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Zurich Citizens News, 1968-07-11, Page 7THURSDAY, JULY 11, 196$ ZURICH CITIZENS NEWS PAGE SEVEN From My Window (Continued from page 2) him. But I'm enough of a gambler to plaee some trust in the con- clusions of political science stu- dents and others who should be "in the know". They say PET is a genius -and God knows it will take a genius or a spiracle to solve the economic and legis- lative troubles .of the nation. So three cheers for PET. May his decisions be wise, his actions constructive and his viewpoint respected. Who cares ;if he is a flower -child with a yen for speed and girls? TV VIEWS A woman appears on your TV screen daily with a product in her hand and announces that she "gets to clean the toilet bowl today". She makes it sound like it's the most wonder- ful thing in the world. It's everyone's ambition to clean toilet howls. When I first saw this com- mercial it was funny, but when you see it two or three times, the humor is gone. Perhaps it wasn't amusing at all. Perhaps. it was my distorted sense of humor. Is humor being overdone in advertising? This question is being asked in many advertis- ing agencies where this type of commercial is being turned out. One agency head believes ad- vertising stands in danger of fallout from •a humor explosion. Another says: "The joke -type humor is overdone in a hurry. After you've heard it the sec- ond time, it's all over." The opinion of another; "Al- most everybody who's using humor shouldn't 'be. Every bad commercial is one that's over- done." Still all agree that humor, while already a major factor in advertising will grow in impor- tance. Perhaps this doesn't fall un- der the heading of humor, but it is always .amusing when dog food commercials are shown. The family •dog rushes to the dish and after 'two or three gulps, he's finished and the tail is wagging. Do the agency and the manu- facturer of the dog food really think that they are fooling any- one? The dog is starved for two or three days before the com- mercial is made. It's difzicuit to understand how and why millions of dol- lars are spent on the promotion, merchandising and selling of dog food when millions of peo- ple in the world are starving to death. VARNA The Vacation Bible School opened on Monday morning in the United Church with a good attendance. Several local Orangemen at- tended the church parade in Goderich on Sunday last where they walked to North Street United Church headed by the "Young Conquerors Band" of London. The 12th celebration will be held in Stratford on Saturday, July 13, when lodges from Bruce, Huron, Perth and sur- rounding areas will parade. VILLAGE of ZURICH - -AUDITOR'S REPORT The Reeve members of Council and Ratepayers, The Corporation of the Village of Zurich, Zurich, Ontario, Gentlemen: I have audited the accounts and records of the Village of Zurich for the year ended December 31, 1967, and have prepared therefrom the statements listed in the index accompanying this report. The operations for the year resulted in a surplus of $1,384.47, com- pared with a deficit of $527.87 for the year ended December 31, 1966. Presented herewith is a condensed statement of comparative revenue and expenditure for the ,years ended December 31, 1967, 1966 and 1965. REVENUE Year ended December 31 1967 1966 1965 Taxation $44,236.10 $41,513.31 $35,055.94 Long-term debt charges recoverable 1,276.00 1,336,00 1,396.00 Grants - Government of Canada Province of Ontario Other municipalities Licenses and permits Interest and tax penalties _ Other revenue Miscellaneous Surplus from prior years to reduce levy 10,000.00 1,365.75 1,512,51 257.00 246.00 208.00 8,752.56 6,500.32 5,428.61 2,616.33 4,984.99 2,251.85 215.75 194.50 355.50 126.84 159.29 137.48 4,740.13 3,202.41 1,655.20 938.27 165.41 132.85 $73,158.98 $59,667.98 $48,133.94 EXPENDITURES General government $ 5,362.51 $ 4,572.41 $ 4,547.60 Protection to persons and property 5,309.48 7,761.34 5,183.85 Public works 6,545.43 4,259.91 3,664'59 Sanitation and waste removal 148.21 100.50 64.75 ,G,ocial welfare 1,429.41 2,995.92 1,908.60 Education 19,294.08 19,635.03 14,990.02 Recreation and community service 8,802.51 6,951.53 2,409,22 Debenture debt 3,630.00 3,756.00 1,396.00 Interest and other charges 337.11 277.40 110,20 Taxes written off 17.20 10.60 Capital expenditure out of revenue 6,768.39 5,406.44 County rates 10,647.38 9,868.61 8,675.64 Provision for reserve for working funds 3,500.00 $71,774.51 $60,195.85 $48,367.51 Surplus (or deficit) for year ____- $ 1,384.47 $(527.87) ($233.57) The results of the operations of the other Commissions and Boards were as follows: Zurich Hydro -Electric System surplus $8,669.78 Zurich Water Supply System surplus $1,167.63 Zurich Separate School Board surplus $6,480.17 Auditor's Opinion I hereby report that in my opinion: (1) The financial transactions which have come under my notice have been within the powers of the municipality. (2) The audit has been conducted in accordance with the instructions of the Department of Municipal Affairs. (3) The financial statements present fairly the financial position of the municipality as at December 31, 1967, and the results of its operations for the year ended on that date. Date of filing: June 28, 1968. A. M. HARPER, License Number 3461. REVENUE Total Revenue from Taxation (Schell. 3) Long-term Debt Charges Recoverable (Schedule 12) Contributions, Grants and Subsidies Governments: Canada Ontario - Direct Relief Highway Improvement Payments in lieu of municipal taxes Police and Fire Unconditional Per Capita Grants Recreation Capital and Loan Fund Balance Sheet December 31, 1967 ASSETS General. Fixed (as per Schedule 18) $129,675.89 Due from Schools (for Debentures) Public and Continuation ____ $45523.63 Collegiate and High 27,832.00 73,355.63 • Due from Utilities and Other Municipal Enterprises (for Debentures) Water Supply System Accounts Receivable (Schedule 3.7) Due from Other Funds 3,600.00. 2,581.48 5,017.08 $214,230.08 LIABILITIES Debenture Debt Issued and Ummatured Fire Hall $ 19,800.00 Public Utilities and Other Municipal Enterprises Water Supply System 3,600.00 TOTAL Due to Other Municipalities (for Debentures Assumed - Schedule 2) Temporary Loans Accounts Payable (Schedule 17) Investment in Capital Assets Revenue Fund Balance Sheet Cash in Bank December 31, 1967 ASSETS Accounts Receivable Sundry Agreements: Drains $ 584.03 1,788.94 Due from Province of Ontario Due from Other Municipalities Taxes Receivable (Schedule 5) Total Assets LIABILITIES 23,400.00 73,355.63 52,600.00 4,998.56 59,875.89 $214,230.08 $ 5,051.47 2,372.97 1,881.28 86.79 2,094.87 $11,487.38 Accounts Payable $ 617.16 Debentures and Coupon Due -Interest 66.00 Due to Schools 180.50 Due to Other Funds -Capital Funds 5,017.08 Other Liabilities -Deferred Revenue (Schedule 8) 259.07 Reserves (Schedule 8) 3,500.00 Surplus (Form C) 1,847.57 Total Liabilities and Surplus $11,487.38 Revenue Fund Surplus Account December 31, 1967 Debit Credit Balance at beginning of year $10,463.10 Surplus included in Current Budget $10,000.00 Surplus for the year (Form D) 1,384.47 Totals of Debit and Credit columns 10,000.00 11,847.57 Balance of Surplus at year end (Form B) Statement of Revenue and Expenditure $ 831.68 3,107.33 408.30 60.75 3,316.50 1,028.00 Other Municipalities .. Licenses and Permits (include dog tax__ Interest, Tax Penalties, etc. Other Revenues - Rents, Concessions and Franchises ___ Fines Service Charges • Recreation and Community Services__ Miscellaneous Redemption of tax sale property ____ Provision for deferred revenue Gross Total Revenue Surplus from Prior Years used to reduce levy Total Revenue Section _-----------•-----•-•- 325.00 19.67 575.96 3,819.50 608.00 330.27 Actual Budget $44,236.10, $44,132.20 1,276.00 1,276.00 257.00 250.00 EXPENDITURE Executive and Legislative Administrative Other $ 1,533.00 2,585.81 1,243.70 Protection to Persons and Property Fire Law Enforcement Street Lighting Dog Pound 2,146.82 24.00 3,080.66 58.00 General Government: Public Works -Roads, Highways and Streets, etc. Sanitation and Waste Removal Social Welfare (Schedule 10) 8,752.56 9,053.5.0 Child Assistance 2,616,33 2,170.00 Education, including debt charges 215.75 180.00 (Schedule 9) Recreation and Community Services Debt Charges: Long-term debt charges (Schedule 11) 11,181,42 Lessawn share of school debt charges 7,551.42 126.84 200.00 4,740,13 4,260,00 938.217 817.70 63,158.98 62,339.40 10,000.00 10,000.00 $73,158.98 $72,339.40 3,630.00 Short-term interest and other charges... 337.11 Capital Expenditures out of Revenue (Schedule 13) Joint or Special Expenditures County Rates _____ Provision for Allowances, Reserves and Reserve Funds (Soiled. 8 and Form G) Gross Total Expenditure _--- Surplus .--_Surplus for the Year .......__-__..-.-.-_...__ Total Expenditure Section ._ Actual $ 65,362.51 Balance 463.10 $1,847.57 Budget $ 5,300.00 5,309.48 5,080.00 6,545.43 7,700.00 148.21 200.00 1,429.41 1,500.00 19,294.08 19,335.40 8,802,51 13,724.00 3,967.11 4,630.00 6,768.39 723.00 10,647.38 10,647.00 3,500.00 3,500.00 $71,77151 $72,339.40 1,384.47 $73,158.98 $72,339.40 ZURICH HYDRO-RLECT"wIC SYSTEM Ralance Sheet December 31, 1967 ASSETS Current Cash $ 12,175.51 Accounts Receivable $ 337,83 Less Allowance for doubtful accounts_.. 5,50 Total Current Assets Capital Plant and Equipment $16,156.25 Transmission and Distribution System 72,361.10 88,517.35 Less Accumulated Depreciation 12,138.16 Equity in Hydro -Electric Power Commission of Ontario Total Assets LIABILITIES 332.33 12,507.84 76,379.19 73,005,67 $161,892,70 Current Accounts Payable $ 188.76 Customers' Deposits 330.00 Total Current Lialibities 618,76 Capital Reserve for Equity in Hydro -Electric Power Commission of Ontario 73,005.67 Surplus Capital Earned $ 5,591.61 82,776.66 88,368.27 Total Liabilities and Surplus $161,892.70 Earned Surplus Account December 31, 1967 Debit Credit Balance Balance at January 31, 1967 ___ $74,169.43 Adjustment of Billings $62.55 Balance after Adjustments 74,106.88 Surplus for the year 8,669.78 Totals of Debit and Credit Cols. 62.55 82,839.21 Balance of Surplus or Deficit at December 31, 1967 $82,776.66 Statement of Revenue and Expenditure For the year ended December 31, 1967 REVENUE Sale of Electrical Energy: • Residential Sales $23,740.68 Commercial Sales 12,042.32 Industrial Sales 2,769.96 Sales to Own Municipality: Street Lighting 3,080.66 Miscellaneous Revenue: Interest Revenue 323.16 Total Revenue Section $41,956.78 EXPENDITURE Administration and General $ 3,091.12 Customers' Billing and Collecting 1,760.01 Electrical Energy Purchased 22,022.66 Transmission and Transformation: Operation 53.63 Distribution: Operation 3,519.18 Street Lighting: Operation 674.40 Depreciation 2,166.00 Total Expenditure $33,287.00 Surplus for year carried forward to Surplus Account 8,669.78 Total Expenditure Section $41,956.78 ZURICH WATER SUPPLY SYSTEM Balance Sheet December 31, 1967 ASSETS Current Cash $ 4,386.31 Accounts Receivable 11,00 Total Current Assets 4,397,31 Capital Lands $ . 800.00 Buildings 3,194.59 Plant and Equipment 23,758.88 Transmission and Distribution System. 18,165.55 Less Accumulated Depreciation Total Assets $40,633.65 Earned Surplus Account December 31, 1967 LIABILITIES 45,919.02 9,682.68 36,236.34 Current Accounts Payable $ 81.66 Customers' Deposits 14.00 Total Current Liabilities 95.66 Capital Debenture Debt: Due to Capital and Loan Fund (General Section) Net 3,600.00 Surplus Capital $ 8,000.00 Earned 28,937.99 36,937.99 Total Liabilities and Surplus $40,633.65 December 31, 1967 Balance at January 31, 1967 $27,770.36 Surplus for the year 1,167.63 Balance of Surplus at December 31, 1967 $28,937.99 Statement of Revenue and Expenditure For the year ended December 31, 1967 REVENUE Sale of Water: Residential, Commercial, Industrial ___ $6,262.31 Hydrant Rental 275.00 Other 6.00 Miscellaneous Revenue: Connections and Service Charges 120.00 Bank Interest 65.46 Miscellaneous 36,72 $6,543.31 222.18 Total Revenue Section $6,765.49 EXPENDITURE Administration and General $2,039.76 Power and, Pumping: Operation 938.30 Transmission and Distribution: Operation 354.87 Other: Interest and Bank Charges 86.35 Provision for Depreciation 902.38 Debt Charges (Schedule P -3A) -- 1,276.00 Total Expenditure 5,597.86 Surplus for year 1,167.63 Total Expenditure Section ... _w., $6,765.46