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  • Record ID: 7
  • Name: Controller/Special Funds/Cash Balance
  • Date: 1906 - 1915
  • Quantity: 1
  • Condition: Poor
  • Arranged: Chron
  • Description: Text notes revenue either from or for street paving, water drinking fund, sewer assessment fund, curbing, reconstruction of Mulberry Street bridge loan, improvements and extension to sewer drainage system. General city fund includes revenue for licenses, fines and forfeitures, repair to sidewalks and dog licenses. Expenditures include salaries, repairs, office supplies, street sweeping, rents, and repairs to streets, sewers, steps, and bridges.
  • Group(s): City Controller