cp02-28-1966 cITEMS TO BE CONSIDERED
REGULAR COUNCIL PROCEEDINGS
February 28, 1966
V/1. CALL TO ORDER - 7:30 P.M.
INVOCATION - REV. ANDERSON
V3. APPROVE MINUTES
Regular Meeting,,,- February 14, 1966
APPROVE BILLS
GEORGE KEENAN - 9:00 P.M.
PARK BOARD VACANCY
j.7- BIDS TABLED FO1t-STREET SWEEPER - Publication No. 961
8. ENGINEER
Planning Commission Minutes (attached)
a. Annexation
�. Preliminary Plat approval
Parks and Playgrounds
Utilities - Escrow deposit or bond
Petitions
Building Permits
PLANS &_SPECIFICATIONS FOR PICKUP FOR WATER DEPT.
10: BOND COST
11. NEW SEWAGE TREATMENT PLANT -
12. AIRPORT MINUTES - attached
13. ADJOURNMENT
tee.,
REGULAR COUNCIL PROCEEDINGS
February 14, 1966
A Regular Council meeting was called to order by Mayor Fitzloff in the Council
Chambers at the hour of 7:30 P.M.
Members present: Aldermen Linder, most, Hanson, Johnson, Attorney Schantzen,
Engineer Wilson, Treasurer Smith
Members absent: None
Motion was made, seconded and carried to approve the minutes of the following
meetings:
x Regular Meeting - January 24, 1966
Special Meeting - January 26, 1966
Special Meeting - January 31, 1966
Motion was made, seconded and carried that the following bills be granted and paid
out of the proper funds as follows:
GENERAL FUND
Hutchinson utilities
Hutchinson Telephone Co.
Misc. Cash Drawer #2
Harry Otto
Roger Telecky
West Publishing Co.
Wallner Printing Co.
Hutchinson Sheet Metal Works
Zila Hardware
American Linen Supply Co.
Blue Shield of Minnesota
Esther's
Burroughs Corporation
National Cash Register Co.
Hutchinson Leader
3M Business Products
Key Laboratories Inc.
Eli K. Jensen
Badger Shirt Co.
Charlie's One Stop Service
Hoel's DS Station
Hutchinson Wholesale Supply Co.
Theophil Grunewaldt
Ralph Young
Roger Telecky
Roy Banton
Soil Exploration Company
Drake Construction Co.
ROAD & BRIDGE
George Richards
George Richards
Roger Telecky
Roger Telecky
Gerald Fisher
Gerald Fisher
Roy Benton
Carl Baumetz
Carl Baumetz
Earl Waisanen
Misc. Cash Drawer #2
Hutchinson Telephone Co.
Hutchinson Utilities
Alb ins on
Hutchinson Tire Co.
E. G. Haskin Co.
Plowman's
Frank Motor Co.
Hutchinson Wholesale Supply Co.
Power, lights, gas
470.65
Service & calls
102.26
Reimbursement
11.91
Expense
3.00
Expense
13.50
Supplies
12.00
Printing
58.70
Maintenance
42.60
Supplies
5.75
Towel service
12.50
Monthly premium
679.86
Supplies
5.46
Supplies
5.20
Maintenance agreement
109.00
Publishing
55.70
Supplies
99.73
Lab test - Police
10.45
Labor -patrolman
94.40
Police uniforms
24.65
Gas & Maintenance
88.79
Gas, supplies, car towing
90.98
Maintenance
6.06
Dog hours_
35.10
-Electric inspections
25.00
Labor - dam
8.75
Labor - dam
3.30
Soil investigation - dam
365.75
Estimate No. 2
14,000.00
$ 16,441.05
Labor
161.00
Labor
79.63
Labor
147.00
Labor
104.13
Laobr
143.55
Labor
88.28
Labor
163.35
Labor
210.00
Labor
105.00
Labor
82.50
Reimbrusement
1.04
Calls, service
24.44
Light, power, gas
1239.63
Supplies - engineers
10.07
Maintenance- engineers
1.50
Maintenance - traffic counters
35.58
Maintenance - engineers
47.70
Maintenance - engineers
11.57
Maintenance & supplies
97.91
ROAD & BRIDGE (continued)
Hoel's DS Station
Gas, maintenance
51.36
Peterson Truck Service
Maintenance
184.31
Texas Refinery Corp.
Grease
67.20
Peterson Pure Oil
Gas
273.63
Bill's Auto Body Shop
Maintenance
25.00
Albrecht Oil Co.
Gas
25.64
Anderson Chemical Company
Calcium chloride
279.00
Brunberg & Oleson Oil Co.
Kerosene, diesel fuel
129.84
Zila Hdwe.
Supplies, maintenance
10.26
Municipal Electric Plant
Installation new lights
146.04
Millerbernd Manufacturing Co.
Light standards
383.00
Rockwell Manufacturing Co.
Maintenance - parking meters
13.45
Rockwell Manufacturing Co.
New parking meters
3000.00
$ 7342.61
WATER & SEWER
Hutchinson Telephone Co.
Service, calls
24.35
Hutchinson Utilities
Power, light, gas
1547.61
Lyon Chemicals, Inc.
Purification supplies
212.28
C. H. Stocking
Maintenance, supplies
18.85
Zila Hdwe.
Supplies
18.46
Hersey-Sparling Meter Company
Supplies
22.66
Albrecht,0il Co.
Gas
32.65
Downtown Standard
Oil, maintenance
13.55
Neptune Meter Company
Maintenance
8.96
Peterson Truck Service
Maintenance
18.50
Skelly Oil Company
Fuel oil
31.80
Home Gas Co.
Fuel (gas)
42.10
Twin City Testing & Eng. Lab.
Monthly test
90.00
$ 2081.77
LIQUOR STORE
H. H. Lack
Freight
96.77
National Cash Register Co.
_Maintenance agreement
73.72
Leef Bros., Inc.
Towel service
3.60
John P. Busch
Labor
13.50
Locher Bros.
Beer
718.85
Premium Distributing Co.
Beer
551.50
Olivia Bottling Co.
Beer
250.40
Marsh Distributing
Beer
499.80
Pedley's Distributing Co.
Beer
255.25
Cold Spring Brewing Co.
Beer
92.15
Distillers Distributing Co.
Liquor
898.91
Distillers Distributing Co.
Liquor
1135.60
Famous Brands, Inc.
Liquor
406.33
Famous Brands, Inc.
Liquor
528.77
McKesson & Robbins
Liquor
711.90
Old Peoria Company Inc.
Liquor
298.04
Old Peoria Company Inc.
Liquor
63.19
Ed. Phillips & Sons
Liquor
774.67
Ed. Phillips & Sons
Liquor
655.97
Ed. Phillips & Sons Co.
Liquor
383.70
Griggs, Cooper & Co., Inc.
Liquor & wine
995.31
Griggs, Cooper & Co., Inc.
Liquor & wine
1698.66
Griggs, Cooper & Co., Inc.
Liquor & wine
1096.89
Lynn Johnson Company, Inc.
Liquor
173.22
Mid -West Wine Company, Inc.
Wine
121.10
-3 -
Police Chief Broderius was present to discuss the need for a new police car.
Alderman Kost made a motion to advertise for bids on February 28) 1966 at 8:00 P.M. for
a new vehicle for the police department.
Alderman Hanson seconded the motion of Alderman Kost and upon vote being taken, carried.
Two property owners were present to discuss the problem of sewers backing up in
the basements of twelve homes in their area (Southview and Milwaukee Ave).
Engineer Wilson gave a report on this problem. He explained that surface water
apparently has been overloading the sanitary sewer system in that area. He felt
this should be checked, and also recommended a storm sewer for the entire SW area.
Mayor Fitzloff called for bids for Street Sweeper Publication No. 961.
There were three bids.
BIDDER CERT. CK. AMOUNT BID
Road Machinery & Supplies Co. $720.00 $11,125.00
4901 West 78th St.
Minneapolis, Minn.
Hall Equipment Inc. 5 % Bid Bond $ 7,298.00
2360 Highway #100 South
Minneapolis, Minn.
MacQueen Equipment,Inc. $460.00 $ 9,025.00
1563 Como Ave
St. Paul, Minnesota
Alderman Linder made a motion to table these bids for further study.
Alderman Kost seconded the motion of Alderman Linder, and upon vote being taken,
carried.
The following petition was presented signed by Elmer Dale and Wilma Jean Merickel,
requesting annexation of the following tract of land:
(attached)
Engineer Wilson presented a report by the Secretary of the Planning Commission,
signed by Dr. A. J. Thompson for the preliminary plat„
Alderman Kost made a motion to refer this petition to the Planning Commission and
set a hearing on February 21, 1966 for the preliminary plat.
Alderman Hanson seconded the motion of Alderman Kost, and upon vote being taken, carried.
Motion was made, seconded and carried that the following building permit be granted:
Hutchinson Futures,Inc. % R. H. Stearns
Addition to Red Owl Building - Lot 8,Blk 28, S'k of City
City Attorney Schantzen reported on the offer of Elmer Merickel to purchase Lots
0 & §;gpBlock 48, S'k of city, at $2400.00 each. Mr. Schantzen had been instructed
at the last council meeting to contact Mr. Merickel to see if he would be interested
in four lots at this price. Mr Merickel is only interested in the purchase of the
two lots at the present time.
Discussion of purchase price . No action taken.
Discussion on the need for a new pickup for the water and sewer department.
Alderman Johnson made a motion to have plans and specifications prepared for a
pickup for the water and sewer department by Engineer Wilson.
Alderman Hanson seconded the motion of Alderman Johnson, and upon vote being taken,
carried.
Discussion of proceeding with the aerial contour map survey of the City of Hutchinson.
Alderman Johnson made a motion to drop the aerial survey this year.
Alderman Hanson seconded the motion of Alderman Johnson, and upon vote being taken,
carried.
P E T I T I O N
): THE CITY COUNCIL OF THE CITY OF HLITCHINSON, MINNESOTA
WE, the undersigned, Elmer Dale Merickel and Wilma
Jean Merickel, being the owners of the hereinafter described
real property, do hereby respectfully petition the Council of
and for the City of Hutchinson:
To annex and incorporate within the boundaries and City
limits of the City of Hutchinson, that certain real property located
in the County of McLeod, State of Minnesota, described as follows:
Beginning at a point 5 75/100, chains South of
the Northwest corner of the Southeast Quarter of
Section 1, Township 116, Range 30, and running
thence South 8 5/10 chains; thence East 5 32/1000
chains to center of public road; thence Northeasterly
along center of public road to a point 5 75/100
chains South of the North line of said Southeast
Quarter, Section 1; Township 116, Range 30; thence
West 8 366/1000 to place of beginning; and
That part of Lot 94 of Lynn Addition to Hutchinson,
Minnesota according to the Plat thereof of
record and on file in the Office of the Register
of Deeds, McLeod County, Minnesota, described as
follows, to -wit: beginning at the Northwest
corner of said Lot 94; thence South, along the
West line of said Lot 94, a distance of 9.0 feet;
thence deflect 86043' left to the Northwesterly
right-of-way line of Dale Street; thence North-
easterly, along said right-of-way line, a distance
of 32.76 feet to the North line of said' Lot 94,-
thence
4;thence West, along said North line, to the point
of beginning.
Dated this 14th day of February, 1966.
Elmer Dale Merickel
Wilma Jean Wrickel
-4 -
Discussion on a complaint regarding smoke and paper blowing at the dump.
Discussion on the development of Hutch Growth Inc. Industrial Park site, and how
much work should be done providing improvements to this site.
Alderman Kost made a motion to have Engineer Wilson draw plans and specifications
for a new bridge on 2nd Ave SE.
Alderman Linder seconded the motion of Alderman Kost, and upon vote being taken,
carried.
Motion was made, seconded and carried to transfer $6,000.00 from the Liquor Fund
to the General Fund.
Discussion on rent due for office space for Chamber of Commerce.
Alderman Hanson made a motion to have City Attorney Schantzen write the Chamber of
Commerce regarding a note for rent due for the past three years, and rent due for
January and February, 1966.
Alderman Johnson seconded the motion of Alderman Hanson, and upon vote being taken,
carried.
Alderman Johnson made a motion to allow $14,000.00 to Drake Construction Co. for
work done during the period from January 1 to February 6, 1966 on the Crow River
Dam Project 15-A.
Alderman Kost seconded the motion of Alderman Johnson, and upon vote being take,
carried.
Motion was made, seconded and carried to adjourn at 10:40 P.M.
ENGINEERING REPORT
W1
PRELIMINARY PLAT
of
ELMER MERICKEL
February 2l , .1966
I. INTRODUCTION
A preliminary p -Lit has
been submitted
for consideration by the
Plann=ing
Commission. Thi:; plat
covers
lots 1)5,
�)6 itnd a
small port=ion
of 94 of
Lvnn Addition. Cc:ms i_dera
ti i m
ha.� be (c n
given by
the Subdivider
to the
property to the Borth
also.
Tlii.s r,epm,t-
covers
the engineer's
findings
with regard to laymit,
street
graalint�,
s,mi .ary
sewer and waterma:in.
II. LAYOUT
The streets align sit ti -J act or i_ Ly w L Lh other :,treets in the vicinity.
The plat proposes the extension of Mi_lwaul.ec, Avenue and future connec-
tions with Lake and Goebel Stt c_,L�,. Re-cst,.ibl-ishment of Miller Avenue
west of' Goebel is proposed. A, was miLicip.ited a few years ago, Lake
Street will not be a major artc .'iii -l. ni_irth-smith arterial- street by-pass-
ing the business area. Narv(A,.'i_ng 01' the Land due to the southwesterly
direction of Dale Street pre vent tliis.
It is suggested tliat tLic iiitc,is<!et:ion r_>P Giii,ix-i Street and Miller Axenue
be altered to priiv-i.dc a heI r fiic.
Ordinance No. 235 prohii)Lt:s li,i I 1 -r,tr c,tr;. i L 1 some exceptions. A deter-
mination as to whether or nut Ili(, hil I �%idt.h of Lake Street should now be
acquired should lie made by l.lii� f I-ann Ltig Ci,:;;:., i ss_i-on.
Attached .is one poss�i.blc- strc-t p; i l tern lo, rhe urea boi_incled by the High
School, Roberts Road, Dale SI regi and Li_rtdeii Avenue extended. There has
been no considerst i_on of e1_,11t(Iur tj)tio,_;rapliv l or this sketch.
Lot lines . should be cstab_l i Ai(, l J_ i c"u Lar to stree t, to avo i_c! problems
with s..idevard setback~.
III. STREET GRADING
The streets should be graded to t11c1ir bull width to tic. crc,ss-section shown
on the attachment.
The absence of storm sewer rcgo i rc,s that Clic plat bf, graded to drain to
Dale Street. This will regiii-rc tliat clitcires and culverts be installed in
Milwaukee Avenue. The ditcli shnii_Ld be maintained on Dale Street.
IV. SANITARY" SEWER.
SiiiiiLar-y sewer �voii I cl eonnect t ci t 11e existA- ng maiiIule ii t Dal e Strec� t and
Milwaukee Avenue.
Engineering Report on Preliminary P_Lat of Elmer Mericl.el (eontinued)
IV. SANITARY SEWER (continued)
The cost of installing the sanitary sewer to serve these lots is
estimated to be $8800.
V. WATERMAIN
Watermains for this plat would also connect to the city system at the
intersection of Milwaukee Avenue and Dale Street. All lines within the
plat would be 6 -inch Lines to provide adequate fire protection. The
watermain on Dale Street should be 1.2 -inch diameter to provide future
connection to the 12 -inch main at the intersection of Roberts Road and
Dale Street. The cost of ovevsLzin- this main would be borne by the
Water Department.
Estimate cost to the Subdivider for watermains would be $9700.
A
HUTC9LN3CN kATVORT OUNIM13':ION M TTI:;! February 15, 1966
The Huteninson Municipal kirport Coxmiq=ion meeting wag called to
order Pt 6:30 F.". on February 15, 1 56 by the Ohairman.
The following-lombe.rs 1•-ie:e present: Tom lavage, Ken Butler, Cerl
,ioshring, Don McKim and Roger Kranz.
The minutes of the Ja nuK ry monthly meeting were read and afproved
s+s raid.
The bills Si-c,asse� acld-pprovel for 1 •na::t sr* is follows.
Ken -7 -Ir Farms 22.50
huts'^.inocn Telep% one Co. 7.05
Jila i:•rdware 7.44
"iec. - "ase ire wer 62
�,cLsod Joop Fower Assn. 20.23
City of Hutchirn9or. (Fe,rk °oars) 52.45
L. "". J. Co. : 3w-r.co 'teal Froluct- 2,400.00
The motion w:+s moll to consult the Jity ',ttorne", for in opinion before
the ba lunee of money iva Swenco is paid. The motion was se.^onde i and
passed by unanimous vcte.
New open hangar construction w4;j diacusae4, ag t'_-iere is - need for
ten additio.ul han7,9r spacee at this time. It ;wAs agreed that t'.iis
should be done as Boon ss posribie. Ken Sutler is t^ check furthwr
on t% is And report st tea next meeting.
Ken Butler - Lacuss*i whet took place at the Aviation Trs+ to 4asociation
meeting that he !att•nled on behalf of tt,s Ccmmis Sion.
The hingar ren+til policy was iiac_issed. T:,e motion was made, w9conded
and pasae3 to send a repietere'. letter to :J,1rleton i ahn reeuesting
payment of ; engar back rent - either to pa,; up or lose ha. :.gar space
�.t once.
HePtirg coats aere ?i;3cassed. T- e operator agrees to say $10 monthly
through the treating season, Nova*mber lit to April ?at.
T' --e me -tin` was vijourne�i at 8 F.",
respectively submitted,
D.B. McKimm, Sec.
HUTCHINSON PLANNING COMMISSION
February 21, 1966
The regular meeting of the Hutchinson Planning Commission was called to
order by -Chairman Charles Carlson at 7:30 P.M. Monday, February 21, 1966,
in the Council Chambers at City Hall. Present were Charles Carlson, Floyd
Hoel, Dr. Curt Schafer, Clinton Tracy, Dr. A. J. Thompson, Lloyd Torgrimson
and Engineer Charles Wilson. Absent was Harry Hanson.
Minutes of the regular meeting of January 17, 1966, were read and approved.
PRELIMINARY PLAT - Elmer Merickel - Lots 95, 96 and portion of 94, Lynn Add.
(Former Slyter property west of Dale Street.) Present also were Ed Duester-
hoeft, Chairman, and Stanley Barto, Clerk, Lynn Township Board, and Roy
Hansen, engineer for Mr. Merickel. Mr. Duesterhoeft and Mr. Barto were
primarily concerned with the description of the property proposed for annexa-
tion. They had no objections to the proposed plat or annexation proceedings.
HEARING ON PUBLICATION NO. 962. Chairman Carlson opened the hearing at 8:00
P.M. Roy Hansen went over the proposed plat with the Commission. Hearing
closed at 8:15 P.M.
Motion was made by Lloyd Torgrim son, seconded by Floyd Hoel, that the Planning
Commission recommends to the City Council the advisability of platting the
parcels of land as described in Publication No. 962, with the stipulation
that easements for utilities be worked out between the owner and the Utilities
Commission. Motion carried.
Motion was made by Clinton Tracy, seconded by Dr. Schafer, that the Planning
Commission recommends to the City Council that it proceed with annexation of
the land as described in Publication No. 962. Motion carried.
The Planning Commission recommends to the City Council that a cash donation
be made by the Subdivider in lieu of land dedicated for City parks and play-
grounds inasmuch as the parcel of land to be annexed is close to designated
playground areas. Mr. Merickel is to be requested to attend the March Planning
Commission meeting to discuss this further, as stated in Section 10, Paragraph
C, Ordinance No. 235, dated May 3, 1961.
CARL E. PETERSON. Mr. Peterson is interested in purchasing that portion of
Lot 18 which lies south of Highway 15 (across Hwy. 15 from Lloyd Torgrimson)
for a Pure Oil station and underground bulk storage plant. He discussed with
the Commission such items as zoning, water and sewer services, and suitability
of the location for his purposes. The Commission referred Mr. Peterson to the
State Highway Department for their regulations and suggestions.
ROSS HEILMAN. Mr. Heilman plans to bid on the Congregational Church Education
Building and is considering moving it to his lot on Grove Street - just south
of 306 Grove. He would require a variance in lot size requirements and floor -
area ratio, and wished the opinion of the Planning Commission before entering
a bid on the property. An informal poll of the members indicated they would
Hutchinson Planning Commission -2- February 21, 1966
look favorably upon such an Application for Variance, should Mr. Heilman be
the successful bidder.
APPLICATION FOR SPECIAL PERMIT NO. 499 - Sign at Popp's Hutchinson Cleaners,
130 South Main St. Motion was made by Floyd Hoel, seconded by Clinton Tracy,
that the Planning Commission recommends to the City Council that this permit
be granted. Motion carried.
]Discussion on Hutch Growth industrial site.
Meeting adjourned at 9:45 P.M.
A. J. Thompson, Secretary
K
S
a
REMINDER: Budget, election of officers, and recommendation of replacement
for Charles Carlson, whose term expires March 31, 1966, are to be considered
at the March meeting.
WOODHILL SUBDIVISION
Excerpt from minutes August 2, 1962
"Motion was made, seconded and carried to authorize the Mayor and Clerk to
sign the final plat upon final payment of $1,040.00 for parks and play-
grounds.
"This amount determined as follows:
"Valuation of unimproved lot $1,300.00
16 lots in Woodhill Addition
5% of value for Parks and Playgrounds.
"An escrow deposit is to be paid before a contract for wewer and water is let."
ROBERTS FIRST ADDITION
9-24-62 $ 910.00 Figured same as above. (14 lots)
LARSON SUBDIVISION
5-11-61 $ 475.00 13 lots.
WALLER SUBDIVISION
10-10-60 Deed for Lot 7 Block 1
WILLARD SUBDIVISION
11-14-60 $ 500.00
SOUTHVIEW ADDITION
12-27-60
SUBDIVISION LOT G
1-23-61
17 lots
Deed Lot 4, Block 3
$ 500.00
�rrr� moons I rrir��rr�r■
■rir s®ommririmtr olmomm ■
■!SME ■ MIN MINEIR®!�MI rN�N■
MEMISSEMO NEEMSENREM!l .IN
®ole olomms ■m01101MIMMISENIMMIS
01MIMMIRMIMIN! momlomm"Imm
■01�I� ���� Mlim��r� l�IN In
■®1Nr MENN �Mr1rrSIMMMIrISIMrI■
loomm'rMr®®Rrr�r�, ���r�r��■
11010■ ■ii00101011malm I1010R■
'riim ■imm mmmI mmmimmmin
Misr ■ii�'��i�l�i����i�r!■
mor MMrrI■ ■rir��r�r�rr�r��►■
���
'rmir!miim,��NMI MEN
��rr;rrrr�r r��� �rrr��rr�r�■
r�rrrr�rrt � r�r;r�r�rrr�rr�rr■
�rrrr�frr� ■ ■�r�r�r�rrrr�r�r��■
��rr� rrrr■ rrir�r�r�r�rrrrr■
®�_l_.. Mjml
General Fund - Schedule o
Band Fund - Schedule
LibraryFund - Schedule 6
Road and Bri e Fund - Scneduie LL
Water and Sewer Fund - Schedule 12) 17
Total Disbursements
SUMMARY - CURRENT EXPENSE AND CAPITAL
General Fund
Library Fund
Road and Brid&e Fund
Water and Sewer Fund
...<1I L c.._.l
Totals
Cur ent api al
Exp rse FT Jou'dav
_m
■■
mlm��m
■IUMMM
ur
i-:
Nf14'
• .1 ►
General •
Schedule i,®l■Band
■■
f■111■
�■
��AI■■O■I■■
��li
Fund
Schedule
--y Fur
SchedulE
Road and BrLq&e Fund
--Schedule 4
Water and Sewer Fund
Schedule 5
f■®®®I■■■!i!�■!I!MIN
�■■I
im
m 31
IN MINES
m mi
in
mm Imm MIN
®�_l_.. Mjml
General Fund - Schedule o
Band Fund - Schedule
LibraryFund - Schedule 6
Road and Bri e Fund - Scneduie LL
Water and Sewer Fund - Schedule 12) 17
Total Disbursements
SUMMARY - CURRENT EXPENSE AND CAPITAL
General Fund
Library Fund
Road and Brid&e Fund
Water and Sewer Fund
...<1I L c.._.l
Totals
Cur ent api al
Exp rse FT Jou'dav
_m
■■
mlm��m
■IUMMM
ur
i-:
�CNEDUIE
If �
, . ,
IIGENMAL
,,: - -.
Current..: - :.
General .. - es
ii®�Iir■�■�lii®��i�
( _ _
I■®e■�I■r�■■I■rr�
low a
-1■�!®!I
r■l
■■■I■■;moms
lFines,_ Forfeits and Penalties
I wools =01111 NO
_1
from Other Agencies
SEEN M
I:Sharr!I■■
NMI No
[Grants[Revenue
...- Governments
■r■i■■■■I■■■■i,Charges
�■
for Current Services
No 0 so
- -
I■■rel■■■■S
Slow
. _
I■■rl■r®!■■■■l■�■ M(■rel■■(
OtherRecei-ptsSale
(■■■■I■■■■I■■ ■■ �I
of PrQp_erty
Revenues Collected for Other
( -
I■rr■I■■■■I■■■■I■■ ■No
IN INIlRefunds--and
Reimbursements
INS MINI
-
IN Elmo MINN Elm ■■I■
■r MIEN MIN IN
I■r ■l■ ■■o ■l■MEIN
■IC
i�i■!■li■■I■■■
IMM MIN ■■■!
l r■I■■■■I■■■■(■=MIN
�■_I■
111 low
■■■■■■l■■■■l■■■l■Receipts ■�■■■r
I�......I�..r.lm
MIN MEIN MIN
I■rr■I■rr■�
■■■■■■!■■■■I■w 0 11111■Ir
I
I■■■r■I■r■r■UNN ■(■■■■I■
low ■i■■ ■E
I■rr■( r■I■
i
■NMIN
(■ ■I■
I■rrMi■� ii■■�■■II■
I
I� ■�i
I■�iii■■ ■ I■■■■!■■
rrl■EE11■ ■I■
9TATF.W.NT nY FSTTMATFT) AND ACTUAL RECEIPTS
(f • 1 1
BOOM
- — -- —
,
Prior1
I - -Irrrrrrir
I Actual
o_ • I
{to Date
arlraarlr�3.1
�i: •
's
/{
- - Property Ir�ralr
rrl aarirrrrlr
■airritrr
rlrlrrrrrrlrrrrir
� ■aarl�aaalraaalaaarl�
TotalReceipts �Irrr�r■�rrr:rrr,rrrr►r
r irrrrirrrrlrrrrlrrrrlr
• 1 Irrrrrrrr
r►rrrrrrrr
� � �(�
I General. .. _ _ Irrarar ®MrIlrNIMaM
rMrIlrNMrErrirrrili
{I --
rIrNIirMMrO
. . Irnommalararrmonr
iMiscellaneous - LibraryIrrrrlrarlarrrlarrala
Eines■ararir
malaaaalrarrla
Irrrrlr
I .. - ►rrr�r!rrrrrr'!®r��aai�rala
�rlrrrrlrrr�i�
{ •. � 1 . 1 : • 1 1 Irrrr(
rrrlrrrrlrr��+�
-� - Ira ®!
i• .. -
rr�rrrrl��rala
Special - ira�■
raa ■ rrir
Meter Revenue - Iraiarlrrralrrlarla
Parkint
min
... Irr aINMMENM
Ira
MIN
► - - . . - Irr
'
iaarrlaa is
I
-
I NEI rrlMEN
I
- - " . • riaaarlrr
aaalr
1 rrlrrrrlrr
"I�otall Receipts Irr®r'r�a�'r�®Iar�l■
�Irra!Ir
lrr��ir���ir�riir��r�■
{ - 1
EMMONS
rrrlrrrrirrMIT-10
{ -- - -- Irrrar
Special - : Tapping rlra
;■ rrriarrrr(rararrr!arr
arrrairarllt�r■
Collections. - - -•
a
r IrrrrrrINMMMir.::.:-
Ir
.rrrrrlr
.®�I..
rlrarr._Service
I
-Salesrrrrrirmiii®:iii
ilaa
! s ,
I
Meter Deposits
: Irr®rr
SWOON
rrri■rrri■r
EIC
Irarrrl
I rarlar
a■■
rir
Revenue om Other Agencies ira�i
1ra1aarira1aar
min
I '" Planta
MIN
=i
rirrr�r
a
Irrrrlr�rrirrrrlrrrtir
j
r�rrl�rrrir�rlr
Weir
Irrrrrtlrrrrr�rirrr�rriii�iii
AssessmentsSpecial
ISewer
��Iraall
1 Charges - CollectionsWOMEN
��rlr
rrrlr
Miscellaneous Sewer Revenues
, a�r�araalar�rlraarir
► r�ir�r�(rr��;��r�r
I -
► ri�Iaar�
i r�rrrrr;rrrr��rri=
r�r�I
!rte_
a
i
Wiwi
rrrl��r�r�rr
r�
i,mmrrlrarrira�rr:aarrrlr
■
■r
.w
■'irrr�rrrr
■ rrrr�rlrrr
■cirri;
i�rrr�
��rrr
AM=*
�rrrri
►rr�rrr!
'EMMr{
MMM
lrrrr!
�rrrri
'�rrrr
TEMENT OF ESTIMATED AND
GENERAL FUND
MONTHS ENDED
DISBURSEMENTS
i& 6
Actual[urrent
Estimated Ipurrent Yea
u.-;�,r.
vaYear to Date
Estimated
Ra.lance
Mayor and Council
j i■�®�11■�■�11����1r�r■
iMiscellaneousi
���I��r�l�■�r�■®S!I
�r�lrrr�!■�r�l����l
Salaries and Fees
.. _ i��rr�f�rr�lrrr�
■�rrml
I�r■r�lmrr�l�r��l�r®ml
Supplies
1MINE
Ir��®I■�'J!�®�®®
iCommunications-
ISchools-
Maintenance & Re air o ul. -Subscriptions
I■O�I���ll�■��I■��ll
Office Supplies
Insurance and Bonds
--
and Memberships
I -
■®��JI■®��I���I�r■DJJ�JI�
Miscellaneous -
I��!�I■�®■I■�®I.r
Irrr�l•�rrls��®!���rl�
1 .:
I�rr�}�rr�►rrr®�■rmii
Office EquipmentIrr���l��
SEEM
i�
L110110000101MMININ!
-
=00��■l
r®NIENWINI■
AssTreasurer
I essor
It
��.=�rEl
r 011001010101
te
I�i��l
rA��l�r■�!r����l�
.. -
irr��l■�■I
r�®��r��®i
Independent Auditing:....
I�®®ref
rr�l
rr�f�rr■
1
I����I
■�rl�r�■I���rl�
ipuppliesI�■!��
r�®®�■■®�Irrm
■��r��rrl�r�■■�
�I�■sl Elm
Salaries
`Ir■�rl■��■
■��rl■�®■1�
.:ProfessionalI���rl�l■r■I■�r�l�i■rl��lr
I���■1rr��4■■r�i■�r�l�
Qus
Capital -
I�r��l■�rrlrr■■�����1�
Equipment
f��l�J�■r
r,■��■
�MEIN
Total Disbursements
(`T'TIV ilk' T-M'(1WTNc()N
L: ,1irr..,T Ttt T.P
STATI�MNT OF ESTIMAT2,D AND
GENERAL
ACTUAL
•
Prior _
,�CONSERVATION OF' HEALTH
Actual
CurrentYear . �: _
I Balance
r
■ s ■■fil■■■r
�irr■Irs�r■�rr■r�r■�■Is�
Total Disbursements
i
• : 1 , .� ..., ,li���i�rislir�rl�rrri
ZIMMERi■I■■■■imm■
I . - Isa■■■I■
■■l�■■■i■■■■I
JanitorI■■Ir®®i■■A®rl■■r■rl■
rel
li■I�i�l1®■I■iril■
IIs®!
Repair
I■■1�®fes■®�I■��®ir■r■■I
I rrr�el��rrsl■■■r��■i■®®I
Cleaning Supplies Is■�r�ir■■sl■■�r��lr■■s
= . li■�il■■■sli■fii■■i■I
I .... Ir■
■I■I■i■�■I■�■i■Ir■�■i�l
I .. li
■
■i■■I■�Isr■I■■rrl
{Furniture .. Equipmentlits®Ir■��li■■si■■ii�
i .: I■■®■s�l�®�sl�a■■■I■rir��l
- Protectionlrr■il■■■r
I■rirl■r■�■I
I I■s���l�■la■
I■■�Ir�lrr®
communications
Travel - - - . .. I■■MEI■MMEIMMMMI■■■■
maintenance :. Repairslir■ii■■�■li■
ilii■■
Building I■■®CJI■■l�1�1■■
�I■■�11�!
Equipment li■iii■■!1■li■�1®f■■�.
a�1f
i .. li■■il■■�lsli■®®Irr�®I
Gas, Oil and Grease
I - . .: li■■®slrrli�i■
�il�■psi
- _ .. - Iii
!rl■■�11f■ill
�i■il�l�li
li■�il■■■■I■�1�■I■■I®�
MiscellaneousFire 11■®rl■■■®I■
1■■I■�i�■I
... Is■�■i■■r■f■■i■I■
�■■
. , . i■■i■I■■■sli■■■I■�l�i
• = 1i�1®iii
Protective . - IIsi
1��■�I■��■I■�■■
�sli�l�il�®®�I
liBuilding inspection Feesli■psi■■■■i■■®il■■■I■
IIIPlumbing Inspection Feesirr�6il■■r■lirl�!!ii■r
■i
I! 1• is■■il■■■■I■■r■I■■
�I
IICivil Defense I■i�il■■■■li■1l11l�I■■r�I
IAniiZdo'ntrolIr■�JR�I■■■111■■11r■��11
li■ll�l■■■sli■�i�l■■/�f�
I.Total . 1 ,i■
twin®i
�1■11
I�r■■I■���fir■ii■r■�I
rTPY (1F HTFP('NTNRAN
grNF m.F �)
STATEMENT OF ESTIMATED AND ACTUAL DISBURSEMENTS
GENERAL FUND
MONTHS ENDED : l' ,L , , a t . +Yk
Sheet 4
Actual
Prior, Yea,r
Actual
Estimated urrent Year
urren' Ye r o to
Estimated
Balance-
al nceORGANIZED
ORGANIZEDRECREATION
Administration
Communications
' < L
'°`
Office Supplies
Miscellaneous - Administration
Capital Outlay
Building
Playgrounds
Salaries
7 ..,aa
J i
cC cr
b y
f
3
J 3
Maintenance and Repairs
E ui ment
L3
.5c
Buildings and Grounds
Suy,A ies
5 5
g
R
Miscellaneous - Playgrounds
a �5
✓ +'
.Sb
ea`ital Outlay
� •
� rr
07�ihe irf Improvement s
G Ifc-
.
Skating Rinks
.o
Salaries
5yA t
Utilities
%.5 'c
,i' 6L
J1 3Sbot
Maintenance and e a r
Equipment
i5 �
✓
ay ;d
Buildings and Grounds
` c
AJ)l.ies..� `.
, lc
`s
of
Miscellaneous - Skating Rinks
F
Ki ital Outlay
`' r
Other imiproveinents
Swimmin
Salaries
Utilities
Maintenance and Repairs
�.
,
Equipment
r
co
Building and Grounds
ioc
,
;x 1.s _
SU lies
31, 1, L�
r6 r
ln5rc
Miscellaneous - Swimming
(6
a.
iI
S o(r
Capital Outlay
Other Improvements
C 41
JA,
BaseballJAI
Salaries
o,
C
%
Utilities
Maintenance and Repairs
Supplies
H5
_4c 0 .
be r
- ) 11 I I I 11 I I 11 I 1,r.•. 1 -,1I I 1v/J! 11..'11
,,apital Out
Other Recreational Activities
Current Expenses sw k' 1 1 1 < <-, I
r n ni t.a 1 01it.l a.v , �/o/ �ia2�5 -+ _�(Gt/ c t I , .i it
I Total Disbursements A I ,I-,I;;I� I , -I5-.-1 � I /-1 Ifji I i11-/d(A
-. : - - -MOM Ir■�r�I■rr�I■r
Machiner
je.Ky and Equipment
HINSON
CITY OF EU'i'CC
.l■�■■�rI
S LL, )
STATEMENT
OF ESTIMATED AND ACTUAL
DISBURSEMENTS
GENERAL FUND
MONTHS ENDED 'cc
--_-
-- -
I������r�l�■�_l
I _11 _ _ Irr■■I■■■i■■I■■r■�■Ir■■I
—
--
Actual
--- -
Actual
Estimated
urrent Year
Estimated
Prior Year 'urrent Year
to Date
Balance
PARKS AND CEME`2ERY
I I■■■®�I■■��■■r�rrrr�
Parks
T
-j�
Salaries
Maintenance and Repairs
_ .. _1 _ Ir■rr�I■■i■■■I■rr�Irrrl
Equipment
� Irr■e�lrr�■��I■rr�iii���
, •/ r
, h�
Buildings and Grounds
6 c
�cc
�
a^
Gas, Oil and Grease
`�
i
27171
Park S14
u � lies
°
s
Miscellaneous - Parks
apital OutlayI
vic' 2 9'
4'/M 45
1 Y 15
:. I�rrMIN
lBuildings
i
-. : - - -MOM Ir■�r�I■rr�I■r
Machiner
je.Ky and Equipment
.l■�■■�rI
Iril■r■rlrr��I■rr�I■r�er
I������r�l�■�_l
I _11 _ _ Irr■■I■■■i■■I■■r■�■Ir■■I
Nib
I�J�1�1
I I■■■®�I■■��■■r�rrrr�
.::. - Irr■��lr■■r■I■■�a�l■�r■r�
_ .. _1 _ Ir■rr�I■■i■■■I■rr�Irrrl
I
� Irr■e�lrr�■��I■rr�iii���
Cemete - I■r��I■�rs�l�lrrr�
- . Irrr�l■rl��l■rr�I■i■rr�
I - i■■■r®I■rr�l■rs��Ir�r�ea�
apital OutlayI
rr�lr■■r�■l■rr■lrr�■
:. I�rrMIN
lBuildings
■■rl■■■NIS
ON
I�■■■f■■■■I■■■rl�■■■�
and StructuresMachinery
and Equipment
- 11 . . - 1 .- . - 'r■r■�r��Ir■I■-
� l■m■®l■■mmlr■®®imime
I 1p�1���fl�i�
l
iT .: - I■rr�l■�L��f��rr
�r■■i
�
■
o tal Disbursements ��■���®�■I!�JIl�I��::�
ONNI�■r■■�rirrrrr■
UMM01r■■..
II�..r��li■■rrl
■rr�lrr�a�i�i■■■I■■r�rrl
I I■rrrlrr�I�■r■
I -
r�iiii■ri
M1111111low
■
�■rr■r■l■r■irr�■r■�■rl■r�is
� I■rr■rrrr■I■�rrrlr■r
I Ir■■■Ir■r■Ir■rrlr■■
I Irr■r■I■rr■�■■�r■r■irr�
i
r�r■I■
■;ri■r■►
r
j
■■rI■
rr■■■i
r0
1
������I�r■�����I■ri���■ir■I
CITY OF M=HTNSON S(' IRDTIL •F•
'r OF' ESTIMATED AND ACTUAL DISBURSEMEN`T'S Sheet 6
FUND
Actual
Frior
EstimatedActual
- ear,
-=
POLICE• •
i�i■�iiiir�ii�■�ii
Salaries - Regular
1--ifravel Conferencesi■■l�I■■®®I■■��I■■®®I■
. .mentBoard
I■■��i■■I�®i■■��Ir■■��I■
I
I■r■■I■■■■I■rr■I■■r■I■
of Prisoners
Office Suppl es
IPolice SuppliesI■rr■I■■lie�®I■■�■I■�r�ir�
:.:..
■■■I■■■■I■■®I■■■��le
. ...... - I -
I■■�■I■■■■��I■■�J��■■■■■
MiscellaneousPolice
low
mI■■
rml■■■mo!mmwmi
g
I■■■■�■r®®It■�■I�rriii
Capital-OutlayI■■■r■;■rr■I■rr■I■Ir■ir
Equiprrient
I
I■rr�l■■■r■I■rr■Ir■■■■�I�1
otal -
�7R1������J®���►�I�
■■i■■■■i■r■■I■■r■Il
1
I■rr■1■I■■■■I■rl■■I■I■■■I�
I'UNALLOCATED EXPENSEI■■■r■I■■Ir■I■�■rii���l�
• - es
I■rr■!■■■r■i����i■■�oil
I
I■rr■I■■■r■
1
I■■■■I■■■■Ir■■■
i
■■■■II
CapitalI■■■■i■■r■i■■■■i■■■■11
I
I■■■r I■I■r■I■rr■I■■■■■I�
I■NOW i■■■■I■■emmimmmmiii
I�i�■�ii�i�i��i�l�■■■�il�i■�i■�i
ill
i
i■r■■I■I■■■i■r■■I■■■■11
I
■rr■!■r■■'■r■:I��■■II
I
!■■■r■!■■Ir■
I
r■Irl■■�i�iii■!rl■■■�
■I■r■i■II
■■I■■i■i
r■i■■r■I■■■■II
I■■■
MEOW
r■I■�■moll
■■ ■i■�
■�
r
��lls
■r■I
■� ■.
Omni
r■II
i■■■■I■■■ri�■
■■I■■■SII
■
i■r�■■r�rr�r�r,■rrr�■�■�■1
■r�r�■� r■rr �r■ ■■rr■■{
�iar�� �rrr r■■i�■�rr■�
s;■
i�■■�■i■rr�r'
MONTHS ENDED ' cam /9(ail
Actual
Actual Estimated Lurrent Yea Estimated
R
fessional and Consultant Fees
munications
vel -Conferences -Schools
ntenance and Re airs
ineerin Su lies
s and--Iademnftiescellaneous -Engineering
Streets and Alle_
Travel - Conferences - Schools
Streets and Alleys
Other Contractual Services
Maintenance Supplies (61AI t
Small Tools
Gas, Oil and Grease
Insurance and Bonds
Subscriptions and Memberships
Miscellaneous - Streets
2&4aa la, f
Capital outlay
Equipment
t ci u
Improvements � ««_
Snow and Ice Removal
Traffic Sims and Signals
Street Lighting
Parking Meters
Maintenance and Repairs
Capital Outlay
S orm • ewers
C y air i e a and Waiter,
Maintenance and Repairs 7hca -
Capital Outlay
Refuse Collection and Disposal
Salaries
Maintenance and Repairs - Equipme
Miscellaneous - Refuse Collection
Street Sanitati
Weed Eradication
Total Disbursements
wiF]mlmr
wm 71-1m
wag-: =�Ewj
rFl��rr��irr�fd�
Now
1!�! rrl
� rr
► . Fl 000-
WAP
MM., PROMM.
COMM
�r!�■
,� l��;rr�r��r®t��J
mi!rr®�'rrl�1'rr�
��3rr��rr�1l�'r�lr
rrr r�rirr�rr�rr�r�rrr
, . 'rlJ�rrll�®1
�■�rt�rrrr;rrr;l�!!rr�rAl
rr;rr��!rrrrirr®
rrr■
■
�rr;rrrr
20710WIJMEMI
■�1E��:
rr�
NEW,
"PIP"INVAIPIUMM
MRIMMMEMMMEAMIM
cr
�lrr!rrrr!r��lr
�rr►rrrrrr�r�rrr■
�r�►�r�rr���rrr�rre
Irr►rrrrrrr■
�rir�rrrr�rrrrr■
��lrrrrr'rrr�
r�r�rrr;�rrr'rrr
mtL+PIMM'! ,����'P®N
rFl��rr��irr�fd�
'rri�!.
■rrr�rrrrr�rrrrr�rrrrr
®®�!�■®®®rl�rl�rr��'1
�r!�■
,� l��;rr�r��r®t��J
rrrlrrrr�rrrrrrrr'.
hll��'rrrl�irrr�!rrr�
Esr�lrr®®err
, . 'rlJ�rrll�®1
�■�rt�rrrr;rrr;l�!!rr�rAl
�lrr!rrrr!r��lr
�rr►rrrrrr�r�rrr■
�r�►�r�rr���rrr�rre
Irr►rrrrrrr■
�rir�rrrr�rrrrr■
��lrrrrr'rrr�
r�r�rrr;�rrr'rrr
mtL+PIMM'! ,����'P®N
WATER AND SEWER -FUND
mowns ENDED
Actual Estimated Curr
Prior Year Current Year to
lls and Tanks
Maintenance and Repairs
Estimated
01 wl
rrt�}1 ' rrrr'rrrr rrrr
�rr�i�'rrrr�rrrr�rrrr
:.MININSOMBINNINNINNOWN'rrrr'
�r�r�a►��rrrrrr�rr�r���rr�rr��
:.:.:. IM,Lubricants
rrL�l�
rrE�l rr® ■rel'
rrrrrr�rrrrrr
rrrrrr
and Wages
Miscellaneous Power�rrr��
rrm rr�irr,r�r�
rrrr!rrrr'rrrr
MEMO
rrrrrrrirrrr
. :..
� rrrrr■
■rrrr■ �rrr�rr rrr■
rrr�
Maintenanceand Repairs
►r�r
: rrr rrr� rrr�
and Publishing err
rr�r
rrrrr
rr�i
►rrrr
rrrr�rr�rr r�rrr
Distribution
�rrrrrr
rrrrrtrrrrr rirrrr
? rrl��
rr
'rr
i l►r
:. �r���
,--Maintenance and Repairs
rrrrv�c��rr■r�r��r
Oil :.. Grease :i
�rrr���rrrrrr�rrr+���rrr��
. rrr�
rrrt��r
err
rr��rr�! rr
e7f
,,: .. _
�rrrrr��rr�rr
rrrrr�rrrrrr�
rr■®r
rr��:
, rr��rrir
..�.rw
W,a
a-Dital Outlay�rr�rr■rrrrrr'rrrrrr
��r�
�r�r�a►��rrrrrr�rr�r���rr�rr��
. ,, .:: = :.. GeneralSalaries �rrrrrr
rrrrrr�rrrrrr
rrrrrr
and Wages
Other Professional F- �rr�
rrrrrr
rrrrrrrirrrr
Communications !rrr
rrr�
rr
rr�r�:�
and Publishing err
rr�r
rrrrr
rr�i
—Printing
jf : - 'TT -O' . !' : Schools !rrl
? rrl��
rr
'rr
i l►r
:. �r���
rrrrrr
rrrrv�c��rr■r�r��r
Oil :.. Grease :i
r�r� rrre�
. rrr�
rrrt��r
=0001
MIMI
Insurancerrrrr
rr■®r
rr��:
, rr��rrir
. - � ... - - , - .. = : -�rrr►��rrr
. , r ■rr��
rrr�r�!r
.
Capital:
rrr,rrr�r■
■rr��
rrr�r�r
Billing . ..:
r�r�� rrr�
rrrr�
rrr®�r
- Carried forward
1 9Totals
�rrr�r��rrrrrr��■rr�r�r�rrrr�
Totals Brought,forward
Collection Systemirrrr rrrr■ ■r�rrr rrrr
:.:. � ..:..:..: rrrrrr srirr rrrrrr rrr�
NONNI-- �rrre�!� rr��� rreer�®�rrr
IMINNINNIPMOARM"Immm
rrrr�� rrrrr■ ■rrr� arrr
MEMO@moon, 0MINVI mom
:. _ Uffl INUE-imm, me @own 9 0 MIR
rrrrr rrrrrrrrr■SAINWORMISMOMIMINEWIN
■rir
WIMIMIR NMI"
SO
.. - :.. �rr�r� rr�r�rre�a� ■ �
■�iTravel ConferencesSchools
Maintenance and Repairs
Now. , .: �rrr� rrrr+��rrr�! rr'� �ia�i�si�i��i ��r
11
CITY OF HUTCHINSON SCHEDULE ll
Statement of Estimated and Actual Receipts
Sinking Fund No. 1
/ * Moutha Ended� /9l' 4
Actual Prior Estimated
Year Current Year
Actual Current
Year to Date
Estimated
Balance
Sinking Fund No. 1 — 1960
Special Assessments — Collected by City -V
-iv-111 i7 a%— --
Special Assessments — Collected by Coun
Bonds Payable
�6
f/
p-40.00
(,
733
o g
��
Vol
Interest
Interest — Debt Service
I114VS
/1.5
./!o
Construction Coats
Total Receipts
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 1
—a—Months Months Ended
Actual Prier Estimated
Year Current Year
Actual Current
Year to Date
Estimated
Balance
Sinking Fund No. 1 — 1960
Bonds Payable
p-40.00
Vol
Interest — Debt Service
I114VS
/1.5
./!o
Construction Coats
;lotr+l Disbursements
3
1/i
CITY OF HUTCHINSON SCMULB is
Statement of Estimated and Actual Receipts
Sinking Fund No. 2
i0 Months Ended I96G
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 2
/0 Months Ended
Actual Prior Estimated Actual Current Estimated
Year Current Year Year to Date Balance
Sinking Fund No. 2 — 1960
I � I
Bonds Payable
D
p
o 0
miffiffil
Interest — Debt Service
SON
'
MinI■
■NINO
Construction Costs
M,NIM1111M■
. ..
i■
■■.
■■
■�[lZa�I
■w
SOME
11011100111010110110
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 2
/0 Months Ended
Actual Prior Estimated Actual Current Estimated
Year Current Year Year to Date Balance
Sinking Fund No. 2 — 1960
Bonds Payable
D
p
o 0
Interest — Debt Service
Construction Costs
Total Disbursements
G
I/
f
5
p
s
CITY OF HUTCHINSON SCIMULZ is
Statement of Estimated and Actual Receipts
1962 Curb, Gutter and Sidewalk Improvement
/41—Months Ended
'
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
1962 Curb, Gutter and Sidewalk Improvement
Bonds Payable
C
Special Assessments — Collected by Cityi
o
• d
Interest — Debt Service
--- --
Special Assessmente — Collected by County
6 3
//
S
Construction Costs
3v
o
Interest
p
Borrowing
Total Disbursements
Total Receipts
C
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
1962 Curb, Gutter and Sidewalk Improvement
/d Months Ended �6 b
Actual Prior
Year
Estimated
Current Year
Actual Curtest Estimated
Year to Date Balance
1962 Curb, Gutter and Sidewalk Improvement
Bonds Payable
C
o
• d
Interest — Debt Service
S
Construction Costs
Total Disbursements
SCHEDULZ I
CITY OF HUTCHINSON
Statement of Estimated and Actual Receipts
Sinking Fund No. 4
/0 Months Ended
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 4
--Z-6—Months Ended1916
SEMI
SEMI
NMI
ON
EM
NMI
ROMMI
NMI
MIN
'0001
MIN
oil������1
R!
NMI
NM'����
■���l���1
���MIN���I����i���l
VM1
�������������
RIMINI
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 4
--Z-6—Months Ended1916
SEMI
SEMI
ON
EM
NMI
���MIN���I����i���l