HomeMy WebLinkAbout1953-11-17 Regular MeetingThe regular meeting of the City Council was meld on November 17,
1953 with the following members present: Mayor N. M. Cosnahan;
Aldermen Joe Pox, J J. Daniel, .Pill Guest, E. M. Pair, & R. F
Shelton, Secretary Hugh Millican.
Minutes of the preceeding meeting were read and approved®
Statement of Income and Expenditures for the month of October
was recorded®
Request .from the St. Louis Southwestern Railway Co® of Texas to
cross South Main Street with a spur track was granted on a motion
by .Alderman Guest and seconded by Alderman Pair®
,Alderman Daniel introduced a resolution and moved its adoptions
Motion was seconded by Alderman Pox® `11oti.on carrying with it the
adoption of the resolution prevailed by the following vote:
AYES® Aldermen Pox, Daniel,0uest,Pair, & Shelto a Mayor Cosnahans
NOES: Aonea
The Resolution as adopted is as follows®
RESOLUTION
BY THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS
CALLING N ELECTION CIT THE PROPOSITION OF THE ISS",
U ANCE OF 150, 000 ®00 SEdER IMPROVEMENT ANIS EXTEN-
SION BONDS; ON THE PROPOSITION Cid' THE ISSUANCE OF
90,000®00 WATER'v'OR.NS IMPROVEMENT AND EXTENSION
REVENUE BONDS
(Said election to be held December 12, 1953) (See ordinance
book for complete copy.)
Meeting Adjourned.
RJ ids , City secretary
Special meeting of the City Council of the City of Grapevine was
held on November 21, 1953
The overhead water storage tank developed leak in the bottom of
the tank and meeting was celled to discuss the,repairs. It was
decided that Term Buddy Allen of Arlington bg contacted to do the
work® Temporaty repairs are to be done at this time.
Meeting adjourned
itye re
Balances, September 30, 1QZ53:
eater Fund 6;837.62
General Fund 961.51
Social Security Fund
212-71
Sinking Fund 12)202.07
Bond Fund 1)647-08
Reserve Fund —3 910-8
Total 4
25;771.83
MMMMUMMIM
%later & Sewer Department
v $ 4,099.25
General City Operations 7,032.65
Service Deposits Placed 87-50
11 21940
Total Credits
36o991-23
Deduct:
Expenses:
INTter8c, Sewer Dept.
2,564.89
General City
1)098.69
Garage
318.15
Interest Costs
2L377-50
Total
6,359.23
CaDital Investments (W. ®)
1)202.67
Withholding Tax & Social Sec.
Pay.
438.73
Service Deposit Refunds
33.50
Total Expenditure
7_034-13
-Less Salary Deductions
155-76
Net Deductions
7j_878-37
Balance, October 31, 1953:
Water Fund
4, Zoo
General Fund
3,531 -
Social Security Fund
122.60
Sinking Fund
15,687.71
Bond Fund
504.08
Reserve Fund
.074®l
Special Fund
482-40
Contract Fund
Total All Funds
__.509_39
$ 29,112.86
"!eater & Sewer Department:
---�Tncome-
Water & Sewer Rents
Connection Charges
Total
Expenses:
Plant
Salaries
Employer's tax
Office
Truck
Pumping
Freight
Repairs
Gen. System
Total
Capital Investment:
Construction
Equipment
Bellaire IBI Construction
Total
Al
61633-49
19?.34
46.90
3,869.25
--130.00
J
32052
19090.15
27.19
2.65
27.43
266.49
11.88
357-52
X61.06
184.80
178-55
E
Building Permits
40-50
Garbage Collections
353-10
Corporation Court
41.00
Misc. General Income
100.00
Total
min-axaNx-Num
,57 65
Expenses:
Administration
-
60.80
Salaries
Employer's Tax
101.25
Office
19-59
Utilities
97-77
General
12-51
167.73
Streets
Police &,-. Traffic
1®
Fire Department
132®8
Total
--.�7-32
4 49099.25
�9
0 29564.89
1
1P202.67