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Estimated Revenue: <br /> Surplus, Cash Balance 6-30-45 15,354.0£ <br /> Fines & Forfeitures 8,000.0C <br /> Poll Tax 5,250.0C <br /> Dog Tax l, 500.0¢ <br /> Intangible Tax from State 2,700.0£ <br /> Gncollected Taxes prior years 2,000.0C <br /> 1945 taxes $57,000,000 Val ~ .0750 42,750.0¢ <br /> Total $ 77,554-0¢ <br /> Capital Outlay <br /> New Buildings & Grounds: <br /> New Buildings 51,000.00 <br /> Winecoff Cafeter ia 15,O00. O0 <br /> Mt. Plmasant " 5,000.00 <br /> <br /> Equipment,Heat Light & Plumbing. lO.15Q.O0 81,150.0C <br /> ~ld Buildings & Grourzls: <br /> <br /> Sides & Improvements of Grounds 640.00 <br /> · ~lterations & ~dditions 3,750.00 <br /> Equ ipment & In st. Appra tus _4.2 50. O0 8,640 · O0 <br /> Books New~ Library 2,500. O0 <br /> Garage Building & ~mi~qulpment 100.00 2,600.00 <br /> Total $92,390. O0 <br /> ~na~ter District (Concord) <br /> Old Buildings & Grounds <br /> <br /> Equipment Heat,Light & <br /> ~ lumbi ng, White l, 500 · O0 <br /> ~q~ipment Furnitur~ & Inst <br /> App W & C 1,500.00 <br /> Library Books New,White <br /> & Col 1.4oo.o0 4,4oo. oc <br /> <br /> Chater District (Kan~apolis) <br /> <br /> Old Buildings & Grounds <br /> <br /> E.~uipment ,Heat.Light & <br /> Plumbtng 600.00 <br /> " Furniture & Inst.App 3,200.00 <br /> <br /> Books, New Library 600. O0 4,400 · 0¢ <br /> Unexpended tklance 19~!~-45 1.O00.OC <br /> <br /> .. ~ot al $102,190. OC <br /> -' ~ax Discounts 550. O0 <br /> ~ncollo ct ed taxes 6-.~0-46 2,28.0.00 2. 850. OC <br />. ~otal $105,020. OC <br /> Estimated Reve~ue: <br /> Surplus, Cash,~lance 6-30-45 4,820.00 <br /> Intangible Tax from State 1,400.00 <br />~-~ Proceeds from sale of Bonds 55,000.00 <br /> State Loan Literary Fund 20,000.00 <br /> <br /> <br />