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cp10-26-1964 cITEMS TO BE CONSIDERED
REGULAR COUNCIL MEETING
October 26, 1964
A. CALL TO ORDER - 7:30 P.M.
j. INVOCATION - Rev. Felton
APPROVE MINUTES
Regular meeting October 12, 1964
Special meeting October 16, 1964
Special meeting October 21, 1964
,,J. APPROVE BILLS
CHIEF OF POLICE BRODERIUS - Radio Equipment - 7:45 P.M.
ORDINANCE NO. 265 - Parking Meters
7.
ORDINANCE NO. 266 - Rezone lots,
5, 9, 10 and 11 Park
Subdivision
8.
RT�� - 9 :-69 P.M. vCS�
'+1
— / c9-r[�
U?
Petition for water main
APPLICATIONS PARKING METERS ($8.00 per month)
November 1 -
Dr. Donald Brink October -34 -December 31, 1964
Dr. E. W. Lippmann November 1 -December 31, 1964
Dr. L. H. Blackwell November 1 -December 31, 1964
10. WATER RATE :INCREASE - Ordinance No. 267
1I. OLD BUSINESS
Sanitary land fill hours.
Bids tabled from October 12, 1964 Meeting
Publication #901 - Lots 5, 9, 10 and 11, Park Subdivision
ENGINEER
Ctdrb and Gutter on Bluff Street
Progress report on Airport -
Report on street light on Thomas Avenue
Petitions
Building permits
1,,3. INFORMATION
Bid Opening - Furnishings for Burns Manor Nurs'Ligr Home
Tuesday, November 10, 1964 - 2:00 P.M.
14.. SAFETY COUNCIL MINUTES - attached
1-5, RECREATION MINUTES - attached
V PLANNING COMMISSION MINUTES - attached
,�1. Approval - Nides Finance Co. sign (special permit)
2. Recommendation - special permit for perina:nent steel post Hotel
Jorgenson for Christmas decorations.
3. Recommend rezoning lots 5, 9, 10 and 11 Park Subdivision to B-3.
i�Z,. OFFICE TYPEWRITER
i4. ADJOURNMENT
RECULAR COUNCIL PROCEEDT0 8
October 12, 1964
A Regular Council Meeting was called to order by Mayor Rolfe in the
Council Chambers at the hour of 7:30 P.M. Invocation by Rev. Sheffield
Members present: Aldermen Hanson, Fitzloff, Johnson, Stearns, Atty
Schantzen, Engineer Wilson, Treasurer Smith
Members absent: None
Motion was made, seconded and carried to approve the minutes of the
Regular Meeting of September 28, and Special Meeting of October 5, 1964
Motion was made, seconded and carried that the followin g bills be
allowed and paid out of the proper funds as follows, with the exception
of the Hutchinson Nursery in the amount of $76.96:
GENERAL FUND
The Hutchinson Leader
Ralph Young
Minnesota Valley Testing
Johnson Super Value
Theophil Grunewaldt
Aetna Life Insurance Co.
Municipal Electric Plant
Hutchinson Utilities
Municpal Water Dept.
Hutchinson Telephone Co.
Harold NlricI
Estherts
Kemske Paper Co.
D. C. Hey Company, Inc.
American Linen Supply Co.
Skelly Oil Co.
FA rank F. Englehart
Lindyts Shell Service
Gambles
Hutchinson Whdesale Suppl
Miller -Davis Company
lila Hdwe.
Buckfs Tire Shop
McLeod County
Hoels'
Gopher Shooter's Supply C
Myron Wigen Chevrolet Co.
Larsen Communications
Miscellaneous Drawer #2,4
Eli K. Jensen
AIRPORT
Publication on sale of lots
5.25
Electirc inspections
20.00
Labs. September reports
166.80
Dog food
2.29
Dog hours
24.70
Group insurance premium
623.98
Service - City Hall, Fire Dept.
138.78
Service - City Hall, Fire Dept.
33.871
Service - City Hall, Fire Dept.
121.25
Service
107.089
Mileage re primary election
2.40
Office supplies
20.23
Office supplies
8.49
Office supplies & equipment repair
96.00
Service - City Hall, Fire Dept.
13.90
Fire Dept. - lubricating oil
7.44
Mileage to 2 conferences
30.20
Fire Dept. - gasoline
12.56
Fire Dept - truck repairs
27.18
y Fire & Police Depts. - repairs
64.03
Police Dept. - traffic tickets
50.81
Police Dept. - supplies
2.25
Police Dept. - tire repair
3.00
Prisoners' Board - 3rd quarter
75.00
Police Dept. - gasoline
189.37
o. Police Dept. - targets
7.64
Police Dept. -» car repairs
101.80
($25.50 paid by insurance)
Police Dept. - repairs
23.30
Freight on new filing cabinet for
Health officer
3.50
Patrolman hours
64.00
/
c,o--
` r
(0 9�,-
Hutchinson Telephone Co.
Michael Kurth
Len Det;tman
Esther's
Hutchinson Leader
Hutchinson Business Service
Popp Rexall Drug
1962 CURB & GUTTER
1
.A 2? �2� .
Service - L.D. calls
5.38
Labor
61.75
Labor
62.40
Binders for Ledger & Journal
11.40
Publications, advertising
12.&5
Copies air strip
2.00
Film for pictures for appraisals
13.18
First National Bank of Mpls. Interest, Principal, Service Chg. 5321.75
SINKING FUND NO. 1
First National Bank of Mpls.
ROAD & BRIDGE
Downtown Standard
Zila Hdwe.
Buck's Tire Shop
Peterson Truck Service
Hutchinson Wholesale Supply
Hutchinson Utilities
Anderson Chemical Company
Bullert Washed Sand & Wave
Hutchinson Iron & Metal Co.
Hall Equipment Inc.
Lakeland Asphalt
Municipal Water Department
Municipal Electric Plant
Terminal Electric Co.
Graybar Electric Co.
Sterling Electric Co.
Rexall Drug
Edw. Stoeckman
Hutchinson Telephone Co.
Emil Wilke
Leo Pillatzki
Stan ley Lorence
Elmer Paulsen
Wilbert Proemming
Otto Schulz
Roger Telecky
Ira Braun
George Richards
Carl Baumetz
Len Dettman
Michael Kurth
James E. Paulsen
George Totushek
Richard J. Peterson
Juul Contracting Co.
WATER & SEWER
Hutchinson Telephone Co.
Hutchinson Utilities
Municipal Electric Plant
Hach Chemical Company, Inc.
Hi -Way Standard Service
Sharon Berwald
American Water Works Assn.
Peterson Truck Service
Wallner Rrinting Co.
Lloyd's Red Owl
Municipal Water Dept.
Gambles
Miscaellaneous Drawer #2
Interest, Principal, Service Chg. 3231.75
Engineering supplies
Supplies
Tires
Repairs and Parts
Repairs
Service - warehouse & garage
Calcium Chloride
1 Seal Coat Sand - 384 ton
Parking meter shaft
Broom fill
Bituminous Mix
Street Flushing
Service
Mercury Vapor fixtures
Street light mast arms
Ballasts (2 -- 1 new, 1 rep aire
Supplies cleaning meters
Recording easements
Service
Labor painting cross walks
Labor on signs at dump
Labor sodding (Lewis Ave.)
Labor painting cross walks
Labor painting cross walks, d
Labor sodding
Labor
Labor
Labor
Labor
Labor with engineers
Labor with engineers
Appraisal Dqp Dobratz property
Appraisal Don Dobratz property
Appraisal Don Dobratz property
lst payment 14-2 lProject
Service
Service
Service
Purification supplies
Gasoline
Salary
d)
T�
A nnual dues for membership for
Leonard Johnson
Repairs
"Door Knob" cards
Kliene*, paper towels
Service
Keys and batteries
17.22
8.75
105.50
47.02
34.44
7.70
323.75
307-.20
1.75
42.53
74.75
12.50
997.05
27.99
85.72=
100.20
1.84
3.75
14.03
10.40
10.20
10.40
10.98
22.50
10.40
198.83
11.70
181.50
198.00
68.80
20.80
35.00
35.00
35.00
8,627.53
26.10
36.92
1,196.38
49.01
36.98
RRx. 103.50
15.00
Freight on new equipment for disposal
plant __ f
49.65
16.75
6.11
115.00
1.10
23.92 _
LIQUOR STORE
Phil A. Buck
Labor
4.00
New Ulm Grocery Co.
Bags
16.61
H. H. Lack
Freight
112.22
Locher Bros.
Beer
909.30
Premium Distributing Co.
Beer
643.40
Olivia Bottling Co.
Beer
639.10
Kaufmann Distributing Co.
Beer
404.75
Cold Spring Brewing Co.
Beer
14.00
Ed. Phillips & Sons Co.
Luquor
429.96
Ed. Phillips & Sons Co.
Liquor
393.69
Famous Brands
Liquor
613.03
Famous Brands
Wine
272.00
McKesson & Robbins
Wine
123.38
McKesson & Rao bbins
Wine & liquor
128.50
Lynn Johnson Company
Liquor
207.53
Griggs, Cooper & Co.
Wine
1,001.81
Griggs, Cooper & Co.
Wine
1,730.79
Distillers Distributing Co.
Liquor
11,160.58
Chief of Police Broderius was present tn:ds.,,cuss the prices of two way
radio equipment. No action taken.
Motion was made, seconded and carried to send two patrolmen and use a police
car, to a Special school session at Willmar on
and at New Brighton on NgttN26,27, and 28, 1964.
Discussion on payment and use of parking meters.
Thereupon
Alderman Fitzloff introduced XXX Ordinance No. 265 and moved its first
reading:
ORDINANCE NO. 265
ANORDINANCE RELATING TO TRAFFIC AND REGULATING THE USE OF PUBLIC
STREETS AND HIGHWAYS IN THE CITY OF HUTCHINSON, MINNESOTA,
PRESCRIBING REGULATIONS RELATIVE TO THE PARKING OF VEHICLES UPON
SUCH PUBLIC STREETS AND HIGHWAYS, PROVIDING FOR PURCHASE, ACQUIRING
INSTALLATION, OPERATION, MAINTENANCE, SUPERVISION, REGULATION AND
CONTROL OF THE USE OF PARKING METERS, DEFINING AND PROVIDING FOR
THE ESTABLISHMENT OF PARKING METER ZONES UPON THE PUBLIC STREETS
AND HIGHWAYS, PROVIDING FOR THE PAYMENT THEREOF, PROVIDING FOR THE
ENFORCEMENT HEREOF ANDPROVIDING PENALTIES FOR THE VIOLATION THEREOF.
The City Council of the City of Hutchinson ordains:
S
That the Section 17 of Ordinance 133 shall and hereby is amended to read
as follows:
S ` k.
When any person, firm or individual finding it necessary to occupy the
treets adjacent to any parking meter of meters so that vehicles cannot
park thereon, they shall make application to the City Clerk for the necessary
permit entitling them to have a hood or a "Reserved Sign" placed on said
meter or meters. The fee for each and every meter so designated shall be
as follows:
$ 0.50 per day; or
2.50 per week; or
8.00 per month; or
60.00 per year
All xpAilx xt applications for yearly permits shall be approved by the
City Council before such permit shall be issued.
All fees shall be paid to the Offioe of the City Clerk. Upon payment of
said fee the receipt for same shall be given to the applicant who will
present same to the City Police Department. The City Police Department
shall then place a hood or "Reserved Sign" over the affected meter (s)
for the length of time for which such permit is granted.
Alderman Johpson seconded the motion of Alderman Fitzloff to introduce
OrdinanceVfor its first reading. Upon roll call, all members present
voted in favor of Ordinance No. 265, and it was declared passed on its
first reading.
Alderman Johnson introduced Ordinance No. 265 fzxxi1xx and moved its
secmnd reading:
ORDINANCE NO. 265
AN ORDINANCE RELATING TO TRAFFIC AND REGULATING THE USE OF PUBLIC
STREETS AND HIGHWAYS IN THE CITY OF HUTCHINSON, MINNESOTA, PRESCRIBING
REGULATIONS RELATIVE TO THE PARKING OF VEHICLES UPON SUCH PUBLIC STREETS
AND HIGHWAYS, PROVIDING FOR PURCHASE, ACQUIRING, INSTALLATION, OPERATION,
MAINTENANCE, SUPERVISION, REGULATION AND CONTROL OF THE USE OF PARKING METERS,
DEFINING AND PROVIDING FOR THE ESTABLISHMENT OF PARKING METER ZONES UPON
THE PUBLIC STREETS AND HIGHWAYS, PROVIDING FOR THE PAYMENT THEREOF, PROVIDING
FOR THE ENFORCEMENT HEREOF AND PROVIDING PENALITIES FOR THE VIOLATION
THEREOF.
Alderman Fitzloff seconded the motion of Alderman Johnson to introduce
Ordinance No. 265 for its second reading. Upon roll call, all members
present voted in favor of Ordinance No. 265, and it was declared passed
on its second reading.
The City Clerk was requested to send a copy of Ordinance No. 265 and
applicationblanks to the Medical Doctors who have reserved spaces.
Mayor Rolfe called for bids Publication No. 901 on Lots I - EX I0 Park
Subdivision.
There were two bids.
BIDDER CERT. CK AMOUNT BID
Cliff Betker 175.00 $5026.00
Lots 1 - 10
(On condition they are rezoned
commercial)
Cliff Betker $175.00 $3026.00
Lots 5,9, & 10
(On condition they are rezoned
commercial)
Alderman Fitzloff made a motion to table these bids and order a hearing
on Monday, October 19, 1964 at 9:00 P.M. by the Planning Commission for
rezoning.
Alderman Hanson seconded the motion of Alderman Fitzloff and upon vote,
Carried.
Engineer Wilson gave a report on the Sanitary land fill system at the City
Dump. Discussion on charge for use of the dump. No action taken.
Engineer Wilson reported.on the petition requesting a street light at Maple
and Northwoods Ave. He recommended placing a street light at this location.
Motion was made, seconded and carried to have a street light placed at the
corner of Maple Street and Northwoods Ave.
Engineer Wilson gave a report on the petition for watermain extension to
Peterson School Addition. It was decided to ask the developer to attend the
next Council Meeting for further discussion.
Discussion of Thomas Ave Street Project.
Alderman Stearns made a motion to have Engineer Wilson take the necessary
steps to proceed with the Thomas Ave Street Project. The City will pay
expense of removing the top gravel and the property owners will pay for
the gravel fill and mat.
Alderman Johnson seconded the motion of Alderman Stearns, and upon vote,
carried.
A petition was presented for a street light at Thomas Ave and Dale Street,
signed by five property owners.
Motion was made, seconded and carried to refer this petition to the Engineer.
Motion was made, seconded and carried to re-imburse the General Fund from the
Public Sites Fund for the purchase of the West River Park (Paul Riebe property),
in the amount of $3,700.00.
The following application was presented:
Goebel Fixture Co. - 528 Dale Street SW
Install a 6 inch water lint and tap to the City Main.
This was approved provided a check system be installed and they be required to
take out a plumbing permit.
The vote was as o ows: Motion was made to approve this application:
Alderman Hanson ??n@tVT? Alderman Johnson "aye'?
Alderman Fitzloff TTXgYTT Alderman Stearns rraye??
Mayor Rolfe TtayeT?
building permit
Motion was made, seconded and carried that the followings
be granted;
4arvin Burghs rt - 116 - 5th Ave SW
House & attached garage - Lot 12, Carrigan Addition
Motion was made, seconded and carried that the following water and sewer tap
be granted:
Marvin Burghart
Motion was made, seconded and carried to adjourn at 11:40 P.M.
SPECIAL COUNCIL PROCEEDINGS
October 16, 1964
A Special Council Meeting was called to order by Mayor Rolfe in the Council
Chambers at Hotel Jorgenson at 12:00 noon.
Members present: Aldermen Hanson, Fitzloff, Johnson, Stearns,
Attorney Schantzen, Engineer Wilson, Treasurer
Smith
Members absent: None
Also present Mr. Jim Olsen of Juran & Moody of Minneapolis, Minn.
Mr. Olsen discussed the sale of Revenue Bonds for the Municipal Airport.
It was decided to have XXKXKM Alderman Stearns contact the local banks
to see if they would be interested in the purchase of these bonds.
Alderman Hanson made a motion to change the dates for receiving and
;iov v'.h openain- bids for Furnishings for Burns Manor Nursing Home from Nov. 7
��'November 10, 1964 Drawings and Specifications may be seen at the
Office of the City Clerk on or after October 20, 1964.
Alderman Johnson seconded the motion of Alderman Hanson, and upon vote
being taken, carried.
Alderman Johnson made a motion to increase the salary of Mrs Glen Thomas
bookkeeper, from $240.00 to $265.00 per month effective November 1, 1964,
and increase the salary of Mrs Ken Monge from $260.00 to $265.00 at the
end of six months employment.
Alderman Hanson sedonded the Motion of Alderman Johnson and upon vote
being taken, carried.
Motion was made, seconded and carried to adjourn at 2:00 P.M.
SPECIAL COUNCIL PROCEEDINGS
October 22, 1964
A Special Council Meeting was called to order by Mayor Rolfe at the
City Hall at the hour of 12:30 P.M.
Members present: Alderman Hanson, Fitzloff, Johnson, Stearns,
Engineer Wilson
Members absent: Attorney Schantzen
Discussion of the Revenue Bonds for the Municipal Airport.
Motion was made, seconded and carried to have Attorney Schantzen proceed
with the Bond Issue as recommended by Mr. Olsen of Juran & Moody.
Motion was made, seconded and carried that the following building permits
be granted:
Harold Odegaard - 1020 Roberts Road
House & attached garage - Lot 12, Roberts Addition
Harold Odegaard - 1020 Roberts Road
House & attached garage - Lot 6, Roberts Addition
Motion was made, seconded and carried that the following water and sewer
taps be granted:
Harold Odegaard
Harold Odegaard
Motion wasiVmade, seconded and carried to adjourn at 1:35 P.M.
Hutchinson Safety Council
Fee' ember meeting of Hutchinson Safety Council was held on Pent. 28th, 1964
at the Hotel JorgTenson at 12:()0 o�clock noon.
Meetir^ w -s opened w�th silent prayer.
There we -P 10 membr^s n-esent.
pede-trian Accidents cards wP e handed out and ;t was announced that those
Would be passed o,:t Pround tckn on 7r -* day everirg, Oct. 2nd, by sty Bert s +'r^m
the schnol i.7nder the supnrvi s; on of Chief o" F^lice Proderiiis.
Yotion wa-- made by Frark Bro'eri>>s, seconled by Larry Teskey, thrt the
sec-etary-t-easurer'- •eport be accented. Potion ca^r'Pi.
MeetirP adjourned 12:55 n.m.
nesnectful l y mibmi ` ted :
Florence ? Jarc"o
Secretary -i reasi,,rer
Treasurers report:
Bal. n bark 8/11/64 07.71)
ro disbursements
ro receipts
Pal. in bank 9/70/64 97.79
b 141(fl, '01, good litlilill,
DR L I -Ye
rod fry hti
::mates of the RecreationBoardfor
wb.," calied to order at the Buildin,
at 7:30
-.,embers present lnclUdeC 1i t Aitmeyers
c�iel, Ivan Jae Y(-,,;ml-.nB
Earl Fitzloffs
c.
n d Gene
o t i n to c c IIIt
letters to all rc
i',urt re, .) -�
_,,int, --rid 7:`.ick Co�te6t,
61
c re-oi-ted that tOtL,'L
of 1'4 boys had erjoved the 1',11
t o r..m and tt.ct t 11 u arents evPn-i-n- proFrE'1_m a-
- I r
he Hif7h bchocl ljjr,:c�ted field. t h cU
3ucceSs i'cr '�LJe boys at L
letter wi 11 be 6ent to t', i -or crov!6i11,- the fa_Ctlitl_es
L.t the I ;:,chouj for -,t foctb,!J_l.
It was arecd we con--ider the fcotbL____! Oeascn
teat -.-C,
It was coilnted cut t vi,��
1cr the boys if weather oerinits.
, tuiq o ni.,-, t, t hL, t c ne
elai,--cJ' it this ,ear by havi-,I,,
c)v(--,r our �,j, -et a JL 11 _,int « 'de shy 11 try to 'or
Y,:Dar. .
Hurt -'f' for Hur �u a, teru. IT 111 a
L ssecoi-lc U * t
iel :--ot , -5 in
FL, -11 �-�ccraeticn .'�P_etin1t on
s for tic nese !�LF, Lted f ie!6 .rc
Hui -t -Gifit.06 OU' theO
witj-_, the rcfiec,u(:rL c h, e d t,, t i - i n i be G. e t c, u .-,)on.
e also mentione�i a mec."_n ha-' been cl, ---Lec for L,IJPSL�' ve -
j E! 0 U
fc-,- the the saftb-ILL '0 t it
!*- - , r 1 e ld
-LI es *o what Improverits71011;u Ileod to ._;G- �-Iae t
-Pon U I - to _,er, L, -,O
,n&t -:Ijl,t wo 1�6 so_j� 6 a z
Also it wa. L -reed ' _ I � , --
.9 V ost o -L,
�,t wits tae i-_-icre� c
'know thL U ecled frL)ir t,-: C d
field _ome fina-Inclal assistance 1�;G,,:, -,a U
benefit durin" the sumi_,,er -months. Also,try t .w-! tch
f a c6jjt��ol on �Ir�e
just �.,,Mt ,,-r,:,up wLtrta(� in the L.; -J. 0
box. -71-nal arragements will be completed 1-.: jl�rlll-
., t
name cii cussion was carried out on the errect".n
of t"
'=rood
and the re�ca4, jr otho north ste", on tl-e LU11(!i'It was &,
,
t".1s 1--3 dine, --.Lt the con-.-en!cjnc,_, U%tlie _uric
.-i3cussion centered on and a -,d the
ex--3ensc t'.11js hai, brouE,-t I c Mal'b-ud_ --.t -Lo cc,'tac'
U11(., !--sur,-nce Ccmpany to c-;et6` wG woulG be crcolted
to 0,,jr, 1,uc;,_-ot for 4U*1,-Le re---ir-L ere
-ee t inL adjourned -, t
7 ,c c r qtary
ADD TO MINUTES
Discussion of sale of Lots 9,10,11,& 12 Pf Carrigan's Subdivision on the
west side of James Street.
Motion was made, seconded and carried to sell lots 9,10,11 & 12 of
Carrigan's Subdivision west side of James St. to Marvin Burghart in the
amount of $4,000.00.
The City of Hutchinson is to pay $100.00 earnest money to acquire the
ifollowing described property:
North 264 feet of Lot 2 of Block 11, North Half, City of Hutchinson,
according to the map or plat thereof on file and of record in the
office of the Register of Heeds in and for McLeod County,Minnesota.
and pay $3,900.00 cash at such time as Seller can deliver and up-to-date
abstract of title after which Buyer shall have 20 days to examine same
for the purpose of determining if Seller has clear title free and clear of
all liens and other encumbrances; after such matter has been determined,
Buyer shall pay balance of money owing under this contract to Seller. The
Seller shall provide Buyer with a Warrenty Deed and all Revenue Stamps and
State Deed Tax connected with this transaction. The Seller shall also pay
all real estate taxes and assessments due on said property at such time as
Warrenty Deed is given to Buyer.
Motion was made, seconded and carried that the following building permit
be granted:
Marvin Burghart - 116 - 5th Ave NW
House & attached garage - Lot 12 - Carrigan Subdivision
Motinn was made, seconded and carried that the following water and sewer
taps be granted:
Marvin Burghart
Peterson School Addition
Deferred Assessments
October 23, 1964
A petition was received by the City Council, for watermain construction
on Larson Street, abutting this addition. The Engineer's Report, received
on October 12, 1964, noted that there presently are deferred assessments on
this property. The Engineer was directed to report on these assessments and
to request that Mr. Burich attend the Council meeting on October 26, 1964,
to discuss these and also the proceedure for installing the watermain.
At the time that sanitary sewer was installed to the high school site,
the subject property was assessed for frontage on Larson Street and on Roberts
Road. Intersections were not deducted, as the property was not subdivided at
that time. At the same time, a watermain was installed on Roberts Road and
this property was assessed for that cost.
In 1962, prior to paving Roberts Road, sewer and watermains were stubbed
out of the intersections of Larson, Kay and Alan Streets. This cost was also
assessed back to the affected properties.
These assessments were all deferred until such time as the property would
be developed.
Ordinance Number 234 relating to deferred assessments, calls for payment
of the assessment, plus collection of interest from the date of assessment,
not to exceed the cost on construction at the time of connection.
The attached map indicates the affected parcel and the assessed frontages.
The deferred assessments are:
Sanitary Sewer (Frontages A & B) $2,925.42
Watermain (Frontage B)
1,152.76
Stubs at Larson, Kay, and Alan Streets 1,589.90
These. amounts do not include interest.
It is in the best interests of the city of Hutchinson that the surface on
Roberts Road not be disturbed. Therefore, an agreeable solution should be
arrived at with the subdivider at this time.
Considerations for this should c.6ver some or all of the following matters:
Cost of the watermain on Ia3rson Street
Cost of tl:e watermain and sanitary sewer on Alan Street
Cost of the watermain on Lea Avenue
Deferred assessments on Roberts Road and on Larson Street
It is recommended that the deferred assessment for 425.35 ft. on Larson
Street be paid by th,e subdivider, that assessments be waived on Roberts Road,
that the full cost of the watermain on Larson Street be paid by the subdivider,
that the full cost of the watermain and sanitary sewer on Alan Street and the
watermain on Lea Avenue between Alan and Kay Streets be paid by the subdivider,
and that the assessments for the stubs be paid by the subdivider.
The amount of the assessments waived on Roberts Road would be $2,822.12
and interest of about $608.00 (depending upon date of payment). In return
the city would be avoiding damage to the pavement on Roberts Road, and gaining
the opportunity to charge connection charges to the properties on the East
side of Larson Street (frontage. C) and on the West side of Alan Street (frontage
D) at a future time. Based on present assessments this would be about $3,900.
On the basis of these recommendations the approximate amount to be collected
on the remaining assessments (based on interest rounded to full years) is:
Sanitary Sewer $1,526.75
Water and Sewer Stubs 1,786.41
Total $3,313.15
If the sanitary sewer were to be constructed at this time, the assessable
amount would be $1,625, and the stubs at the intersections would cost $2,189.
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Lea Ave.
3
ra
. . 1-11----- ,.
ry00/T/UN
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Roberts Road
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c NilQ6tr �r4f �✓�+id�
FUND
General
Band
Library
Road and Bridge
Water and Sewer
Sinking Fund #1
Sinking Fund #2
1962 Curb and Gutter
$128,003.32 10,983.33
3,821.37
81.21
CITY OF HUTCHINSON
EXHIBIT A
68,417.30
SUMMARY OF
CASH RECEIPTS AND DISBURSEMENTS
18,103.10
1,752.52
6 MONTHS
ENDED September 30 1964
595.61
Balance -
106,887.06
53,255.10
Balance —
Cash and
12574.19
Transfers Transfers
Cash and
Investments
Receipts
from Total Disbursements to
Total Investments
Beginning
During Period
Other Funds Receipts During Period Other Funds
Disbursements Ending
FUND
General
Band
Library
Road and Bridge
Water and Sewer
Sinking Fund #1
Sinking Fund #2
1962 Curb and Gutter
$128,003.32 10,983.33
3,821.37
81.21
(71,731.45)
3,576.67
68,417.30
5,838.78
11,744.93
18,103.10
1,752.52
316.29
7,675.11
595.61
88,687.36 22,687.60
154,792.60
61,898.08
6,950.34
1,492.28
8,523.09
2,248.62
27,995.09
18,103.10
49,473.05
(93,209.41)
91,724.86
37,062.91
106,887.06
53,255.10
12574.19
13,319.12
2,371.33
5,971.75
5,971.75
(1,847.90)
2,003.03
9,678.14
* Includes Amount provided for
Bebt Retirement $35,000.00
* Includes Investments $35,000.00
$149,683.10 21,391.89 221,306.20 85,317.64
325,647.55 45,341.75
CITY OF HUTCHINSON EXHIBIT B
SUMMARY OF RECEIPTS AND DISBURSEMENTS - ESTIMATED AND ACTUAL
ALL FUNDS
u'
( MONTHS ENDED ,�
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
RECEIPTS
General Fund
Schedule
1
247,361.44
88,687e36
Band Fund
Schedule
2
Library Fund
Schedule
3
15,726.49
6,950;34
Road & Bridge Fund
Schedule
4
191,102.29
27,995.09
Water & Sewer Fund
Schedule
5
134,375.11
91,724.86
Sinking Fund #1 - S.E.
Storm Sewer
5,685.11
1,574.19
Sinking Fund #2 - N.E.
Storm Sewer
3,369.26
2,371.33
1962 Curb, Gutter, Sidewalk
4,072.85
2,003.03
Total Receipts
$601,692.55
221,306.20
DISBURSEMENTS
General Fund
Schedule
6
256,821.19
154,792.60
Band Fund
Schedule
7
Library Find
Schedule
8
16,592.84
8,523.09
Road & Bridge Fund
Schedule
9
255,637.77
49,473.05
Water & Sewer Fund
Schedule
10
103,506.34
106,887.06
Sinking Fund #1 - S.E.
Storm Sewer
5,852.25
Sinking Fund #2 - N.E.
Storm Sewer
7,011.75
53971.75
1962 Curb, Gutter, Sidewalk
61657.15
Total Disbursements
$652,079.29
325,647.55
SUMMARY - CURRENT EXPENSE
AND CAPITAL
OUTLAY
General Fund
Sinking Fund #1
Library Fund
Road and Bridge Fund
Water and Sewer Fund
Sinking Fund #2
1962 Curb, Gutter, Sidewalk
Totals
Current
Expense
136,179.08
8,458.69
44,600.51
78,782.15
5,971.75
Capital
Outlay
18,613.52
64.40
4,872.54
28,104.91
Total
Disbursements
154,792.60
8,523.09
49,473.05
106,887.06
5,971.75
273,992.18 51,655.37 325,647.55
CITY OF HUTCHINSON SCHEDULE I
STATEMENT OF ESTIMATED AND ACTUAL RECEIPTS
GENERAL FUND
_kMONTHS ENDED "196
General Property Taxes
F-ecial Assessments
-_ sense s
Permits
Fines, Forfeits and Penalties
Revenue from Use of Money and Property
Revenue from Other Agencies
Shared Licenses
Grants from Other Governments
Charges for Current Services
Cemetery
Recreation
Other
Other Receipts
Sale of Property
Revenues Collected for Other Agencies
Borrowing
Refunds and Reimbursements
Other
Unclassified
Transfers In
Transfer from Public Sites
Total Receipts
Actual Estimated
Prior Year Current Ye
75,196.70
2,797.45
3,071.90
13,371.25
2,966.22
20,054.69
Actual
Current Year Estimated j
To Date Balance
30,478.58
1,579.30
1,354.00
8,205.50
1,013.00
9,652.16
9,925.00 4,250.00
39554.59 3,284.43
75.00 5.00
179.00 91.55
14,294.05 5,127.56
.75 274.78
874.84 371.50
95,000.00 23,000.00
6,000.00
2479361.44 88,687.36
.; "aw
CITY OF HUTCHINSON
STATEMENZ OF ESTIMATED ANDjkCTUAL RECE-PTS
MONTHS ENDED 196
LIBRARY .FUND
General Property Taxes
Rentals
Donations
Miscellaneous - Library
Fines
Fees - Res. & Non -Res.
Total Receipts
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
SCHEDULE 3
14,671.07
86.95
267.80
66.25
391.42
243.00
6,456.03
42.30
104.00
230.01
1]8.00
15,726.49 6950.34
ROAD AND BRIDGE FUND
191,102.29 27,995.09
WATER AND SEWER FUND
Transfer from General Fund
75,000.00
Water
General Property Taxes
26,900.59
11,230.81
3;241:04
Special Assessments
18,176.58
3,241.04
9;flflfl:fl�
Parking Meter Revenue
14,010.22
7,000.02
27.95
Sweeping Streets Streets
392.00
154.00
770.00
Snow Removal Charges
484.00
282.00
Meter Deposits
Sidewalk Repairs Repairs
122.06
276.66
2,528.76
Sale of of Materials
17.98
12.20
Engineering Fees Fees
954.70
119.30
Miscellaneous Water Revenues
Interest
43.08
2.94
90,711.93
Weed Cutting
52.00
36.50
369: -71 -
Miscellaneous
813.79
369.71
M.S.A. Maintenance Construction
54,135.29
5,269.91
Total Receipts
191,102.29 27,995.09
WATER AND SEWER FUND
SCHEDULE 5
Water
Special Assessments & Tapping
Feee 6,418.65
6,295.11
Collections on Sales and
Regular Charges
65,212.59
32,319.11
Customer Service
27.95
6.40
Meter Sales
1,778.96
770.00
Borrowing
Meter Deposits
714.02
453.00
Interest
2,528.76
1,483.76
Revenue from Other Agencies -
Municipal Electric Plant
14,000.00
7,800.00
Miscellaneous Water Revenues
31.00
20,074.48
Totals = Water
90,711.93
69,201.86
Sewer
Special Assess. & Tapping Fees 5,704.67 3,467.74
Sewer Charges - Collections 19055.26
Customer Services 37,248.64
Miscellaneous Sewer Revenues 709.87
Totals - Sewer 43,663.18 22,523.00
Total Receipts - 134,375.11
Water & Sewer 91,724.86
Total Disbursements 256,821.19 184,640.00 154,792.60 29,847.40
CITY OF HUT CHINSON
SCHEDULE 6
SUMMARY OF
ESTIMATED AND ACTUAL
DISBURSEMENTS
Sheet
GENERAL FUND
MONTHS ENDED
196
Actual
Actual
Estimated
Current Year Estimated
Prior Year
Current Year
To Date
Balance
General Government
Schedule 6, Sheet
2
60,191.56
58,290.00
84,803.07
(26,513.07)
Conservation of Health
Schedule 6, Sheet
3
1,085.36
1,150.00
489.15
660.85
Public Buildings, Fire and Other
Protection - Schedule 6, Sheet 3 26,606.31
23,550.00
12,729.33
10,820.67
Organized Recreation
Schedule 6, Sheet
4
12,889.08
11,950.00
9,701.08
-
2,248.92
Parks and Cemetery
Schedule 6, Sheet
5
44,390.03
49,650.00
27,287.25
22,362.75
Police Protection
Schedule 6, Sheet
6
35,547.35
38,850.00
18,690.57
20,159.43
Unallocated Expense
Schedule 6, Sheet
6
76,111.50
1,200.00
1,092.15
107.85
Total Disbursements 256,821.19 184,640.00 154,792.60 29,847.40
CITY OF HUTCHINSON SCHEDULE 6
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS Sheet
GENERAL FUND
6 MONTHS ENDED Sept. 30 196_4
9 u
Actual Estimated Curen Year Estimated
Prior Year Current Year To Date Balance
GENERAL GOVERNMENT
Mayor and Council 500.00
Salaries 500.00 500.00
6__ 9 01
Travel - Conferences - Schools
Supplies
Miscellaneous
City Administrator
Municipal Court
Salaries and Fees
School
Supplies
Communications
Elections
Salaries
Supplies
Clerk
Salaries
Communications
Printing & Publishing
Travel - Conferences - Schools
Maintenance & Repair of Equipment.
Office Supplies
Insurance and Bonds
Subscriptions and Memberships
P.E.R.A
Miscellaneous - Clerk
Capital Outlay
Office Equipment
Treasurer - Salary
Supplies
Assessor
Communications
Salary
Supplies
Independent Auditing & Accounting
State Auditors
Legal
Salary
Supplies
Travel
Professional & Consultant Services
Capital Outlay
Planning
Salaries
Professional & Consultant Services
Miscellaneous
AIRPORT
Total Disbursements
22.45
6.95
868.04
4,207.96
19.00
438.61
581.40
171.,, :j
6, 200 .dO
462.95
1,053.19
193.00
2,216.16
13,203.58
5.00
11,565.95
365.64
243.53
90.41
2,800.00
44.03
2,710.00
2,943.60
3,600.00
80.07
114.30
3,600.00
174.00
41.21
1,667.90
75.00 141.20 (6
20.00 20.00
70.00 70.00
4,200.00
25.00
450.00
1,000.00
200.00
6,150.00
500.00
1,500.00
200.00
1,750-00
15,000.00
100.00
12,000.00
300.00
400.00
2,800.00
100.00
3,000.00
3, 600 , o0
100.00
3,000.00
200.00
50.00
1,000.00
2,100.00
19.00
125.29
17.29
962.50
125.05
3,705.05
406.02
1,072.37
2,100.00
6.00__
324.71
(17.29(
37.50
74.95_
2,444.95
93.98
427.63
36.50
163.50
1,014.25
?35.Z5-
7 633.53
7.366.E
10.00
90.00
12,000.00__
451.85
(151.85)
50.00
1.80
11.8
2,800.00
2,490.35
1,800.00
154.70
1,265.40
2,185.00
28.47
56,195.59
348.20
100.00
509.65
11 8�=
(54.70)-
(1,265.40)
815.00
200.00_
(552195.59)
60,191.56 58,290.00 84,803.07 (26,513.07)
• p�4Y M t.. �Y.- r -,i,3
�+��. Ili,;:`�t.rrc, f.�';�.-:i a, 4, ..,�....., �s�. r.
� 4 � :.t a,i•..;
1,592.75
CI i Y CF HUI'i:11T14S0N
73.46
tr ,
S TA�iT,7LENT
OF ESTIMATED .AND ACTUAL
Maintenance & Repairs
- Building
76.84
GENERAL FUND
- Equipment
1,012.51
Small tools
6
,:c^dTHS ENDED Sept.
30 196 4
202.50
86.59
Cleaning
- --
18.00
c ua
- r .__--
905.98
Actual
Estimated
Current Year
Estimated
21;.87
Prior Year
Current Year
To Date
Balanc:;
C'ONS>£ VATTON OF HEALTH
Salaries
215.50
300.OU
9.40
290.60
_
Supplies
121.28
100.00
89.66
10.34
934.70
Miscellaneous - Health
748.58
750.00
390.09
359.91
Total Disbursements
1,085.36
1,150.00
489.15
660.85
PUBLIC•6UILDINGS. FIRE & OTHER PROTECTION
City Hall
Salary - Janitor
2,657.20
2,800.00
12010.00
1,790.00
Utilities
2,265.78
2,500.00
1,014.95
1,485.05
Communications
63.30
75.00
18.62
56.38
Maintenance & Repair -
Equip. 404.02
4.00.00
105.40
294.60
Mainenance & Repair -
Building 555.73
550.00
394.75
155.25
Cleaning Supplies
700.14
600.00
361.89
238.11
Insurance
Capital Outlay - Misc.
18.88
50.00
37.18
12.82
Buildings
Furniture & Equipment
Totals
Fire Protection
8,347.49
1,260:'95 500.00 55.95 44405
16,273.49 7,475.00 2,998.74 4,476.26
Salaries
1,592.75
Communications
73.46
Travel - Conferences -
Schools
257.62
Maintenance & Repairs
- Building
76.84
if "
- Equipment
1,012.51
Small tools
260.90
2.33
Gas, Oil, Grease
202.50
86.59
Cleaning
400.00
18.00
Miscellaneous Supplies
Safety Council
905.98
Miscellaneous - Fire
123.10
Fire Department Relief
21;.87
300.00
Remittance of Revenue
Collected
Animal Control
Capital Outlay
70C .00
589.69
Buildings
Totals
,9'7`� •93
Equipment
1.464.47
2,274.01
Utilities
934.70
2,000.00
75.00
660.00
75.00
1,000.00
20.00
100.00
25.00
].00.00
80.00
665.00
7,000.00
1,200.00
1,279.75
46.03
365.95
19.10
283.05
720.25
28.97
294.05
55.90
716.95
20.00
61.96 38.04
18.50 6.50
22.09 77.91
12.70 67.30
5,478.50
318.49
Totals 7,357.89 13,000.00 8,266.12
665.00
1,521.50
4,733.38
Protective Inspection
Building Inspection Fees
590.00
'700.00
270.00
430.00
Plumbing Inspection Fees
664.82
600.00
238.80
361.20
Electrical Inspection
260.90
250.00
47.50
202.50
Fire Inspections
480.00
400.00
240.00
100.00
Safety Council
125.00
1,2?•fl_''
Civil Defense
21;.87
300.00
78.48
2'1.5'
Animal Control
7'•34
70C .00
589.69
-119.3 '
Totals
,9'7`� •93
3,07.00
1.464.47
1,61Q.5_,
Total "606.31 23, _ _o.0_) i _ .729.33
CITY OF HUTCHI14SON
STATEMENT OF ESTIMATED AND ACTUAI, DISBUP.S",T'tENTS
GETYER�,L FUND
_MONTHS ENDED 196
��✓�11.�L�rY'.L
Sheet 4
Actual
Prior Year
Estimated
Current Year
Current Year
To Date
Estimated
Balance
ORGANIZED RECREATION
Administration
Salaries
1,816.00
1,815.00
909.50
905.50
Communications
10.00
25.00
25.00
Office Supplies
29.68
100.00
30.36
69.64
Misc. - Administration
147.91
75.00
261.53
(186.5'x)
Capital Outlay - Building
148.45
Playgrounds
Salaries
807.50
900.00
986.00
(86.00)
Communications
89.90
61.09
(61.09)
Utilities
214.50.
255.00
129.14
125.86
Maintenance & Repairs
Equipment
31.86
25.00
98.49
(73.4 9)
Buildings & Grounds
112.96
253.75
(253.75)
Office Supplies
32.90
5.25
(5.25)
Supplies
93.24
50.00
93.69
(43.69)
Misc. - Playgrounds
20.00
12.75
7.25
Capital Outlay - Other Improve. 1,158.33
450.00
163.21
286.79
Insurance
50.00
50.00
Skating Rinks
Salaries
734.75
750.00
12.75
737.25
Utilities
279.68
250.00
58.70
191.30
Maintenance and Repairs
Equipment
101.57
25.00
10.00
15.00
Buildings & Grounds
44.10
50.00
50.00
Supplies
43.26
50.00
50.00
Misc. - Skating Rinks
11.95
50.00
50.00
Insurance
41.90
60.00
60.00
Cap. Outlay - Other Improvements 209.61
195.00
15.35
179.65
Swimming
Salaries
1,376.95
800.00
1,000.00
733.50
2116.50
1,050.00
Utilities
Rent
939.57
135.00
950.13
(815.13)
Maintenance & Repairs
Equipment
1.68
100.00
14.00
86.00
Building and Grounds
168.18
100.00
30.35
69.65
Professional Services
680.00
1510.00
(1510.00)
Supplies
68.90
25.00
34.28
(9.28)
Misc. - Swimming
75.00
75.00
Insurance
77.45
200.00
200.00
Cap. Outlay - Other Improvements 328.50
200.00
155.06
44.94
Baseball
Salaries
1,060.00
1,200.00
1050.00
150.00
Utilities
100.22
175.00
3.87
171.13
Maintenance & Repairs
380.22
35.00
458.08
(423.08)
Supplies
265.87
310.00
481.45
(171.45)
Misc. - Baseball
105.00
25.00
25.00
Capital Outlay
50.00
50.00
Other Recreational Activities
Current Expenses
1,100.51
536.92
(536.92)
Capital Outlay
75.98
1,275.00
641.88
633.12
Total Disbursements
12,889.08
11,950.00
9701.08
2248.92
Buildings & Structures
Machinery & Equipment
Other Improvements
Utilities
Insurance
Totals
Fire Department Relief
125.00
200.00
125.00 75.00
1,000.00
CITY OF HUTCHINSON
8.00
50.00
SCHEDULE
STATEMENT OF ESTIMATED AND
ACTUAL. DISBURSEMENTS
Sheet 5
_
MONTHS
GENERAL/'-UND
ENDED - -3o 1964/
5,220.18 72).:-
Actual
Actual
Estimated
Current Year
E timated
Prior Year
Current Year
To Date
Balance
PARKS AND CEMETERY
Parks
Salaries
13,262.60
16,000.00
9.639.00
6,361.00
Maintenance & Repairs
Equipment
1,4.79.73
1,000.00
400.4.8
599.52
Buildings and Grounds
588.90
500.00
333.10
166.90
Gas, Oil, Grease
743.10
900.00
465.48
434.52
Communications
21.18
Park Supplies
131.12
300,00
133.40
166.60
Misc. - Parks
195.61
200.00
41.65
158.35
Utilities
163.35
65.39
234.61
Insurance's
17.81
300.00
Capital Outlay
Land - Trees
7,633,08
Buildings, Structures
6,829.59
10,000.00
8,843.12
1,156.88
Machinery & Equipment
988.16
1,500.00
1,500.00
Other Improvements
554.64
5,000.00
2,145.45
2,854.55
School
20.50
Interest
425.00
Totals
33,054.37
35,700.00
22,067.07
13,632.93
Cemetery
Salaries
7,035.00
8,000.00
4,804.40
3,195.60
Maintenance & Repairs
Equipment
252.69
300.00
97.13
202.87
Buildings & Structures
1.50
1.60
(1.60)
Other Improvements
17.62
50.00
(50.00)
Small Tools
5.90
50.00
50.00
Cemetery Supplies
34.21
75.00
73.15
1.85
Miscellaneous - Cemetery
176.60
50.00
50•"
Gas, Oil., Grease
140.60'
150.00
64.90
Capital Outlay
Land
Buildings & Structures
Machinery & Equipment
Other Improvements
Utilities
Insurance
Totals
Fire Department Relief
125.00
200.00
125.00 75.00
1,000.00
1,000.00
8.00
50.00
4.00 46.
36.51
75.00
75. --
7,833.63
9,950.00
5,220.18 72).:-
3,502-03 4,000.00
4,000.00
Total Disbursements 44,390.03 49,650.00 27,287.25 22,362.'%,
CITY OF HUTCHINSON SCHEDULE 6
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS Sheet 6
-r.- • T T1i TT I
_MONTHS ENDED x_196,
Total Disbursements
UNALLOCATED EXPENSE
Current Expenses
(Permits Paid Out)
Capital Outlay
Land
Transfer to Other Funds
Totals
35,547.35 38,850.00 18,690.57 20,159.43
1,111.50 1,200.00 1,067.15 132.f?3
25.00 (25.00)
75,000.00
1,200.00 1,092.15 1C;.
Total Disbursements T6, 1.11. _5 184,640.00 154',792'60 29,847_R^
Actual
Actual
Estimated
Current Year
Estimate•_1
Prior Year
Current Year
To Date
BalancE>
POLICE PROTECTION
Salaries - Regular
28,860.00
29,000.00
14,030.00
14,970.00
Salaries - Temporary
111.30
1,200.00
978.05
221.95
Communications
336.05
350.00
160.94
189.06
Travel -Conferences - Schools
102.70
150.00
18.25
131.75
Maintenance and Repairs
Equipment
2,286.22
1,000.00
928.20
71.80
Board of Prisoners
339.15
750.00
4.4.10
705.90
Office Supplies
200.19
500.00
13.24
486. 6
Gas, Oil, Grease
2,451.01
2,200.00
1,243.60
956.40
Police Supplies
442.17
500.00
219.39
280.61
Insurance and Bonds
Subscriptions and Memberships
15.00
(15.00
Utilities
50.18
50.00
50.00
Miscellaneous - Police
163.24
150.00
34.80
115.20
Capital Outlay
Equipment
205.14
3,000.00
990.00
2,010.0()
Printing and Publishing
15.00
(15.00)
Total Disbursements
UNALLOCATED EXPENSE
Current Expenses
(Permits Paid Out)
Capital Outlay
Land
Transfer to Other Funds
Totals
35,547.35 38,850.00 18,690.57 20,159.43
1,111.50 1,200.00 1,067.15 132.f?3
25.00 (25.00)
75,000.00
1,200.00 1,092.15 1C;.
Total Disbursements T6, 1.11. _5 184,640.00 154',792'60 29,847_R^
LIc�RARY FUi`:D
Salaries
Professional Fees
Communications
Utilities
Travel - Conferences - Schools
Maintenance and Repairs
Equipment
Buildings
Bookbinding
Office Supplies
Cleaning Supplies
Books and Periodicals
Insurance
Miscellaneous - Library
Capital Outlay
Furniture & Equipment
Actual
Actual EGtimated Current Year Estimate
Prior Year Current Yi.ar To Date balance
9,264.58
CITY OF
HUTCHINSON
SC}.: Di71
STATEMEN OF ESTIMATED
MONTHS ENDED
AND ACTUAL, DISBURSE Nis
196
LIc�RARY FUi`:D
Salaries
Professional Fees
Communications
Utilities
Travel - Conferences - Schools
Maintenance and Repairs
Equipment
Buildings
Bookbinding
Office Supplies
Cleaning Supplies
Books and Periodicals
Insurance
Miscellaneous - Library
Capital Outlay
Furniture & Equipment
Actual
Actual EGtimated Current Year Estimate
Prior Year Current Yi.ar To Date balance
9,264.58
10,00o.Co
5,'k79.05
4i520.95 _.
98.87
100.00
48.83
1,280.69
1,200.00
390.37
809.63
10.25
100.00
100.0(`
22.20
100.00
100.00 v
26.70
600.00
600.00
163.55
400.00
21.45
378.55
585.65
500.00
319.98
180.02
79.29
50.00
29.30
20.70
3,708.38
3,000.00
2,124.16
875.84
84.37
50.00
4.45
45.55
1,268-31
500.00
64.4.0
435.60
Total Disbursements 16,592.84 16,600.00 8,523.09 8,076.91
CITY OF HUTCHINSON =
STA7-TM,FNT OF FSTIMATF,D AND ACTUAL DISBURSEMENTS Sheet 1
?LOAD :_-D BR GE FUND
_MONTHS ENDEDo 196
Actual Estimated Current Year Estimated
Prior Year Current Year To Date Balance
Engineering
Salaries
Rofessional & Consultant Fees
Communications
Printing & Publishing
Insurance
Travel - Conferences - Schools
Maintenance and Repairs
Engineering Supplies
Oil, Grease
Miscellaneous - Engineering
Capital Outlay
Streets and Alleys
Salaries
Professional & Consultant Fees
Communications
Travel - Conferences - Schools
Maintenance & Repairs
Equipment
Buildings and Structures
Streets and Alleys
Other Contractual Services
Maintenance Supplies
Small Tools
Gas, Oil and Grease
Insurance and Bonds
Subscriptions and Memberships
Miscellaneous - Streets
Utilities
Rent
Capital Outlay
Equipment
Improvements Streets &
Alleys
Curb, Gutter & Sidewalk
Buildings
Land
Snow & Ice Removal
Traffic Signs and Signals
Street Lighting
Totals - carried forward
t
9,989.30
10,275.00
5,385.18
4,889.82
1,182.00
500.00
100.00
500.00
61.95
114.02
100.00
46.59
53.41
50.00
153.55
(103.55)
_2,551.54
56.34
434.31
-
13.30
200.00
61.87
138.13
14.806.62
303.81
175.00
76.86
98.14
768.95
500.00
162.85
337.15
191.90
400.00
68.82
331.18
136.52
50.00
9.48
40.52
2,761.07
490.60
2,000.00
2,182.59
(182.59)
22,321.05
21,000.00
11,081.22
9,918.78
97.33
100.00
38.05
61.95
25.12
50.00
50.00
6,743.75
8,000.00
_2,551.54
5,448.46
434.31
500.00
500.00
20,968.70
17,500.00
14.806.62
2,693.38
25.00
25.00
22.75
100.00
100.00
46.11
50.00
50.00
3,227.61
4,000.00
1,238.93
2,761.07
1,107.24
1,200.00
1,200.00
25.00
25.00
110.38
150.00
81.55
68.45
795.55
800.00
186.4o
613.60
450.00
15,000.01
350.00
14,650.00
145,782.20
12,027.29
89.5.00
110,400.00
110,400.00
765.80 700.00 4.80 695.20
1,717.53 1,441.16 (1,441.16)
15,566.29 14,000.00 5,446.70 81553.30
246,350.75 207,850.00 45,374.76 162,475.24
CITY OF HUTCHINSON SCHEDULE 9
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS Sheet 2
ROAD AND BR DGE FUND
_MONTHS ENDED196
Totals - brought forward
Parking Meters
Maintenance and Repairs
Capital Outlay
Storm Sewers
Salaries and Wages
Maintenance and Repairs
Capital Outlay
Refuse Collection and Disposal
Salaries
Maintenance & Repairs -
Equippment
Capital N' -la' - (all)
Miscellaneous - Refuse
Collection
Land
Street Sanitation
Weed Eradication
Unallocated Expense - Co. Ditch
Total Disbursements
Actual Estimated CurrentV+ear Estimated
Prior Year Current Year To Date Balance
246,350.75 207,850.00 45,374.76 162,475.24
120.38 300.00 202.69 97.31
812.00 3,500.00 3,500.00
1,300.00 472.85 827.15
1,960.29 800.00 800.00
2,725.62 200,000.00 1,391.20 198,608.80
2,304.60 5,000-00 11,287.90 3,712.10
900.00 900.00
• 573.00)
433.95 151.65 (151.65)
400.00 400.00
208.05 200.00 19.00 181.00
722.13
255,637.77 420,250.00 49,473.05 370,776.95
9
CITY OF HUTCHINSON
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
WATER Alp SEWER FUND
MONTHS ENDED L196
SCHEDULE 10
Sheet 1
xc Dual
Actual Estimated Current Year Estimated
Prior Year Current Year To Date Balance
Water
Wells and Tanks
Maintenance and Repairs
Equipment 2,000.00
Wells 1,258.90
W*
Capital Outlay
Buildings and Plant
Power and Pumping
Electricity 10,932.61
Maintenance & repairs
Lubricants
Capital Outlay
4,880.00
Purification
2,451.75
Maintenance and Repairs
23.55
Supplies+
3,892.43
Distribution'
2.09
Salaries
6,171.55
Maintenance and Repairs
82.78
Equipment
749.58
Mains
1,204.84
Buildings
610.00
Small Tools
13.37
Communications
40.22
Gas, Oil, Grease
515.37
Capital Outlay
Miscellaneous - Water
Equipment
135.00
Mains
Capital Outlay
Miscellaneous
157.00
Administrative & General
Debt Redcmptlori
Salaries and Wages
4,880.00
Engineering
2,451.75
Other Professional Fees
876.46
Communications
185.54
Printing and Publishing
2.09
Utilities
789.10
Office Supplies
82.78
Travel - Conferences - Schools 25.28
Maintenance and Repairs
60.23
Gas, oil, Grease
(1,029.54)
Cleaning
(62.83)
37.20
(37.20)
Insurance and Bonds
73.01
Interest
3,080.09
Miscellaneous - Water
569.48
Refund of Meter Deposits
476.76
Capital Outlay
Billing Adjustments
81.24
Debt Redcmptlori
3�,�3'--•�'0
Purchase of Materials for
1,730.48
Resale
-
�ot._ - Carrie or.awrd
Owl
'ji,y4z.}y
a
2,000.00
12,000.00
1,000.00
4,000.00
9,000.00
2,000.00
4,000.00
50.00
600.00
2,000.00
110.35 (110.35)
2,000.00
6.841.11 5,158.89
8.49 (8.49)
73.76 926.24
2,324.58 1,675.42
4,177.70 4,822.30
477.56 1,522.44
4,000.00
13.90 36.10
18.30 (18.30)
101.70 498.30
200.00 592.50 (392.50)
40,000.00 6.56 39,993.44
200.00 313.90 (113.90)
4,500.00
5,000.00
500.00
150.00
200.00
1,000.00
125.00
100.00
4,000.00
600.00
500.00
200.00
2),000.00
2,000.00
3,032.65
1,467.35
+, 2,089.76
2,910.24
42.25
457.75
73.20
76.80
2.09
197.91
327.87
672.13
10.43
(10.43)
44.77
60.23
1,029.54
(1,029.54)
62.83
(62.83)
37.20
(37.20)
100.00
785.00 3,215.00
197.32 402.68
457.31 42.69
35.37 (35.37)
19.74 180.26
30,472.34 (1,472.34)
2,000.00
124,92',.00 53,780.06 71,144.92
I 110*14WOM , 1.
CITY OF HUTCHINSON SCHEDUIE 10
STATEMENT OF ESTIMA`T'ED AND ACTUAL DISBURSEMENTS Sheet 2
WATER AND SEWER FUND
MONTHS ENDED 196
Acnar-
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
Totals - Brought forward
71,942.39
124,925.00
53,780.08
71,141+.92
Sewer
Collection System
Salaries
Maintenance and Repairs
-
Equipment
138.45
200.00
200.00
Mains
203.77
400.00
400.00
Buildings
1,091.02
Capital Outlay
Equipment
483.00
Mains
3,105.90
7,700.00
47,931.46
(40,231.46)
Buildings
18,952.50
Disposal Plant
Salaries
4,508.60
5,000.00._
-_-
Engineering
1,200.00
33.60
Power and Light
1,694.02
2,000.00
885.29
Travel - Conferences - Schools 62.15
!75.00
61.85
Maintenance and Repairs
Equipment
373.56
2,000.00
839.77
1,139.0'
Buildings
43.68
10'59
Communications
78.00
75.00
41'42
33.5
Insurance
Interest
Miscellaneous - Plant
608.45
125.00
771.04
(646.04)
Gas, Oil, Grease
140.35
175.00
40.62
134.38
t
Capital Outlay
Equipment
49.58
(4c)•5�'-
Buildings
40'47
(40 =rl
Sewer Billing Adjustments
80.50
100.00
16.29
Debt Redemption
-
Totals
31,563.95
19,050.00
106,887.06
Total Disbursements
1.03,506.34
143,975.00
106.887.06
;',',.__,
41f,. 4% - , r�i+t
CITY OF HUTCHINSON SCHEDULE 11
STATEMENT OF ESTIMATED AND ACTUAL RECEIPTS
SINKING FUND NO. 1
6 :MONTHS ENDED Sept. 30 1964
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
Sinking Fund No. 1 - 1960
Special Assessments - Collected
by City 919.00 12574.19
Special Assessments - Collected
by County 4,766-,11
Interest
Total Receipts 5,685.11 1,574.19
CITY OF HUTCHINSON
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
SINKING FUND NO. 1
6 MONTHS ENDED Sept. 30 196 4
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
Sinking Fund No. 1 - 1960
Bonds Payable
Interest - Deb', Service
Construction Costs
Miscellaneous
Total Disbursements
5,000.00
840.25
12.00
5,852.25
Total Receipts
3,369.26
2,371.33
CITY OF HUTCHINSON
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
SINKING FUND NO. 2
MON'T'HS ENDED 196
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
Sinking Fund No. 2 - 1960
Bonds Payable 5,000,00 5,000.00
Interest - Debt Service 1,999.75 971.00
Construction Costs
Miscellaneous 12.00
Total Disbursements 7,011.75 5,971.00
CITY OF F,L'TCHINSON
STATEMENT OF ESTIMATED AND ACTUAL RECEIPTS
SINKING FUND NO. 2
6 MONTHS ENDED Sept. 30 1964
SCHEDULE 12
Actual Estimated
Curren +ear Estimated
Prior Year Current Year
to Date Balance
Sinking Fund No. 2
- 1960
Special Assessments
- Collected
by City
2,991,85
2,371,33
Special Assessments
- Collected
by County
197.58
Interest
179.83
Treasury Bills Due
Total Receipts
3,369.26
2,371.33
CITY OF HUTCHINSON
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
SINKING FUND NO. 2
MON'T'HS ENDED 196
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
Sinking Fund No. 2 - 1960
Bonds Payable 5,000,00 5,000.00
Interest - Debt Service 1,999.75 971.00
Construction Costs
Miscellaneous 12.00
Total Disbursements 7,011.75 5,971.00
CTTY OF HUTCHINSON SCHEDULE 13
STATEMENT OF
1962 CURB, GUTTER AND SIDEWALK IMPROVEMENT
6 MONTHS ENDED Sept. 30 196 4
Actual
Actual Estimated Current Year Estimated
Prior Year Current Year to Date Balance
1962 Curb, Gutter and
Sidewalk Improvement
Special Assessments - Collected
by City
Special Assessments - Collected
by County
Interest
Borrowing
Total Receipts
3,799.72
273.13
2,003.03
4,072.85 2,003.03
CITY OF HUTCHINSON
` STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
1962 CURB, GUTTER AND SIDEWALK IMPROVEMENT
6 «ONTHS ENDED Sept. 30196[_
1962 Curb, Gutter and
Sidewalk Improvement
Bonds Payable
Interest - Debt Service
Construction Costs
Miscellaneous
Actual Estimated
Prior Year Current Year
5,000.00
1,647.15
10.00
Total Disbursements 6,65-'•15
Actual
Current Year Estimated
to Date Balance