cp01-23-1967 cITEMS TO BE CONSIDERED
Regular Council Meeting
January 23, 1967
CALL TO ORDER 7:30 P.M.
L2� INVOCATION
!+�• APPROVE MINUTES Regular Meeting - Jahuary 9, 1967
Special Meeting - January 9, 1967
Special Meeting - January 18, 1967
tV APPROVE BILLS
fir'` APPLICATION FOR CIGARETTE LICENSE - Jim's Shell Service (11 months)
tk COUNTY DITCH 18
REPORT ON STORM SEWER ON CARLISLE STREET - Engineer Smith
B� LETTER FROM HUTCH GROWTH INC.
CALL FOR BIDS - PUBLICATION NO. 1013 - Police Patrol Car - 8:00 P.M.
CONSULTANT ENGINEERS
ANNEXATIONS TO BE CONSIDERED
a. Streets eouth of Century Avenue
b. Harold Hanson property
RESIGNATION - Lyle A. Smith (effective February 15, 1967)
13: RESIGNATION - Lowell D. Mills from Nursing Home Board (effective 2/1/67)
Pp APPOINTMENT OF NEW MEMBER TO
IS-.- APPOINTMENT OF PATROLMAN
1,456! HUTCHINSON COMMUNITY HOSPITAL
a. FINANCING
b. BOND ELECTION
HOME BOARD TO
REPLACE LOWELL MILLS
17. INFORMATION - Interviews with Prospective City Engineers
Starting at 7:00 P.M., Tuesday, January 24, 1967.
18. ADJOURNMENT
Regular Council Meeting
January 9, 1967
A Regular Council meeting was called to order by Mayor Don 0. Kost in the
Council Chambers at the hour of 7:30 P.M.
Members present: Aldermen Linder, Johnson, Hanson; Attorney Schantzen,
Engineer Smith, Treasurer Smith.
Members absent: Alderman Popp
Motion was made, seconded and carried to approve the minutes of the following
meeting: Regular Meeting December 27, 1966
Motion was made, seconded and carried to.approve the minutes of the following
meeting, with the following correction: Special Meeting January 3, 1967.
Corrected - Paragraph 5. T1Mayor Kost reported that a Southwest site is being
strongly considered for location of the future city hospital. Alderman Linder
made a motion that Mayor Kost obtain options on the land east of Dale Street
and south of Linden Avenue adjacent to the property presently owned by the
City of Hutchinson. Alderman Hanson seconded the motion of Alderman Linder,
and upon vote being taken, carried."
Motion was made, seconded and carried that the bills be granted and paid out
of the proper funds as follows:
Jane S. Haugen
Theophil Grunewaldt
Municipal Electric Plant
Hutchinson Utilites
Municipal ,Water Dept.
Hutchinson Telephone Co.
Miller -Davis Company
Grams Insurance Agency
The Hutchinson Leader
Popp Rexall Drug
Standard Printing Company
Wallner Printing Company
Eather's
Blue Shield of Minnesota
Central Chemical Company, Inc.
Hutchinson Sheet Metal Works
Hutchinson Refuse Service
Rannow Electric
American Linen Supply Co.
The Cokato Enterprise
The Hector Mirror
The Indgpendent Review
Glencoe Enterprise
The Gaylord Hub
Winsted Litho Print Inc.
Wally's Tire Shop
Hutchinson Wholesale Supply Co.
Moehring Motors
Lindy's Sinclair
Frank Motor Co.
Plowman's Inc.
Jerabek's Machine Shop
Hoel's DS Station
McLeod County Auditor
Legal Publications
National Fire Protection Assn.
Johnson Super Valu
SINKING'FUND N0. 5
Labor
49.50
Labor
35.10
Utilities
13.3.51
Gas
258.19
Water
36.25
Service & calls
110.50
Supplies
28.21
Workemn's Comp. premium
769.00
Publications
23.10
Supplies
1.33
Supplies
93.60
Supplies
33.50
Supplies
11.88
Monthly premium
633.78
Supplies
55.58
Maintenance
298.15
Refuse service
12.00
Maintenance
10.00
Towel service
14.50
Class adv. - patrolman
1.80
IT tt
1.80
tt tt
3.15
• tt tt
2.73
it tt
1.50
tt it
1.68
Tires
100.00
Maintenance
4.98
Maintenance
106.95
Maintenance
13.00
Maintenance
8.45
Maintenance
15.05
Maintenance
5.00
Maintenance
15.47
Boarding prisoners
32.50
Subscription
5.35
Dues
20.00
Dog food
5.18
2,952.27
Citizens Bank Principal & Interest on bond issue $11,903.75
le
ROAD & BRIDGE
Reading meters
5.20
Municipal Water Dept.
Water
231.25
Roger Telecky
Labor
iZRX12
Carl Baumetz
Labor
196.00
William Cully
Labor
184.80
Elmer Paulsen
Labor
186.45
Basil Bell
Labor
183.38
Edward Ondrachek
Labor
9.00
Ray Albrecht
Labor
55.25
Earl Waisanen
Labor
59.40
Hutchinson Utilities
Gas
170.15
Municipal Electric Plant
Lights & power
1,335.66
The Hutchinson Telephone Co.
Service & calls
25.84
Sears, Roebuck and Co.
Supplies
10.28
G. F. Nemitz Sons
Supplies
18.00
Management Services
Publication
5.00
Jerabek Machine Shop
Maintenance
6.00
Public Works Magazine
Ad - engineer
20.00
Minneapolis Star & Tribune
Ad - engineer
15.30
McGraw-Hill Publications
Ad - engineer
40.50
Minnesota -Wisconsin Truck Lines
Freight
3.50
Standard Printing Co.
Checks
7.45
GTC Auto Parts
Supplies
1.40
Hutchinson Farmers Union Co-op Oil Gas
5.73
Plowman's
Maintenance
11.01
Albrecht Oil Co.
Gas
14.47
Zila Hdwe.
Supplies
31.40
Hutchinson Wholesale Supply
Maintenance & supplies
85.26
Hutchinson Plumbing & Heating Co.
2xppilns Maintenance
12.00
Peterson Truck Ser;vice
Maintenance
250.60
Brunberg & Oleson Oil Co.
Diesel fuel
48.65
Hoel Distributing Co.
9aB-*xP.±xx Towing cars
24.00
Hutchinson Leader
Publications
27.00
Cobstruction Bulleting
Adv. - Bridge
33.00
Rieke -Carroll -Muller Associates,
Inc. Bridge
400.80
Simonson Lumber V
Maintenance - Rathbun house
26.85
Brunberg Plumbing & Htg.
'f 'T
18.50
Edw. Stoeckman
Registering deed 'f
6.40
3,759.74
VRTER & SEWER
E. J. Mattsfield
Reading meters
5.20
Municipal Water Dept.
Water
132.25
Hutchinson Telephone Co.
Service & calls
36.24
Hutchinson Utilities
Gas
87.42
Municipal Electric Plant
Power
1,746.70
Hutchinson Leader
Publication
24.00
Standard Printing Co.
Supplies
263.45
Peterson Truck Service
Maintenance
14.20
Lyon Chemicals, Inc.
Supplies
212.28
G. F. Nemitz Sons
Supplies
9.79
C. H. Stocking
Supplies
2.10
Farm & Home Distributing Co.
Maintenance
.67
Honeywell Inc.
Supplies
16.73
Zila Hardware
Supplies
23.81
Peterson Oil Co.
Gas
82.87
Home Gas Co., Inc.
Service
46.40
Rannow Electric
Parts & Labor
139.28
Skelly Oil Co.
Furnace oil
31.80
Wally's Tire Shop
Maintenance
69.51
Twin City Testing & Engr. Lab.
KK)00XM Tests
90.00
Rieke -Carroll -Muller Associates
Professional Services
982.00
$ 4,016.70
LIQUOR FUND
John P. Busch
Labor
18.00
Erwin Mielke
Labor
18.75
G. J. Hammer
Labor
6.00
New Ulm Grocery Co.
Supplies
8.30
H. H. Lack
Freight
156.86
Hutchinson Telephone Co.
Service
9.05
Locher Bros.
Beer
1,090.29
Premium Distributing Co.
Beer
1,011.25
Olivia Bottling Co.
Beer
217.60
Marsh Distributing
Beer
850.40
Lenneman Bev. Dist.
Beer
226.60
Cold Spring Brewing Co.
Beer
45.30
Ed. Phillips & Sons Co.
Liquor
616.41
Ed. Phillips & Sons Co.
Liquor
466.35
Old Peoria Co., Inc.
Liquor
589.53
Griggs, Cooper & Co., Inc.
Liquor
2,108.70
Griggs, Cooper & Co., Inc.
Liquor
2,589.17
Famous Brands, Inc.
Liquor
62.16
Distillers Distributing Co.
Liquor
905.04
Distillers Distributing Co.
Lkquor
1,527.96
Famous Brands Inc.
Wine
128.22
Mid -West Wine Co. Inc.
Wine
85.30
Lynn Johnson Co. Inc.
Wine
91.98
Regular Council Meeting - 4 - January 9, 1967
Motion was made, seconded and carried that the following fund transfers be
authorized:
General Fund to Airport Fund for 16-6 (Shop) Construction:
(to be reimbursed frodi Airport Shop monthly rental fee)
Popp's Electrical $ 2,105.00
Hutchinson Plumbing & Heating 3,857.15
Total transfer authorized $ 5,962.15
Public Sites to General Fund to reimburse General Fund for
improvements on West Park:
Sorensen's Farm Supply $ 248.75
Erickson Construction 175.00
Erickson Construction 876.00
Total transfer authorized $ 1,299.75
Liquor Store to General Fund
General Fund to Road & Bridge Fund
$ 7,500.00
$32,500.00
Motion was made, seconded and carried the application of Schenk's Service
to sell cigarettes at 205 North Main Street for a period of one year from
January 1, 1967 to December 31, 1967, accompanied by the proper fee of $12.00,
be approved and license be issued in accordance with Ordinance No. 105.
Alderman Hanson introduced the following resolution and moved its adoption:
RESOLUTION NO. 2512
RESOLUTION SETTING HEARING ON VACATION OF ALLEY IN BLOCK 8, COLLEGE ADD.
(attached)
Alderman Johnson seconded the motion to adopt said resolution, and upon vote
being taken, the following voted in favor of Resolution No. 2512:
Alderman Linder Ttayett Alderman Hanson ttayett
Alderman Johnson ttayett
The following voted against this Resolution: None
Adopted by the City Council this 9th day of January, 1967.
Discussion on County Ditch x#18. Mayor Kost, Alderman Hanson, Attorney
Schantzen and Engineer Smith declared their intention to attend the hearing
in Glencoe on January 10, 1967.
Two persons presented questions concerning refuse pickup and charges, and
method of water billing. Mayor Kost .explained the Refuse Ordinance and
methods of billing for water, sewer and refuse service.
Mayor Kost opened the hearing on Publication No. 1012 - Notice of Intention
to Purchase Real Estate (Harold Hanson property) at 7:55 P.M.
No persons were present for the hearing.
Hearing closed.
Motion was made, seconded and carried to table action on the hearing until
later in the meeting.
Mayor Kost called for bids on Publication No. 1011 - Project 16-2 (2nd Avenue
Bridge) at 8:00 P.M.
There were seven bids: (see attached)
Motion was made, seconded and carried that action on the bids be tabled to
allow viewing by the consultant engineers.
Reuben Johnson of Buetow & Associates, Inc., Architects and Engi eer
explained information and procedures f or low -rent housing for tie ei8erly and
low-income families. No action taken.
BID TABULATION
HIG 1WAY BR ID(;I
City of .Hutchinson Project 16-2
M.S.A. Project 33-10(J-1)2
Rid opening - Januar\ ', 1967 8:00 P.M.
,TART- COMPLETION
BIDDER C;II) ,3I,.CVRITY I N G DATE DATE 1311) NICE
Mvron Miller Construction
Waterville, Minnesota
Carl Lus�,enhop
Redwood T'all_s, Minnesota
Walt Prahill & tion
Slayton, Minnesota
1.1)" K;_(" Bund 4,1/t, 7 7,'15,67 51, 251.55
Bid B()nd 2/151j.7 7 15/f17 53,242.60
W/ Bid Bond 2/1,1/0 7 10,/ 1 /6 7 54 , 040.00
(corrected from
53,E)40.00)
Hardrives, Inc.
St.Cloud, Minnesota
1LY;'
Bid
Bond
5/22/(;7
fij15,!r,�
5(,,�i22.yU
Northern Cont. Company
Hopkins, M binesota
1(`�
Rid
Bond
, �, u12. 51)
Schumacher � Gould, Inc.
St. Paul, Minnesota
11V,
Bid
Bond
4/15/(,7
8/15,!(,'7
,5,�)t?2.hU
Sehroeder Construction
G lenwood, Minnesota
11)`
Bid
Bond
�%1S!t� 7
I;2�1/('
82,108.00
(corretoted from
!,
81,708.00)
klA�'l^
li
Bid awarded to Myron Miller Construction, low bidder, subject to apliruva I by
City Attorney and Consultant= Engineers.
Regular Council Meeting - 5 - January 9, 1967
Alderman Linder made a motion that a contract be awarded to Myron Miller
Construction of Waterville, Minnesota, as low bidder, for construction of
a Highway Bridge on Second Avenue Southeast, City of Hutchinson Project
16-2, M.S.A. Project 33-109-02, subject to approval of the City Attorney
and the Consultant Engineering firm of Rieke -Carroll -Muller Associates, Inc.,
and that the Clerk and Mayor be authorized and directed to enter into a con-
tracp with Myron Miller Construction in the name of the City of Hutchinson,
contract being in the amount of $51,251.55.
Alderman Hanson seconded the motion of Alderman Linder, and upon vote being
taken, carried.
Alderman Hanson introduced the following resolution and moved its adoption:
RESOLUTION NO. 2513
WHEREAS, the City of Hutchinson is contemplating the construction of
a new bridge over the Crow River on Second Avenue South, necessitating
channel excavation in this area, and
WHEREAS, a written permit must be obtained from the Commissioner of
Conservation authorizing any work affecting public waters;
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF HUTCHINSON,
MINNESOTA:
That Don 0. Kost, Mayor, is hereby authorized to make and sign applica-
tion for such work and submit same to the Commissioner of Conservation.
Alderman Johnson seconded the motion to introduce said resolution, and upon
vote being taken, the following voted in favor of Resolution No. 2513:
Alderman Linder TTayett Alderman Hanson Aye T?
Alderman Johnson Ttayett
The following voted against this Resolution: None
Adopted by the City Council this 9th day of January, 1967.
Vitg Muller, Consultant Engineer, outlined plans for water and sewer work on
Main Street.
Discussion of water and sewer extensions to proposed development on Highway 7
west of the City.
DeWayne Rubedor and Ivan Larson requested information on storm sewer service
on Carlisle Street, stating they had been assessed for a storm sewer but were
not receiving benefits.
Engineer Smith was instructed to prepare a report for the council meeting of
January 23, 1967.
Guy Oklobzija requested information concerning the proposed repairs to County
Ditch 18, and indicated his interest in attending the meeting at Glencoe on
January 10.
Alderman Linder made a motion that the City Attorney be authorized to sign
papers for the City of Hutchinson if such are necessary at the County Ditch
18 hearing.
Alderman Hanson seconded the motion of Alderman Linder, and upIn vote being
taken, carried.
Mayor Kost read a report of the Viewing Committee on the Harold Hanson property,
Publication No. 1012, and referred to the recommendation of the Park Board.
Alderman Linder introduced Resolution No. 2514 and moved its adoption:
REGULAR COUNCIL MEETING - 6 -
RESOLUTION NO. 2514
RESOLUTION TO PURCHASE PROPERTY
(Harold Hanson for Park)
January 9, 1967
WHEREAS, the City Council of the City of Hutchinson has determined
that it would be in the best interest of the City of Hutchinson and for
the convenience of its inhabitants to purchase that certain real property
described as follows, to -wit:
That part of the NE 1/4 of the NW 1/4 of Section 1, Township 116,
Range 30, McLeod County, Minnesota, Northeast of the Crow River
and West of the Southerly projection of the East line of the SE 1/4
of the SW 1/4 of Section 36, Township 117, Range 30, and that part
of the SE 1/4 of the SW 1/4 of Section 36, Township 117, Range 30,
McLeod County, Minnesota described as follows:
Beginning at the Southeast corner of said SE 1/4 of SW 1/4, thence
North, along the East line of the SE 1/4 of the SW 1/4, a distance
of 384.73 feet to the Southerly right-of-way line of the Minnesota
Western Railway; thence deflect 1020151 left, along said right-of-
way line, a distance of 200 feet; thence deflect 77045' left a
distance of 20 feet more or less to the shore line of the Crow River;
thence Southeasterly and Southwesterly, along said shore line, to
the South line of said SE 1/4 of SW 1/4; thence East, along said
South line, to said point of beginning, all containing 2.1 acres
more or less.
and
WHEREAS, a committee of three members of the City Council of the City
of Hutchinson and the City Engineer have examaned said property and made a
report thereof, said report being filed with the City Clerk, City of Hutchinson,
on January 6, 1967, and
WHEREAS, notice of the Cityts intention to purchase said property has
been duly published in accordance with the City Charter of the City of
Hutchinson and a public hearing held thereon, and
WHEREAS, it has now been determined by the City Council of the City
of Hutchinson that the City should purchase the hereinbefore described property
for a purchase price of Ten Thousand Dollars ($10,000.00).
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF HUTCHINSON,
MINNE97 TA:
That it is hereby determined by the City of Hutchinson that it would be
in the best interest of the City of Hutchinson and its inhabitants to purchase
the hereinbefore described real property, to -wit: (See legal description
above)
for a purchase price of Ten Thousand Dollars ($10,000.00) by way of a Contract
for Deed with the City to pay $2,000.00 down and the balance of $8000.00 to
be paid by way of annual installments of $1,000.00 or more per year, the first
installment of $1,000.00 or more payable on the first day of January, 1968,
and $1,000.00 or more on the first day of each January thereafter, with
interest thereon on the unpaid balance at the rate of 5 per cent per annum,
said annual installments to be applied first on interest and the balance on
principal and to continue until said balance is paid in full.
Alderman Hanson seconded the motion to adopt said resolution, and upon vote
being taken, the following voted in favor of Resolution No. 2514:
Alderman Linder TTay0
Alderman Johnson Ttayett
Alderman Hanson TTayett
The following voted against this Resolution: None
Adopted by the City Council this 9th day of January, 1967.
Regular Council Meeting - 7 - January 9, 1967
Motion was made, seconded and carried that Lyle Smith be authorized to
attend the City & Village Engineers and Public Works Officials Conference
at the University of Minnesota, and the City Clerk be instructed to issue
a check for the $15.00 registration fee.
Reviewal of gpplications for the position of City Engineer. The City Clerk
was instructed to ask Quentin Wood to meet with the City Council at 4:30
P.M., Wednesday, January 18, 1967, for a personal interview.
Motionuias made, seconded and carried to adjourn at 10:30 P.M.
Special Council Meeting
January 18, 1967
A Special Council meeting was called to order by Mayor Don 0. Kost in the
Clerk's office at the hour of 4:30 P.M.
Members present: Aldermen Linder and Hanson.
Members gbeent: Aldermen Johnson and Popp.
General interview with Quentin Wood, Eden Prairie, Minnesota, applicant for
the position of City Engineer.
No action taken.
Motion was made, seconded and carried to adjourn at 5:45 P.M.
Special Council Meeting
January 9, 1967
A Special Council Meeting was called to order by Mayor Don 0. Kost in the
Council Chambers at the hour of 4:30 P.M.
Members present: Aldermen Linder, Hanson, Johnson; Attorney Schantzen,
Engineer Smith, Treasurer Smith
Members Absent: Alderman Popp
Also present: Mr. and Mrs. Leonard Miller of Hutchinson Refuse Service
General discussion of refuse collection method of billing, etc.
Conclusions reached:
1. Billings are for service offered, whether the customer uses the
service or chooses not to use it.
2. All single residences are to be billed through the city and are
to pay .'for the service.
3. All questions re billing of single residences are to be directed
to the City Clerk's office.
4. All questions re service (pickup) are to be directed to Leonard
Miller, d/b/a Hutchinson Refuse Service.
Motion was made, seconded and carried to adjourn at 5:15 P.M.
rrr� NINNIES
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DISBURSEMENTS
General Fund
Schedule 6
CITY
OF HUTCHINSON
EXHIBIT B
SUMMARY OF RECEIPTS
AND DISBURSEMENTS
- ESTIMATED &
ACTUAL
Road & Bridge Fund
Schedule 9
210,275.21
ALL FUNDS,''
Water & Sewer Fund
_MONTHS
ENDED
6 yf3 J'l7.5C
Sinking Fund #1 - SE
Storm Sewer
2,338.50
Actual
Actual Current
RECEIPTS
Storm Sewer
7,471.78
Prior Year
Year to Date
General Fund
Schedule
1
328,003.24
„?S_
Library Fund
Schedule
3
16, 890.38
i.Sl 1511, p 7
Road & Bridge Fund
Schedule
4
316,677.78
1 Z 06z 2 Q
Water & Sewer Fund
Schedule
5
171,487.69
�►�/ �'�� )'p
Sinking Fund #1 - SE
Storm Sewer
Total -
3,284.95
_ 3 0 7 % s"
Sinking Fund #2 - NE
Storm Sewer
General Fund
23,828.92�ri
1962 Curb & Gutter -
Sidewalk
2,580.82
�•� J,;� ��
Sinking Fund #4
95,430.67
�� moi% 76 -
Sinking Fund #5
.3�'.5�oe
/3�ff�lj_ e�
Road & Bridge Fund
l %C 7r{• :%D
TOTAL RECEIPTS
M
Water & Sewer Fund
958,184.45
%/ wl -:5,0
DISBURSEMENTS
General Fund
Schedule 6
450,699.90
„?y I,Ry,3 /
Library Fund
Schedule 8
17,075.63
Road & Bridge Fund
Schedule 9
210,275.21
Z,6-4,
Water & Sewer Fund
Schedule 10
127,020,75
6 yf3 J'l7.5C
Sinking Fund #1 - SE
Storm Sewer
2,338.50
.R,/g-6,,,,"p
Sinking Fund #2 - NE
Storm Sewer
7,471.78
�;� �G•l{
1962 Curb & Gutter -
Sidewalk
5,449.75
��,
Sinking Fund #4
70, 297.96
1-3
Sinking Fund #5
TOTAL DISBURSEMENTS
890, 629.48
SUMMARY - CURRENT EXPENSE & CAPITAL OUTLAY
Current
Capital
Total -
Expense
Outlay
Disbursements
General Fund
&Z, ZZIQ6
2*1! / p 3/
Sinking Fund #1
Sinking Fund #2ys-
Library Fund
/3 S/s'�_tL
.3�'.5�oe
/3�ff�lj_ e�
Road & Bridge Fund
M
Water & Sewer Fund
-
1962 Curb & Gutter
yi �-
�•�,g �, �,�'
Sinking Fund #4
1/„?y_ i3
Sinking Fund #5
TOTALSQ(
3 -
i
CITY OF HUTCHINSON
SCHEDULE I
STATEMENT OF ESTIMATED
AND ACTUAL RECEIPTS
15,881.03
GENERAL
F D
78.96
MONTHS ENDED?_c
Donations
163,13
/l 3_ oc'
Actual
Actual
GENERAL FUND
Prior Year
Current Year
y3 'Z�
Fees - Resident and Non -Resident
to Date
General Property Taxes
82,670.61
-
Special Assessments
ROAD AND BRIDGE FUND
123,723.87
Licenses
3,005.30
/ .5
Permits
3,151.00
27,608.34
Fines, Forfeits and Penalties
15,945.03
4,820.044'
Revenue from Use,of Money and Property
2,094.08
14,320.39
Revenue from Other Agencies
21,742.38
433.06
Charges for Current Services
Snow Removal
1,356.50
Cemetery
11,855.00
% 3 13-c10
Recreation
4,186.86
549.71
Other
57.00
453.39
Revenues Collected for other agencies
Main. Reimb. or grants - MSA
60,321.21
(Fire Dept. - 1966)
16,207.47rc�i
r c
Refunds and Reimbursements
35,244.89
Unclassified
79.37
Transfers In
126,764.25
/ 3
Fire Dept. Relief
6 q'
PERA Fund
/ •• 3.L
Christmasr Decorations
-4Z /.3
TOTAL RECEIPTS 323,003.24
LJBRARY FUND
20,491.93
SCHEDULE 3
General Property Taxes
15,881.03
f X81/ /q
Rentals
78.96
%G
Donations
163,13
/l 3_ oc'
Miscellaneous
6.96
_
Fines
551.30
y3 'Z�
Fees - Resident and Non -Resident
209.00
l(� c{—
TOTAL RECEIPTS
16,890.38��
dam,
ROAD AND BRIDGE FUND
123,723.87
,�� /j;5:
Transfers 1
206,730.30
//J %/ y y
General Property Taxes
27,608.34
51
Special Assessments
4,820.044'
I
Parking Meter Revenue
14,320.39
'j(
g
Sweeping Streets
433.06
3 ov
Snow Removal
1,356.50
&3 .e o
Sale of Materials
84.90
/d, 5',
Weed Cutting
549.71
5.va
Refunds and other Misc.
453.39
_
/
Main. Reimb. or grants - MSA
60,321.21
91.9f /"
316,677.78
TOTAL RECEIPTS
WATER AND SEWER FUND
Water - Special Assessments & Tap. Fees
20,491.93
q/ A
Collections on Sales & Reg. Chgs.
82,925.12
f�q. d�'Af 4-j
Meter Sales & Refunds
1,638.12
f �Zy, 4,1
Meter Deposits
550.00
6-00.ce
Interest
1,688.76
c°,'
From Municipal Electric Plant
16,400.00
y3 'Z�
Miscellaneous
29.94
l(� c{—
TOTAL WATER RECEIPTS
123,723.87
,�� /j;5:
Sewer - Special Assessments & Tap. Fees
3,890.56
3 ;,t C'
Sewer Charges - Collections
43,873.26
0/ ,�'�
TOTAL SEWER RECEIPTS
47,763.82
96 ,
TOTAL RECEIPTS
171,487.69
a_ �/ pU�'Q
Em
rr
;fir
r rrr�rr rrrrr■
■ rrr�rr rrrrr■
■ OMM OMMO
■�rrrr�rrr�r�■
MOMMEAMME
olommoommoi
■ rrrr�r�rrrrr■
� -months ending
ACCOUNT NUMBER DEPARTMENT
GENERAL GOVERNMENT
401 MAYOR AND COUNCIL
-10 Salaries
-23 Travel, Conference, Schools
-30 Supplies
-49 Miscellaneous
4( MUNICIPAL COURT
-10 Salaries and Fees
-20 Communications (Telephone & Postage)
-21 Printing
-52 Capital Outlay
Subscriptions, Memberships, Miscellaneous
404
-10
-30
-40
4051
-10 & -12
-20
-21
23
•24
-30
-40
-41
-43
-45
-49
-52
ELECTIONS
Salaries
Supplies
Rent
CLERK
Salaries
Communications (Telephone & Postage)
Printing and Publishing
Travel, Conference, Schools
Maintenance & Repair of Equipment
Office Supplies
Rental, Copy Machine
Insurance and Bonds
Subscriptions and Memberships
P.E.R.A.
Miscellaneous
Capital Outlay - Office Equipment
General Government - Totals Forward
CITY OF HUTCHINSON
STATEMENT OF DISBURSEMENTS
TOTALS
EXPENDED EXPENDED BUDGET
1965-1966 1965-1966 1966-1967
500.00
4,898.07
145.39
42.20
113.10
445.88
550.00
102.03
30.00
7,592.90
546.66
866.45
236.16
411.90
2,195.68
44.00
15,443.37
313.00
12,560.91
42.86
612.60
5,644.64
682.03
40,866.49
47,693.16
500.00
150.00
20.00
20.00
4,500.00
100.00
25.00
250.00
1,000.00
200.00
30.00
8,200.00
700.00
1,500.00
200.00
300.00
2,500.00
450.00
16,000.00
350.00
13,500.00
300.00
2,000.00
TOTALS Actual Total
BUDGET Current Year Current Year Estimated
1966-1967 to Date to Date Balance
moo vo
690.00 &5u. Cy
4,875.00
/1070 c" c G 7ep J
1,230.00 (yG�. cc, zo
6/so. as /s
_G /,7
3i y� 0 e,
9% _3?
46, 000.00 ,7 �/ �, �, 3y , S` o
52,795.00 6 Y�6.
months ending vCler,,z
ACCOUNT NUMBER DEPARTMENT
GENERAL GOVERNMENT (continued) Totals forward from p. 1
4052-10 & 30 TREASURER - Salary and Supplies
4053 ASSESSOR
-10 & -12 Salaries
-20 & -30 Supplies & Communications
-23 Travel
)55-13 INDEPENDENT AUDITING AND ACCOUNTING
CITY OF HUTCHINSON
STATEMENT OF DISBURSEMENTS
TOTALS
EXPENDED EXPENDED
1965-1966 1965-1966
47,693.16
452.15 452.15
2,611.55
12.14
14.90
3,830.00
BUDGET
1966-1967
650.00
TOTALS Actual Total
BUDGET Current Year Current Year Estimated
1966-1967 to Date /to Date Balance
52,795.00
650.00 3 W 4e, 3.2 4446e, 76
2,500.00
100.00
2,638.59 2,600.00
3,830.00 3,000.00 3,000.00
4 -
mo n t b s
P
,,7y',3 0 0 %(7_ o 0
US00. c9 c, _-,;Iso'V o e. -S'Ocp- on
406
LEGAL
409
CITY HALL
-10 & -12
Salary - Janitor
` -20
-10
Salaries
3,600.00
3,600.00
X700 oc>
-25
C. 0 0
-13
Professional and Consultant Services
-
-
ii.as.�rs"
Insurance
0�
-20
& -30 Supplies & Communications
25.00
200.00
[.�_zS
747�0 s .36 • Qo
7.415.UU
3:1
-49
Miscellaneous
1,034.45 4,659.45
-
3,800.00
a'y,�a�,��
408
PIANNING
-10
Salaries
4,428.39
5,000.00
- 3ba e/jo
-13
Protessional & Consultant Services
200.00
0 vC.)
-23
& -49 Miscellaneous & Travel
38.82 4,467.21
50.00
5L,250.00 87 �. a'
y •yl�; , i o
�.� . 6
TOTAL
- GENERAL GOVERNMENT
63,740.56
681095.00
/!P9,z9932
g/
CONSERVATION OF HEALTH
442-10 Salaries
-30 Supplies
-49 Miscellaneous (Health monthly tests)
PUBLIC BUILDINGS,
FIRE & OTHER PROTECTION
409
CITY HALL
-10 & -12
Salary - Janitor
` -20
Communitations
-22
Utilities
-24
Maintenance & Repair of Equipment
-25
Maintenance & Repair of Building
-38
Cleaning Supplies
-39 & -49
Miscellaneous & Supplies
-41
Insurance
-50
Capital Outlay
-52
Furniture
02.161 40. A..i 1A4W%"a viva x. Athan Vvatse•tirm . Tt testa Piers rd
264.00 300.00
- 100.00
967.93 1,231.93 750.00
89. So
SXs�.
11150.00 ea 7/ L.,
2,823.91
2,800.00
.,7Aer.e3
-
75.00
2,443.23
2,500.00
261.70
400.00
681.40
550.00
.3c1. •rl.2r
618.50
600.00
570..75'
191.18
-
-
50.00
9S. 3 S
7,019.092
z
500.00
747�0 s .36 • Qo
7.415.UU
o.So
00/
�,ZaB X9./9
/ ofv
ro /9Rydp
47
_months ending 1:266
ACCOUNT NUMBER DEPARTMENT
PUBLIC BUILDINGS, FIRE & OTHER PROTECTION (continued)
Totals forward P. 2
CITY OF HUTCHINSON
STATEMENT OF DISBURSEMENTS
10 TALS TOTALS Actual Totals
EXPENDED EXPENDED BUDGET BUDGET Current Year Current Year Estimated
1965-1966 1965-1966, 1966-1967 1966-1967 to Date to Date Balance
8'Zo.8 /
7f�95. o0
7,019.92 , 61 9a, So / 4.Q2_20
412
FIRE PROTECTION
-10
Salaries
1,572.25
2,100.00
-20
Communications (telephone & postage)
76.11
85.00
-5'771Y
-22
Utilities
1,162.14
960.00
4�
-23
Travel, Conferences, Schools
385.13
1,060.00
-24
Maintenance & Repairs of Equipment
343.04
900.00
lis fii'
-25
Maintenance & Repairs of Buildings
5.10
75.00
i,.LS"
%. 7S
-31
Small Tools
41.41
20.00
O.00
-33
Gas, Oil and Grease
127.52
150.00
S-`�".sS
_� .45
-38
Cleaning
33.00
10.00
I d o
-49
Miscellaneous Supplies
3,917.37
1,905.00
fu Z. y _
!a
-41
Insurance
1,300.97
-
7-141 1� %
/
-29, -39, -43
Miscellaneous
645.8 •
80.00
-44
Interest
Sa.iq
-51
Capital Outlay - Buildings
-
655.00
y ry
Restricted Fund - truck
5,000.00
5,000.00
-53
Capital Outlay - Equipment
1,450.89
16,060.77
-
13,000.00
_
Fire Dept. Relief
IE9/. '77
7-
413
PROTECTIVE INSPECTIONS
131-10
Building Inspections
655.00
700.00
,5'6"n_ o0
4132-10
Plumbing Inspections
556.00
600.00
G %:5.&E
4133-10
Electrical Inspections
120.00
250.00
Z,!70 - * 0
4134-10
Fire Inspections
480.00
1,811.00
400.00
1,950.00
EGD.CO
Z 3S '/.0,00
415
CIVIL DEFENSE
475.90
475.90
300.00
300.00
416
ANIMAL CONTROL
1,171.50
1,171.50
1,294.15
1,294.15
JV/ d's)
CIVIL AIR PATROL
100.00
100.00
275.00
275.00
i . 00
417
SAFETY COUNCIL
50.00
50.00
150.00
150.00
.s -o . c o
�7/ 4:7o _( 0*40
TOTAL - PUBLIC BUILDINGS.
FIRE & OTHER PROTECTION
262689.09
252594.15
i
CITY OF
HUTCHINSON
months
ending ��„ /1s_ b
STATEMENT OF
DISBURSEMENTS
TOTALS
TOTALS
Actual
Totals
EXPENDED
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
ACCOUNT NUMBER
DEPARTMENT
1965-1966
1965-1966
1966-1967
1966-1967
to Date
to Date
Balance
411
POLICE PROTECTION
-10
Salaries - Regular
31,148.46
37,000.00
07 3. 6
/x.,20(.,.30
-12
Salaries - Temporary
1,796.20
1,200.00
SY 745
3 i
-20
Communications - Telephone & Postage
328.15
350.00
.33Y i0
Y.�o)
-23
Travel; Conferences, Schools
73.87
150.00
790
-24
Maintenance and repairs - equipment
1,154.83
1,800.00
-27
Board of Prisoners
340.40
450.00
s 7 -
-30
Office Supplies
495.59
.00.00�327
1
-33
Gas, Oil, Grease
2,314.76
2,200.00
/3 4.329-2
6Y
-39
Police Supplies
658.17
400.00
-41
Insurance and Bonds
448.23
-
-43
Subscriptions and Memberships
15.00
25.00
-38 & -49
Miscellaneous
187.60
300.00"
-29
Contractual Services
173.23
200.00
Illy
-53
Capital Outlay - Equipment
2,998.50
3,000.00
_f .3'y",2(p
-34F-
Clothing Allowance (1965-66 included in
-
42,132. +9
600.00
48,075.00
X773
.3L
-39)
_
TOTAL POLICE DEPARTMENT
42,132.94
48,075.00
/ 1_ 3Q.q
462
LIBRARY FUND
-10 & -12
Salaries
91657.26
10,000.00
?76s"i3
_3 ff
-20
Communications (Telephone & Postage)
96.00
100.00
/c8 i/
-22
Utilities
1,425.01
1,300.00
97/.30
3:78: TO
-23
Travel, Conference, Schools
62.17
100.00
". (Ps'
7b.3,6-
S-24
-24
Maintenance and repairs - equipment
31.99
200.00
7 fL
-25
Maintenance and repairs - buildings
451.46
700.00
S4.
-26
Bookbinding - --
368.01
350.00
X9793
iS,2. Cy
-30
Office Supplies
595.71
500.00
-175-
ov. .
-38
Cleaning Supplies
82.64
100.00
zar.2
7/
-39
Books and Periodicals
3,834.57
4,000.00
" .3ta �S
6
-41
Insurance
.54-b%w-
-49
Miscellaneous
179.16
200.00
F940
-52
Capital Outlay - Furniture and Equipment
284.69
17,068.67
250.00
17,800.00
Jj15-,o 0et
TOTAL LIBRARY
17,068.67
17,800.00
9
CITY
OF HUTCHINSON
57
months
end ingodz, ,, ,, " , �; 6
STATEMENT
OF DISBURSEMENTS
TOTALS
TOTALS
Actual
Totals
EXPENDED
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
ACCOUNT
NUMBER
DEPARTMENT
1965-1966
1965-1966
1966-1967
1966-1967
to Date
to Date
Balance
ORGANIZED RECREATION
4741
Administration
-10
& -12
Salaries
2,084.50
2,065.00
/SYySv
6-.70.50
-20
Communications - telephone & postage
3.50
25.00„?ifs
0c,
-30
Office Supplies
215.05
100.00
-39
isce laneous
19.00
2,322.05
75.00
2,265.00
:.7 y�
/2,WV 77
/ 6, 6. iS
w,42
Playgrounds
-10
& -12
Salaries
893.00
900.00
-20
Communications - telephone & Postage
80.24
80.00
-22
Utilities
168.47
200.00
/�7 �.,�VP
-24
Maintenance & repairs of equipment
198.72
50.00
G/ Gam/
-25
Maintenance & repairs of bldg. & grounds
28.00
50.00
L,,o Z„x.
i 0 0. -
-30
Office Supplies
3.98
-
-39
Supplies
104.69
50.00
-40
Rent
44.00
-
-41
Insurance
-
50.00
-49
Miscellaneous
71.22
15.00
3s ;,-C.
e7. �?e-)
-52
Capital Outlay - furniture & equipment
943.96
400.00;2
,.s'S-S.3
f S
-54
Capital Outlay - other improvements
149.23
2,685.51
500.00
2,295.00
--3 97,7 y
--5-0 C,
4745
Skating Rinks
-10
& -12
Salaries
776.50
600.00
-13
Professional
122.50
150.00
/ oc
-20
Communications - Telephone & postage
-
60.00
Z�0,00
-22
Utilities
342.51
275.00
�c,6`
/T51 &S!
-24
Maintenance & repairs of equipment
77.34
50.00
X.
0.7.,c 0
-25
Maintenance & repairs of buildings & grounds
8.23
50.00
//.y�
38
-30
& -39
Supplies (incl. office supplies)
178.82
50.00
A.Z.
-41
Insurance
45.92
-
-49
Miscellaneous
118.35
35.00
3
-52
Capital Outlay - furniture & equipment
311.98
-�.s/
.3
-54
Other Improvements - capital outlay
18.43
2,000.58
100.00
1,370.00
CITY OF
HUTCHINSON
9 ending ,z.,,z
STATEMENT OF
DISBURSEMENTS
_ _months
TOTALS
TOTALS
Actual
Totals
EXPENDED.
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
ACCOUNT NUMBER DEPARTMENT
1965-1966
1965-1966
1966-1967
1966-1967
to Date
to Date
Balance
ORGANIZED RECREATION (continued)
�-��'
S 5�2
X20
4746 Swimming
-10 & -12 Salaries
188.00
1,435.00
75!:ts
-13 Professional
1,401.24
1,100.00
-22 Utilities
-
-
-24 Maintenance & repairs of equipment
-
75.00
-25 Maintenance & repairs of bldgs. & grounds
141.26
100.00
-30 & -39 Supplies
-
65.00
Af,fe-,
z�s.Qy
-40 Rent
1,469.48
1,085.00
9.y �S
/ -64"
-41 Insurance
54.66
200.00
/t. 78,3
317. /Z
-49 Miscellaneous
12.94
50.00
-5 C o u
-52 Capital Outlay - furniture & equipment
-
-
acv. X:Y
Q _qC / 3
-54 Capital Outlay - other improvements
632.00
3,899.58
100.00
4,210.00
z oc'00
4747-A Baseball
-10 & -12 Salaries
1,400.00
1,300.00
/3�y. yo
-22 Utilities
-
-
-24 & -25 Maintenance and repairs
10.00
35.00
-30 & -39 Supplies
513.80
360.00
-49 Miscellaneous
32.25
50.00
%3c
7.3c
-54 Capital Outlay
-
1,956.05
50.00
1,795.00
%933 70
4747-B Other Sports (Softball, Horseshoe, Foot-
ball, Basketball, Wrestling, Golf)
Salaries, Utilities, Repairs, Supplies
1,130.53
1,225.00
8.3f� -3.jQO.(vy_
-52 Furniture & Equipment
205.00
1,335.53
425.00
1,650.00
1?12_
Totals for Recreation
14,199.30
13,585.00
1�7/.Z�.l0
4$40-57190
UNALLOCATED EXPENSE
Current Expenses
69, 592.12
53. 433
Refunds & Reimbursements
5.00
Transfers to other funds
168,419.76
_3p. Ef'c U
Airport (wages, etc.)
161.17
, o
TOTAL DISBURSEMENTS
238,178_._05
_months endinge.,�a- / g 6g;
ACCOUNT NUMBER
PARKS AND CEMETERY
475
-10 & -12
-20
-22
-24
-25
-31
-33
-39
-41
-49
-50
-51
-53
-55
-55
-8S
496
-10 & -12
-22
-24
-25
-26
-31
-33
-39
-49
-41
-53
-54
DEPARTMENT
PARKS
Salaries
Communications
Utilities
Maintenance and
Maintenance and
Small Tools
(Telephone, postage)
repairs of equipment
repairs of bldgs. & grounds
Gas, Oil and Grease
Supplies
Insurance
Miscellaneous
Capital Outlay - Land
Buildings and Structures - Capital Outlay
(NE Park)
Capital Outlay - machinery & equipment
Capital Outlay - park & beach, River
Development
Capital Outlay - trees
Other Improvements
Ca(� tat C wtiay _ l aVU4 ( kms. e b e)
CEMETERY
Salaries
Utilities
Maintenance and repairs - equipment
Maintenance and repairs - buildings
Other improvements - maintenance &
Small Tools
Gas, oil, grease
Supplies
Miscellaneous, including rent
Insurance
CITY OF HUTCHINSON
STATEMENT OF DISBURSEMENTS
TOTALS TOTALS Actual
EXPENDED EXPENDED BUDGET BUDGET Current Year
1965-1966 1965-1966 1966-1967 1966-1967 to Date
17,268.55
72.14
332.98
1,483.58
362.00
48.83
1,063.66
174.65
113.70
760.12
982.33
20,028.70
6,394.08
5,540.20
552.80
V.S13 c 0
6,342.20
9.20
64.89
& structures 1.99
repairs 27.50
Capital Outlay - Machinery & Equipment
Capital Outlay - other improvements
TOTAL PARKS AND CEMETERY
27.09
78.90
19.81
168.53
48.10
80.00
1,559.38
56,028.32
18,000.00
100.00
500.00
1,500.00
500.00
1,000.00
300.00
200.00
900=."
3,000.00
7,500.00
500.00
Svc vn
7,000.00
50.00
300.00
50.00
150.00
75.00
50.00
75.00
200.00
34,000.00
s-s-
5S�'. 03
.R 7.93
ly.3l. �7
x,3.83
Actual
Current Year
to Date
Estimated
Balance
.S.2
"
ay.�
91,416
as, 14/
16231
/rilS. a o
8,427.59 - 7,950.00 .5'7(.x.5 -(e
64,455.91 41,950.00 ..�.3 9 17L8
/2
CITY OF HUTCHINSON
f, -Months
ending �,�c�o__, i.<_�s� / 5 6
STATEMENT
OF DISBURSEMENTS
-
TOTALS
TOTALS
Actual
Totals
EXPENDED
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
ACCOUNT NUMBER
DEPARTMENT
1965-1966
1465-1966
1966-1967
1966-1967
to Date
to Date
Balance
ROAD & BRIDGE
421
-10 & -12
Engineering
Salaries
8,922.53
11,800.00
-13
Professional and Consultant Fees
35.00
300.00
,00
-20
Communications - telephone and postage
177.82
150.00
196-15,
-21
Printing and Publishing
10.00
25.00
.6-1.70
-23
Travel, Conference, Schools
107.78
215.00
.';�.YY 2_6-
-24
Maintenance and repairs
208.51
110.00
13e^ ZZ
-30 & -39
Supplies (including office supplies)
830.43
500.00
A16
..5'
-41
Insurance
120.26
120.00
744
to/•�(�
-33
Gas, oil, grease
213.71
150.00
-43
Subscriptions and memberships
34.00
30.00
-49
Miscellaneous
305.85
50.00
/S'a3
_,-� 9,1
-53
Capital Outlay
301.94
11,267.83
3200.00
16,650.00
/a_oc�
.P3+,/�, 5
�/� v0
422
Streets and Alleys
-10 & -12
Salaries
24,716.24
25,000.00
2„aCZ K7
3 /3
-13
Professional and Consultant Fees
-
-
'S2 ^31.S G
-20
Communications - telephone and postage
293.89
100.00
!-�.S/S"
-26 S
-22
Utilities
1,245.55
1,000.00
76(41 x R'..'6:S=i-z-
-23
Travel, conference, schools
90.99
600.00
'.'00.06
-24
Maintenance & repairs of equipment
11,353.02
9,000.00
S-7,6/. c//
�
-25
Maintenance & repairs of bldgs. & structures 647.74
-6-Is-
S'
-26
Maintenance & repairs of streets & alleys
22,108.49
20,000.00
d';T'V1
i
-29
Other Contractual services
117.50
100.003
iZ
-30 & -39
Maintenance supplies (including office
supplies)
978.29
100.00
�1S1 'yaP
A
-21
Office Printing
26.40
-
/.5�o.2S
-31
Small Tools
107.63
50.00z2-
-33
Gas, oil and grease
4,972.31
4,000.00
15
6
-41
Insurance
1,771.06
2,000.00
-49
Miscellaneous
141.58
50.00
-40
Rent
-10.00
-
-52 & -53
Capital Outlay - equipment and machinery
11,106.79
16,000.00
1� f
��,�
rY 4.13,q.2,
�T
-51, -54 & -55 Improvements - Capital Outlay
88,971.48
168,658.96
296,000.00
374,000.00
99, Ola3 (aA
/,7/
/
0
'Me 6.Sm. oR-
,(& 3i=
�3Ja m-54
__months ending _s,•:t` t,2 �� ��..,
ACCOUNT NUMBER DEPARTMENT
ROAD & BRIDGE (continued)
423
Actual
Snow and Ice Removal
424
BUDGET
Traffic Signs and Signals
426
Estimated
Street Lighting
'7
to Date
Parking Meters
3L easc 00
-24
Maintenance and repairs]
�' f , y
-41
Insurance
-53
Capital Outlay
f4,000.00
L:i-,I,t,c-.
432
Storm Sewers
-10
Salaries and Wages
-26
Maintenance and repairs
-54
Capital Outlay
CITY OF HUTCHINSON
STATEMENTS OF DISBURSEMENTS
TOTALS
EXPENDED EXPENDED BUDGET
1965-1966 1965-1966 1966-1967
4,964.26
1,014.60
13,893.95
4,964.26
1,014.60
13,893.95
5,000.00
1,000.00
14,000.00
TOTALS
Actual
Totals
BUDGET
Current Year
Current Year
Estimated
1966-1967
to Date
to Date
Balance
3L easc 00
5,000.00.
L
�' f , y
�i'�1a !(c
1,000.00
f4,000.00
3.- y
294.88 300.00 -
irC nw
39000.00 3,294.88 5,000.00 5,300.00 �7. 24 "'�;. 1'
182.51
758. `j;
867. 50
434 Refuse Collection and Disposal
-10 & -12 Salaries 4,573.65
-24 Maintenance and repairs of equipment -
-39 & -49 Miscellaneous 347.26
-33 Gas, oil, grease 219.26
-52 Capital Outlay 80.00
-41 Insurance
435 Street Sanitation
436 Weed Eradication
Unallocated
TOTAL - ROAD AND BRIDGE
l , Ci00.00 y � C.. ,n r..
1,000.00 _ is ; 5�' i.. ,.��'
i 808. 56 - 2,000.00
1,200.00 ,3,yc". 74�— ,;l
100.00 S17p. b c'
200.00 ,:>"s -W75-
5,220.17 1,500.00
z
66.50 66.50 100.00 100.00
85.50 85.50 -
210,275.21 419,550.00 �, /
'
CITY OF
HUTCHINSON
_months
ending1
STATEMENT OF
DISBURSEMENTS
TOTALS
TOTALS
Actual
Totals
EXPENDED
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
ACCOUNT NUMBER
DEPARTMENT
1965-1966
1965-1966
1966-1967
1966-1967
to Date
to Date
Balance
WATER & SEWER
FUND
4821
Water - Wells and Tanks
-22
Utilities
633.60
-
,/Sd' 66
-24
Maintenance and repairs of equipment
7.04
2,000.00
v ov-a n
-26
Maintenance and repairs of wells
-
1,000.00
,�rlaCl.c�o
-51
Capital Outlay - buildings and plant
-
640.64
2,000.00
5,000.00
6G
„I
-
S
.22
Water - Power and Pumping,
-22
Electricity
13,794.13
14 ,000.00
v 0
3.y�'(c. o 0
-24
Maintenance and repairs
233.36
300.00
a.ti.9L
-33
Lubricants
1.60
-
-49
Miscellaneous - power
-
19.95
14,049.04
500.00
-
14,800.00
-53
Capital Outlay
4823
Water - Purification
-24, -25 &
-26 Maintenance and Repairs
459.17
500.00
z
3 3
-39
Supplies
3,656.66
.4,115.83
4,000.00
4,500.00
��'/.y7
/�53
4824
Water - Distribution
-10 & -12
Salaries
6,606.50
10,000.00
rJ33.�S6.
-24
Maintenance & repairs of equipment
276.23
-
-26
Maintenance and repairs of mains
1,402.94
1,500.00
S
6'-o 5
-31
Small tools
.95
-
3a
-aa
-33
Gas, oil, grease
101.75
200.00
♦ 7�. c 7
3
-39 & -49
Misc. supplies
11.23
-
.3 /.A
-53
Capital Outlay - equipment
-
200.00
.Z go -og
-54
Capital Outlay - mains
1,179.54
9,579.1+
35,000.00
46,900.00
lea Y'X/
.T'
4825
Water - Administrative and General
-10 & -12
Salaries and Wages
7,005.05
8,700.00
9(15,g -410
3'
-13A
Engineering
3,621.42
6,000.00
6164
.8S
-20
Communications - Telephone & postage
264.85
200.00
Z§7•*3
-21
Printing and Publishinf, Subscriptions
15.00
300.00
97.24
.4?O.7.flD
-22
Utilities
453.00
600.00
,339. Z,.'[
-15
-23
Travel, Conference, Schools
327.36
800.00
0
i GO
-24 & -25
Maintenance and repairs
228.13
100.00
3 /.o !
-30
Office Supplies
698.51
-
-31
Small tools
. 29.04
�
months ending �L1.1 <%_�r, ,,.,��_, % i5y�!•
ACCOUNT NUMBER DEPARTMENT
WATER & SEWER FUND (continued)
4825
Water - Administrative and General (cont.)
-33
Gas, oil and grease
-38
Cleaning
-40
Rent
-41
Insurance
-44
Interest
-45
PERA
-39, -30 & -49
Miscellaneous
-80
Refund of Meter Deposits
Special Assessments Refunds
-52 & -53
Capital Outlay
-
Billing Adjustments
-60
Debt Redemption
-83
Purchase of Material for Resale
TOTALS - WATER
4841
Sewer - Collection System (Mains)
-10 & -12
Salaries
-24
Maintenance & repairs of e_quipment
-26
Maintenance & repairs of Mains
-31
Small tools
-39
General supplies
-33
Gas, oil, grease
-40
Rent
-53
Capital Outlay - equipment
-54
Capital Outlay - mains '
4842
Sewer - Disposa.l Plant
-10 & -12
Salaries
-13
Engineering
-20
Communications - telephone & postage
-22
Power & light
-23
Travel, Conferences, Schools
-24
Maintenance & repairs of equipment
-25
Maintenance & repairs of buildings
-26
Other Improvements
CITY OF HUTCHINSON
STATEMENT OF DISBURSEMENTS
EXPENDED
1965-1966
228.22
327.98
2,131.75
69.30
330.81
635.00
244.55
2,157.50
64.32
29,711.00
2,129.12
1,744.70
1,261.85
1,093.31
26.70
307.50
76.49
10.00
189.00
31,128.02
7,032.54
63.41
2,644.65
111.76
293.80
271.24
122.58
TOTALS
EXPENDED
1965-1966
_50,h71 91
79,056.56
35,837.57
BUDGET
1966-1967
TOTALS Actual
BUDGET Current Year
1966-1967 to Date
150.00
100.00
400.00
2,000.00
5V
500.0()
�3Y. "Z:�
700.00
800.00
200.009
29,000.00
2,000.00
52, 5 -,0.00
/5
Totals
Current Year Estimated
to Date Balance
3� z.
123,750.0(f Y 5.Z 731,_%2.
2,000.00
1,000.00
3,000.00
20,000.00 26,000.00
5,200.00
10,200.00
100.00
2,600.00
1,000.00
300.00
.3i.33.4/ o
zj-y7. 32.
3/_'9.6-
MUM
_z2g+1-,3v
a?'oca.agr
t
/JS.!E0)
Ss
17�.I.z
months ending 161c�"', " 4�G
ACCOUNT NUMBER DEPARTMENT
WATER & SEWER FUND (continued)
4842
Sewer - Disposal
Plant (continued)
-31
Small tools
-33
Gas, Oil, Grease
OF DISBURSEMENTS
-41
Insurance
-44
Interest
-38, -39 & -49
Miscellaneous
TOTALS
-40
Rent
-51
Capital Outlay -
buildings
-53
Capital Outlay -
equipment
-54
Capital Outlay -
mains
-60
Debt Redemption
to Date
to Date
Sewer Billing Adjustments
TOTALS - SEWER
Transfer Out
TOTALS - WATER & SEWER
11�
CITY
OF HUTCHINSDN
STATEMENT
OF DISBURSEMENTS
TOTALS
TOTALS
Actual
Totals
EXPENDED
EXPENDED
BUDGET
BUDGET
Current Year
Current Year
Estimated
1965-1966
1965-1966
1966-1967
1966-1967
to Date
to Date
Balance
5.40
-
108.01
175.00
" o.
1,239.55
500.00
4
20.00
-
7 : c c
c
-
75,000.00
Z�f' •50
-
1, 500.00
163.43
-
50.25
12,126.62
100.00
17-34
=96,675.00
122,675.00
!amu /i Y,4
y'' o63./p
_47,964.19
i �
127,020.75
246,425.00
�
�g
i
r
CITY OF HUTCHINSON SCHEDULE 11
Statement of Estimated and Actual Receipts
Sinking Fund No. 1
9 Months Ended
Actual Prior Estimated Actual Current Estimated
Year Current Year Year to Date Balance
Sinking Fund No. 1 — 1960
Special Assessments — Colected by City
Special Assessments — ColTectt by County a .
Interest
THY PC.- 3n53
Total ReceiptsF-F
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 1
Months Ended -i2& T
Actual Prior Estimated Actual Current Estimated
Year Current Year Year to Date Balance
Sinking Fund No. 1 — 1960
Bonds Payable C,Oo 0
Interest — Debt Service 1 D r -p
Construction Costs
Total Disbursements 3
4
/9
CITY OF HUTCHINSON SCHEDULE 12
Statement of Estimated and Actual Receipts
Sinking Fund No. 2
Months Ended
Sinking Fund No. 2 — 1960
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
"o
0 0
P14
Bonds Payable
Interest — Debt Service
Special Assessments — Collected by City
Special Assessments — Collectsby
Interest
Construction Costs
Total Disbursements
Total Receipts
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 2
—:?—,Months Ended _/,�
Sinking Fund No. 2 — INO
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
0 0
P14
Bonds Payable
Interest — Debt Service
Construction Costs
Total Disbursements
/9
CITY OF HUTCHINSON SCHEDULE 13
Statement of Estimated and Actual Receipts
1962 Curb, Gutter .and Sidewalk Improvement
�1Months Ended "&C __L 0
Actual Prior
Year
Estimated
Current Year
Actual Current
Year . Date
Estimated
Balance
IM Curb, Gutter and Sidewalk Improvement
■��I
ON
■■
Molls
■..■f■■�
■■
I■0111
MI■��
V,■��1
■
■I■ERAM!
■.■
Interest!■O■■I
■
I■MM�1
��■
■ONNI
I■MM■I■��■
NE
■�■■i■■NEI
■M�■1■
M
Ell
■
l■�
■l
■�
■■r■■■1
■■I■■■■■�■I■
M
!■�■■■i
■���
■
l
■■■I■
�
4f
t
!
/
SNI
■■
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
1962 Curb, Gutter and Sidewalk Improvement
MonthsEnded
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
1962 Curb, Gutter and Sidewalk Improvement
Bonds Payable
C'
Interest — Debt Service
Construction Costs
Total Disbursements
�
4f
/
Z 0
SCHEDULE 14
CITY OF HUTCHINSON
Statement of Estimated and Actual Receipts
Sinking Fund No. 4
onths Ended
Actual Prior
Year
Estimated
Current Year
Year . Date
0
iME-01I
Special Assessments — Collected by Citj
Special Assessments — Collected by un
ii'-"
misommion
RISEN
Nowt}.!■NIMMINIM/A.
"loom
Sr100110
MINIM
011101011010
i
I
MENEM
MEOW
MNI
ME
INN
MINIMS
-R
11001
V1,101001
CITY OF HUTCHINSON
Statement of Estimated and Actual Disbursements
Sinking Fund No. 4
� —Months Ended_
Actual Prior Estimated Actual Current Estimated
Year Current Year Year to Date Balance
Sinking Fund No. 4 —1966
Honda Payable
Interest — Debt Service
Construction Costs
Total Disbursements
CITY OF HUTCHINSON
Statement of Estimated and Actual Receipts
Sinking Fund No. 5
Months Ended
if
•
SCHEDULE 15'
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
Sinking Fund No. 5-1966
1
2
46,
Special Assessments — Collected by Cit
-41ua e��
Special Assessments — Collected by
11.1 0
e7
Interest — Debt Service
Interest
Construction Costs
A00
67
/4/
-7
�9
Total Receipts
CITY OF HUTCHINSON
Statement of Estimated and Actual Di8bursements
Sinking Fund No. 5
Months Ended
Actual Prior
Year
Estimated
Current Year
Actual Current
Year to Date
Estimated
Balance
Sinking Fund No. 5-1966
Bonds Payable
Interest — Debt Service
Construction Costs
/4/
-7
�9
total Disbursements