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HomeMy WebLinkAboutGrand Bend Holiday, 1964-07-31, Page 4SUNDAY TRAFFIC RUSHES BY 70 FEET AWAY FRIEND SQUIRREL (ARROW) EYES A BARREL OF GARBAGE OUTSIDE HOLIDAY OFFICE SQUIRREL DOESN'T SEEM TO MIND AT ALL HE HEARS THE CAMERA SHUTTER CLICK SHOULD HE TURN TAIL AND SCURRY HOME? THE GARBAGE IS JUST TOO DELICIOUS Statement of Revenue and Expenditure Revenue Total Revenue from Taxation (Schedule 3) Long -Term Debt Charges Recoverable (Schedule 12) Contributions, Grants and Subsidies Governments: Canada Ontario — Children's Protection 132.56 Direct Relief . . 285.30 Highway Improvement 7,653.90 Payments in lieu of municipal taxes 43662 Police and Fire 163.25 Share of Liquor License Fees 1,086.63 Unconditional Per Capita Grants 2,784.00 Other Municipalities County of Lambton Roads Bosanquet ............... Licenses and Permits (include dog tax) Interest, Tax Penalties, etc. Other Revenues — Fines .................. . Miscellaneous (specify) Rebate on High School Grant .. . Tax Certificate . . Sand Removal . . Provision for Deferred Revenue Gross Total Revenue 7,249.05 300.00 1,995.61 98.42 7.00 53.00 324.57 Surplus from Prior Years used to reduce levy Deficit for the Year Total Revenue Section Page 4 Grand Bend Holiday, July 31, 1964 Actual 102,214.14 8,015.62 12,542.26 7,549.05 1,539.25 1,570.37 1,995.61 For the year ended December 31, 1963 Budget 96,820.00 8,015.62 6,700.00 3,900.00 1,500.00 900.00 482.99 135,909.29 117,835.62 135,909.29 117,835.62 EXPENDITURES General Government Executive and Legislative Administrative ........ ... Other ....... .. Protection to Persons and Property Fire ................... Police ..... ........... Law Enforcement Street Lighting . . . . . 0 .... . . Ausable River Authority Levy . . 2,008.15 6,071.06 1,310.19 136.27 10,134.27 185.00 5,10585 1,034.51 Public Works — Roads, Highways and Streets etc. Conservation of Health ....... . Social Welfare (Schedule 10) Relief Assistance ......... Education, including debt charges (Schedule 9) Recreation and Community Services Debt Charges Long-term debt charges (Schedule 11) 23,979.89 Less own share of school debt charges 15,964.27 Short-term interest and other charges Discount for Taxes Taxes Written off Joint or Special Expenditures County Rates Surplus for the Year Total Expenditure Section ..... . 8,015.62 1,275.43 Actual 9,389.40 Budget 9,450.00 16,595.90 15,284.00 24,142.09 10,200.00 273.00 200.00 1,040.46 750.00 45,145.40 45,145.40 1,680.17 3,950.00 9,291.05 8,015.62 973.24 149.98 24,873.87 24,840.60 133,554.56 117,835.62 2,354.73 135,909.29 117,835.62