LEVY COMPUTATION ALL FUNDS• FUND DEBT FUND
_ L B.Constructio�n
1 Total t Regp,ements _ 355,935.97_ 251,334.89 94 456.25 10144.83 ,
��2 Less Budget Resources Except 335 935.97 251,334.89, 74,456.25 109144.8_3 ,
,✓7[)i{ Taxes . c Levied
3 Taxes Necessary to Balance Budget 20 000.00 20,000.00 3
a ma
Add Taxs Estited Not
to Be Received During Ensuing Year 500.00 500.00 4
51 TOTAL TAXES TO BE LEVIED 20,500.00 20,500, 0 0 S
ANALYSIS OF TAXES TO BE LEVIED
6 Within 6% Limitation
W 7I Outside 60o Limitation
7
Q 8 Not Subject to 6oe Limitation B
d 9 1 TOTAL TAXES TO BE LEVIED —t
N 9
An re—Ye renes and seep;:( I--Epnds, if any,are included. ''.
f- FOR THE CURRENT FISCAL YEAR BEGINNING JULY 1, 19-61.
_ N TOTAL GENERAL BONDEDli
,J TAX LEVY COMPUTATION ALL FU NO FUND
m _- DEBT FUND— CO22nstruc F1 to ngi
- 101 Total Budget R"u,irements v s� 1.
77
66
L11 less Budget Resources,
10
Expept Taxes to Be Levied $ 5 11
12 Taxes Necessary to Balance Budget 15,863-01 15,86
13' Adtl Taxes Estimated Not
12
to Be Rece;ved During Ensuing Year500.0 500.00 13
Id I TOTAL TAXES TO BE LEVIED 16,363.011 14
ANALYSIS OF TAXES TO BE LEVIED
15Within hoe L;mitation
16 Outs itle 60o Limilat;on
iT --t 5 biect to 60o LI tation - J17
--._
18� TOTAL TA%ES TO BE LEVIED
1E
•All referee funds and apee-al r<ven ue tuntl a, it any, are ineludrd.
STATEMENT OF INDEBTEDNESS PETTY CASH
- OUTSTANDING JULY 1, AUTHOMMKO. NOT INCURRED, JULY 1 CURRENT YEAR YEAR
(ACTUAL) EI[STIYAT[D)
u�n9 Y Cu nl Yea. Ensn n ..._._-
TVP[ OF INDEBTEDNESS -. u(A t Ylear E[ lomat d) (A tuall (Est�m tvolr Sal [glance, J.IY 1 00
=a
p ( I}
18 8 nd� -.248,011f1.4V_-
20II t ee sng -+1I
... f NOTICE OF APPROVAL BY ■UDG[T COMMITTEES
'—�
21 j Short Term.Notes APPROVED By BUDGET COMMITTEE K 2
22 68
r tt
2J TOTAL INDEBTEDNESS CHAIRMAN OF BUDGET COMMITTEE
I
STC Form LB-1 (9-67)
PAGE
FORM LB-20 GEN_ERAL__ FUND RESOURCES
FOR. THE FISCAL YEAR 19_68 - 1969_
BEGINNING JULY 1, 19- 68_ _..--_—Tlgard Water District-_— —_-_-
inuN� nnl_ ._oF,r;;tn11„N,
--Washington--_
I--
1 HISTORICAL DATA 1967-68 o BUDGET FOR ENSUING YEAR
1965-66 ACTUAL 1966-67 UUO—T 1968-69
�rcoND vw rc EclrzsT
PROPOSED ADOPTED
vw FCED ve_nw n;. vEnw �..,,i wt:NT vtn�+ �.;.l�hCol. '. APPROVED Do Nn[Publ sh Th',Col.
1 I
2 39,026,93 64,213.00 29,704.39_ - - -- 35,303.82 2
3 -Net W.",,, C to (A—u.1 Basis)
us1, Lev I T.,
q To 9 R�c,:vvtl D in,1 En =.., Yrarq
HER RESOURCLS
— - - 405_-.4QZi,ineT tensions ___ 2 20"00- _2. 200L00
_ - -- %-T
32 54 - - 39,Z61-00- _ 40 000.00- _ � st
40.6Meteln . a_Z_1_aQs
_tin --- --- 48,500.00__ .0 48T 500_00
r
2309.00 ' - 3.397.00 1,000.00 - TAQB__Misce-LI-aaeaus 1.500.00 1,500.00 e
- ---3-0-0 0__410 T rall eI--House -Fees---
10
ees 10 ----- =---- ----—'- - 0
--- --- -------- _- !-411-. Fi rp Servi-ce--1Ll
i- grge_ -- -- -._2Sl_V__.\ESL- 1 .____200,00
. _
_ �T------ 1
-----
313.901 _�_0.O.jaO-j-41-2_Lntexest Income _ 300 00 � _ 300 00 �11
W
- - -- 41-2-.-1 In teres-t-Income_-__Con-s-tr� _ . -0- �- i 12
12 —. - T- - - -- -- 1.,611/-.--411.0._--. _-1,60E-0i'1 13
- � -r -
--_ 412.2-TnYeLPct Income --�nd��
-- 4$D-�00 f 1<�
x
x 1q_+ -_ - +-413-IIu#�itle-Distz-i-ct-Ho_ok- -_- -480.OLL-�-
15 � --JOQ.t10 - L,Q4II�D-0_- I;�lb_�Taln,,r aVA- -I-{aok-uP----------�-- - ----�I--160 0-00.00 � --- � 15 1
-r35�.�Q - 1 - _ - rO-QD_.-OQ- -
~1] _ 89,44448 Y 109 268.00 -- - 42-5-Penalties_for_ nonpay------ __--_ _ 150._00_____ �f7
--- --
9L 1 16
120 _000 00 418-4Z9 Wat�r__Sa es -__- �4D 1]
t- - rt - 150-��---
rF46,800 00 - - y� -- -42�6_�pand Sales_ - -- - - --- -- - - - �18
19 - --�-- - ---_ - - I4.L1--•1alt_ of Flquinment -. ----� --- -- - 1B
- - 430_-DeveloTers __- ,000.D_0 - 1�490_._44 - --___- __ 20
- _-.__ -- -+-431 T -spPc-tion _004 9.0_-- - 100.00
22 n �z22
1�
---
- -
2-3 Y71
-_
z
--
s
24 - -- ""-- -- - -- -- -- --._.------ - - --- --�- - -_.
--- --
I
25 - - - - - fi-- - - - - - --- -
262
- - - - - - II
__ - -
I
27
- ------- 27
-- -----__ ---- -- --. -.__ __. _-._- __ 28
29
29 _
-_ 30
30
31 171,827.84 21U, 152.00 192,034.39 TotaIR ew. EwrePtTa.es 9rLevicd _ 231,333.82 21,334.89_ - � 31
to Dalancr Rpd9,.t - 1 32 1
T.1-1 Collected Yrar Levied \\\\\\\\\\\\\\\\\\\\\ 371
34 j 171,827.84 I .."210,1.52.00 �. 192,034.39..- j Total Re �e� _ -._ -. .. 231,333.82 i 25 L, .8989 _� - 74
Inilud,• Unap Pro Vr iatrtl balance budyrtrd lad Y�'ar.
4 I
,AGE 1 of 1
STC F.,- LB-20 (9-67)
FORM LB-30 GENERAL FUND REQUIREMENTS SUMMARY
GENERAL FUND DEPARTMENT
FOR THE FISCAL YEAR 1 S 68_- 119---E9. Tigard Water DL&tricL-
f ...I-l"AL. 1.i,I1-1-71-N:
BEGINNING JULY 1. 19_-68
HISTORICAL
PRECEDING YEAR PRECEDIN<� I ! 1968-69 BUDGET FOR Ertsu{NG YEAR
BUDG CT _-
ACTiUAL 766 67e•AR CURBED Y¢A R' N,' - --
I FIRST I I PNCPOSED i ADOPTED
.-o ND Da - This l'tli. AP ROVED D Not P 1 sh rh Cal.
_
1
29,316.74 �. 42 875 -- 54,6 8 00 I PERSONAL SERVICES_ X506-L -- t [ 166.51 7" �E-.5c - - - - 1
---- ---
-_- 1,142.73__ 1 821 -- 4,200•_00_-- - 507,5Q8_Retire-Hosp-lied. _-__- 4,300._00 L, 3(�t�UO.---{ 2 I
3 1,345. 1.6 1 2,244 -- 2,50
0.00 X509,510-Payroll _Taxes - _-_ --- + --- 3,000.U0-.-L-----3_(100.1)0 _ __-_- 3
4 701.30 I 234_-- 350.0Z__-�511 Advextising-&_Elections- __ ---- t --- 1,000.00_
s 554.81 615 X00.90 X12_ Collections L-Clommi Ssions _700.00--+
----
6 _ - ._-L5- 3 -P1 anni -Future - ' 5000.0 �-
7 7.00 - 204 0-- +514--E4ui ent-_8ental_- ----- t 75_0>-0-0--+-- _ 750.00_-- --- -- 7
9 1,245.69 _{ 1,947 _- 1,400.00 _- � .'fif6-4.� tr ------- _-- ---�_�}-200_00-1. 2,200.00 -- `
9 179.29 1,112 anPous 9
10 - - _ 5 rr] aRt�Bd--Ilepc�si -S-Rentex�
11 _- - - 1517 rl„p c R _+Su11Sc-Tilt ion s- -. -1,5-0.00-4-1-50._ _00_ - -- _ 11
L 12 5
--
.25 3,599 1 ,800-00
13 _ 72Off-��g--S�$gs-� Expr---- -25504.5�� �--2r5.04...4.0 12
? Professional ees---_..__ _- _-_-_52.000.00 __2,500s00 - _ 13
14 - - 1,250.00 520 Meter Main tQnance b -geF-air _ _� 6,49500 - 6,49-5.00 14
15
1,712.35 2 983 7.800.00 �5212 Ren d M i T.i n -- -- -- - -
■ - ' , A-n r -- e�,T s --4+�9 Q--QOM-4 f 9�5G.•_.0 1S
16 503.03 1 679 1.800.0051"1 12,3 Utilities &0-0-0- 0.00--17 x._-_ 1•
- - - 521 Fire Hydrant Maintenan e _1 -3Q0 0-0- x00 _ 17
19 1,268.22 -j-2,604 1.000.00 - ' a0� 8015-OD-
20
.(0�.�0� ------ --- 1` _
19 - - 2.P Sl-.-11i 1 _ 93.C1S7._- .-OD-
20 - _ ,di es Batteries 226-_051- 226.00 20
21 5,801.45 9.18_ - e t t" 0_ 1 17 00.00
21
22 -'- d Ye -
Tefm
si.VT
23 nd 22
- _-X00.00 300 00 2
2. - 48 - 529 Rain ear,etc.-Ems. 134.001_ 134.OSL - 24,
25 _- 530,.EmplQvee Train'
26
27
28 T.n ferred to Other Funds
28
29
30
31
31
32 TOTAL EXPENDITURES \\\\`;\,\\\\\\` w
33 Ending Fund Bl.... - -- ---
34 TOTAL REQUIREMENTS
STC FORM LY-30(9.67)
PAGE Of
rt FORM LB-30 G�N_� 1LFUND REQUIREMENTS SUMMARY
_.GENERAL_F'-i11j;j1-_-__ __ DEPARTMENT
FOR THE FISCAL YEAR 19 -6- - 19__69 _Tigard mater District-_---__--- --
��I����P,.�_ «•,��� :,,.roti
BEGINNING JULY f, 19__48_._ Washington - -
196j-66- HISTORICAL DATA 1967-68 ____- _-
__--4EConD ACTUAL
-
1966-6_7_ veA~ 1968-69 bGET FOR ENSUING YEAR
I3JOr'[T n Not Publish This f.nl _._. -.- --
O - --_�
F RST PROPOSEDPRECEDING YEAR �- Pq ECELt G YEAR CURRENT -- -
3 ___--- - APPROVED --_- _
Du Not Publish Th Col.
PER )NAL S[RV C-S:
2
—_
s — — — } - ---- —
_ f �4
6 � �
' - fi-- - - -
s
MATERIALS AND SERVICZS -T
9 OPerati, -- -- - -'.--
-- I y mat x.,J s a.ies
- i
30 Contractual 5 30
— -
— -- -- --- _ —_—r-- ---_ _- — — — .—
G 12
=
12
13
13
=I 14 i I
14
` IB t--- --- it -- --
-- -- --------- 1 i
— --- - -+
17
18 ---f'--- ---- 17
— T CAPITAL OUTLAY: - -- -- —�--3,963.68 8,731 14 450.00 #549 ----- �- ----- __-i___ ___-_ —-- - - _`
19 E9u;,ment 14_,_929 0.0-_� -_6.720.00-
21 678.08 839 11000.00 aR,dons and Additions #550 �- _ _ - X19
-------- _____ 20
20,198.10 24 620 26,500.00_ #551 Meter Installations � �-
2= _ Dt e 5t.u�t.es �38,77�7_��0 �_ 38,767 50 -- _-_- _ - 1
22 2,087.39 2, -L- 57-_ - Land and ImP.oYements to Land �k552 22
23 2,300.00 - 2.500.00 #553 Operatin2 Contingencies 2 00 _
24 - 5,807 - X554 Line Extensions --�- '� 4,5DG.00 - _�23
25 - _ X555 Line Replacements - _ �_�-�0�-.111----�--ll0 12,_QQ�Q�t2
26 _ - .1 --- 39 03�•0a x 00--- - ---.._--�25
--- - - 1556 Enn�ering t --- 29
-- -- -- ------
27 _ 5-5T. -Cons enci-csncies__. 5 O_QQ_.. _ _ - ----- _-_
- - - - - - 1 Dg --�� - 2,
2t- f1y�LdIltS 3 L51 _C� 3 150-Cw - -- 2.
29 _ 1�058 9
_� ,133�.LL2____ 1h V S� 14_51���1._LL1�..CIQ_n_------ -------- - -- -V- —. -.0- - - ---- - - 29
3D 1.46x_25 --- ---- ----- -22,]_62 7.--_. 7.0�—__Bon_d._Sinking--- ------. ..-- -- --._ _._--- - 25,-479.57--- ----- 30
31 -
- -- -
31
32_ 113rZ95 -- EXPENDITURES-----_ -
\�\\��\����\\\\\\ 32
TOTAL
33 E-l-, F J
,. 102,228.86 _ 113,795 191,034 39 TOTAL REQUIREMENTS 231,333.82 251.334.$9 34
STC FORM LY-30(9-67) 2 of 2
PACE
i
FORM LB-31 DETAILED REQUIREMENTS BY FUND
FOR THE FISCAL YEAR 1966 - 19 (A
BEGINNING JULY 1, 19_x_
Tigard Water �i �trict
!MUNICIPAL Co RPORATIO—
—_ DEPARTMENT
BOND CONSTr.UCTIvV— FUND _�i.a�nington __-
1-INT.,
HISTORICAL DATA r�/�7-63 'R BUDGET FOR ENSUING YEAR
A •ND. •ND. �--19.68-69 R -- R-
- - - - - -
1965--66 ACTUAL L966-67 BUDGET N
- - - OF of PROPOSED •A APPROVED •A ADOPTED
' N N
SECOND FIRST CURRENT G EMPS.. EMPS. Do Not Publish G G Do Not Publish
PRECEDING YEAR PRECEDING YEAR YEAR E This C.I. ! C
This Col.
1�— -
li -
_ 186,588.00 ' .31326.69 Available Cash cn it;C -� 10 144.233 -,144 2
3 21 058.75 29 736.00 29, 13.3.5 _Transferin frQn... enra_lFund-- i -
i�nd. _ _. � -0- - -
51,058,75 1216,324,00 72,460.21 1 TOTAL - -- -_ __ I I' 10 144.83 10 L44 83
s
�7 7
6 I s
9 9
10 10
12 I - REQUIREMENTS 12
1113 128 022.00 41,300.00 1 Bond ConstrucLion 10, 144.83 10, 144.83 23
16 14
201 86 34.276.0 _ 1s
16 L 9 _ f Cqpr�irps ��. 16
V
17 2,737.64 7 17
18 , I 18
�20 20
21 1 - 31
22 22�
24
- ;
25
23 I
25
-
26
26 __..F
otn _ —
�I rr,n s .r,•d eo er unas � � 27
2.
r JO
I JO
31
32 J 21058.75 5 8.7 5 1 16 4,3 2 5.0 0 1\\\\\\\�\\\\\\\\\\\\\\\\\� .TOTAL EXPENDITURES >\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\�� 32
Endo- Find Dal'nce 33
23
21 058.75- 216 324 UO --_- --r - _ - _ - i - -- - ! -
3s TOTAL REQUIREMENTS - 1 34
11_�__. 51,999.00 72i460._2.1_.1 - 10,144.83 _-- 1 _1.4 +.83- 1 _
U,,• those,ml—,..I, -n-n hY x.,.,y —q—. PAGE
PAGE1 of 1
STC Form LR-31 (9-67)
I
iFORM LB-20 -B-OND-S-INKING _ FUND RESOURCES
M FOR THE FISCAL YEAR 19.68_ - 19 69_
BEGINNING JULY 1, 19 68 _ T1-gard Water _District
I'-NICIF- Cn RP11RATI„NI
_ Wa s h en g_ton -- ------ ---
- lC�JU NTY!
CC� ____-_.—.._.-__-.._._.--.__._ --
HISTORICAL. DATA 15b7-6U -_-_ _.__._._ - __-_—_ ..__—__
1765 -66 n TUAL 1966-67 BUD—T
1968-69 BUDGET FOR ENSUING YEAR
F __
nR E<E vt-n E— r-, CIRRENT YEAR PROPOSED
ADOPT
13, 13_
APPROVED ED
t P h h-This Col
5,358.93 700 49,074. 142 (Csh
-
_I 1
24,000.00 ' 4-4476—.38--
'N't W k 9 C P t —_
4
--5-00.00 4t35.OU _ -_ -_500.0() Pn`B Rrc ` d D T -- - — —
500 u0
T18z18i.076.
OTHER
RESOURCrS
0.00 1.240.00 1,000.00 Income-_ Due_Gen._
-
2,850.00 3 000.00_ -
9 - -� - �_�E408 Connection Fees -Bu11-Mt. 4,000.00�_ 4, 00 Do
746.25 —1-54, 00.00 22 762.87 #400—Transfer In - Gen__ _ - 5T
IO - — - --'-- L —
I1
13�
12
14 —__ _.. - —_.- _�-- 13
14
16
18
17
-_-
20
- - -- -
21 -- --- 20
-- --
--- -
2 21
1 23
--
r 22
24 _—_ �____---
25
24�
-
F I
27
L ]N i _ __ - - - - .._... — '—_. -__. _--. .—_— _.._--i_ -- _ _ --i _.. _-- -_--- —.. 281
--
29]
3.
49 646 25 72 112 00 76,336 99 T =� R E Pt T = B L - - 3O
32 \ /, - - _ _—. _. _r 48,976. 38 _. 74,456..25 _ .
l3. \\\\ll\\\\\\\\\\INERMEMEME\\\�\\\\\\\\\\ 86 LJ 1 T xrs N,cess.irY to Galan cr Rnd9l•t 4 _ .31
j ! 1011000-00 j _ 14,000.00 \\\ �\\\\\\\\\\\� T
14
5 479 87 000.o0 32
raxns c n tnd ; rear L,•���a _ _ _ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\MENENEME
341 59 646.25 i 86,112.00
> 92,200.00 - _1- Tt Rnan s 1_.. 94,X56,25 ._ 94�45�.25 1 _ 34
• )n�lueo. un,vPro P.i.t�e Balancn euda�tne lac. r,.,r. __ - _ _._..--
I
STC Form LB-20(9-67) 1 Of 1
PAG[
FORM LB-35
BONDED DEBT REQUIREMENTS
' - (BY FUND IF NECESSARY)
FOR THE FISCAL YEAR 19 68 - is 69
BEGI"VNING JULY 1, 19-6-8 .—Tigard -WaLer._DiStL1L.t---
'1UNiCii' L COliPORATIONI
a0ND_S1 NKINr Washington
NIS"f0?�ICgL
ACT
UAL
6:E ID iIR
PRECEDI G VE4R :ti L`.R C- .:RL'NT Yt. -__
- 1968 61969 C.I.C
E FOR ENSUING YEAR
PRIIPISED
ADOPTED
L]2
1965-1966 1966 1967_ '_ 1.967-,-1968 B,.,,d Pr„..... fn B P.,:: ., _._ APPROVED Do Npt Puhl h This
ppl.
- - - - -- - - -- 7u1., g1 ra, 1949 _ - - 96 -- - - --- -
1,OOt .OU -_1 00.00- , '000.00 pared -- Jul1 1 1959 - I - �- -- -- --- - 1
---
-- ' X - t 1 000 00 - 1,000 00
71000.00 7 000 00 7 000.00 _ - , - 8,000.00 +_8,000.00 3
4 �8,000.00 9,000.00 9 00 00 - -- - -_-- - ---
f 5 _. - — ---,— --- --- .
/\\{ - - � - -- -- ---- -Gct.- 1,-1962- - - 10000.00 10.000 00
i 7,000.00 1 1965 8 000.00
------�-
6 - - --- _.. - - - , - — 8,000.00 5
—r--- ___--- 8
16 000.00 17,000.0----t0 000.00__ ---
7TOT0.L PRINCIPAL TO BE PAIp _ ---- -�- --
-� - 27,000 00
--' 7
8 B d Interest to Be Paid During Ensuing Vear:
123.75 96.25 �- 68 75 olsspe Dated — - - ---- - ”-�
— - _- July 1, 1949 __ 41.2.5_- i 41._25
1p 5 442.50 ; 5,16 2.50 4 88 2 50 - - --- -- - a--'
11 7 977.50 70743 _75 oo__Y 1, 1959 -- - 4, 582 50 ._ _4T582.50--- ip
o - - -1 _ - -
7,23 5 00 7 -25 00--4---- 1�
L 12 � � `�.T 8,418 7 art 1 _
x -- -- - -6 12
- 13
11 _13_ 543.75 -�- '�5 (�(� [; l ---- - - 1— __ 13
Y 1—_21, 515- .0& -- 20,866 2r] _ T—AL INTEREST TO BF PAID
J 15 - 100-0o ' _ ._.T 20,033-7-5_� 20,033-7,5--
5
7.5--� 14
- 'inn nl� _�1 Agen. Fee - ----_ 30_0 00 is
6 16 s �—
Postage and Express
17 � _
I Other
16 1966-1967 1967-19_6.8 1 68-1969 -+ Unappropriated Baiance_For Payments pue in Secpnd Ensuing Year 1969-1970r 1�
I _ ___
19 1 000 00__x_ 1 000 0� 0 Prinpipal_I=sue Dated July 1, 19949 1 000 00 T0-00-�.0
21 7,000.00
,00
/''� p ( nn ( p 000 0/� x_39
20 Y__-- 8 _ �QV.�_, 1957- _ 0���0s0Q 1-U
9 000.00 9 000 00 10 000 00- Oct. 1 1962 10 000.00 10,0i�i);�Q-
22 - $-,QOQ�-O-(Z ! - Oct 1 1965 t
21
23 � —, -- �}000.oo _�
22
--- - ---- - _ 23
_ _
— — -
7 5
�25 _9_6.55 4 882.50--� -4,582.50 1.t5-- e est I �e pared y , - - -1 13.75 t -- -- - 2`�
5,162 --- T _ - _
13-
16.-�._-7 .743 75 ----�'---j x.496.25 ----1----- -- __ Ivov._1 1959 _ -- ---1-_- 75
2�
21t-
7 T .—_ 8'418.7-5--- -. .-8,-175.00 --.._ Oct. 1 L 19 6-
1g __ - -----�-- -65---- -- 8.75. -1 - _898_75 - - ---._-..---- - 271
18 _
39-
3p i31 _ 30.002. 50 44 866.25 - —
47 033 75— TOTAL UNAPPROPRIATED BALANCE t
-- - - -�- - 47,122.50. - - 47,122.50 } 30
_ - -- ---- --- - ----- -
31
] 5_9646.2SJ31601.2S \\\\\\\\\\\\\\\\�\I TOTAL EXPENDITURES ._- __ .—___—_..__-. 3233
�23
'-L-5-9-,
L 5-(1 r L_/.L -2 -- -- I 83, n 7-.s5----- --92,2/]n ^n-- TOTAL BONDED DEBT-REQUIREMENT
Z t1=2 u-a 1 (1 1111-1 f� L 3 L-U0a oo __TOTAL 9.4,-456,25
STC Form LB-35(9-67) 1 of 1
PAG[