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Claim No. 431 - -Shell Oil Company, gasoline $33.00 <br />432 -- Kaiser Paving Company, gravel 5.55 <br />433- -State Compensation Insurance Fund, insurance 331.81 <br />434 -- Justinian Caire Co., supplies 2.25 <br />435 -- California Pottery Co:, supplies 13.95 <br />436 -- Pacific Indemnity Company, insurance 332.13 <br />These Claims were referred to the finance committee for audit and report. <br />The Clerk then read the following repo,As of the municipal officers: <br />Water Department : -- Showing that water had been turned on at 5 places and off at <br />6 places. Compl6ted new outfall sewer line and other work with SERA labor. <br />Repaired 6 meters. The report showed that there were 416 taps in Town and <br />37 outside of town. Also that there were 485 services in town (On 423, Off 62) <br />and 45 services outside of town (On 41, Off 4), total number of services 530. <br />The report showed the expenses of the department being 4374.04 and the income <br />$735.10, leaving a total over and above expenses of 0361.06. The total number <br />of gallons of water pumped at Pump #1 was 3,192,00 and 180,00'0 gallons of water <br />pumped at Pump #2. Total hours pumping. at Pump #1, 102-- hours and 6 hours at <br />Pump #2. Report also showed that two water deposits had been collected aril' <br />1 deposit returned. The report also showed that 1_,502,000 gallons of water <br />was pumped from the Pleasanton Water District. <br />Town Clerk: -- Showing that he had delivered to the marshal 429 water bills for <br />collection amounting to $1011.45. Report showed that the Treasurer had on <br />handd er last report $10 297.78 and since the following collections had been <br />P p' + <br />made: Licenses from Marshal $152.00, Taxes from Marshal 0128.31, Water bills <br />from Marshal $725.10, Milk Inspection fees from Marshal 429.53, Fees from <br />Recorder's Court $35.00; 'From Town Clerk: Personal Property Taxes $55.67, <br />41.00 <br />Rent - Women's Improvement Club , refund - Taxes State of California <br />182.61, total 11,607.00, less amount of warrants issued March 4. 1935, <br />2026.33 leaving cash balance in the hands of the Treasurer of $9580.67. <br />This was divided as follows: General Fund $6634.17, Water Dond Fund 6553.70, <br />City Hall Bond Fund $8.85, 1929 Municipal Improvment Bond fund §1169.63, <br />Municipal Improvement Pond Fund $1214.32. Water Deposit Fund $52.50 (not <br />included in the above $9580.67. <br />Su erintendent of Streets: -- Showing that work on the streets had amounted to <br />§87.38 during the month of March, 1935. <br />Town Marshal: -- Showing that he had received water bills from the Clerk amounting <br />o 41011.45 • that he collected water bills amounting to $725.10 and returned <br />water bills amounting to 4286.35. He collected licenses amounting to $152.00 <br />as follows: 11 licenses Q $1,2.00 -- x`'132.00, 1 License ® $20.00 -- $20.00. Also <br />Milk Inspection Fess'amounting to 29.53 and Taxes amounting to $12:8.31. <br />Treasurer: -- Showing that the Water Deposit Fund had $50.00 per last report and <br />that X5.00 had been collected during the month making a total of $55.00, less <br />%2.50 paid out, leaving $52.50 in the eater Deposit Fund. The Treasurer had <br />10,297.78 der last report and since then $1,309.22 had been collected making <br />a total of 411,607.00, less amount of warrants issued $2,026.33, leaving a <br />cash balance in the hands of the Treasurer of $9,580.67 <br />City Judge: -- Report showed that $35.00 had been collected during the month <br />of March, 1935. <br />Health Officer: -- Showing activities during the month of March, 1935. <br />one <br />Building Inspector : -- Showing thatlelectrical permit and one building permit <br />had been granted during March, 1935. <br />Milk Inspector: -- Showing Laboratory Analyses of Milk Samples for March, 1935. <br />The <br />reports were referred to <br />the <br />finance committee for examination and report. <br />The <br />following communications <br />were <br />then read: <br />March 9th: -- Western Pacific Railroad Company, relative to information regarding <br />tile drain pursuant to the preparation of the description for the <br />,�; license to be issued. <br />�' March 9th:-- C.A.Gale, concerning bonds for Thomas H. Silver, Town Treasurer, <br />and Ernest W. Schween, Town Clerk, both of which expire April 18th. <br />March 11th: -- Burnett Hamilton, County Engineer, advising that grass in the <br />vicinity of the sewer farm will be cut and not burned as in the <br />past. <br />March 12th: -- Division of Highways, relative to the one - fourth cent gas tax <br />allocation for the nex biennium beginning July 1, 1935 and ending <br />June 30, 1937 and amounting to $1,670900 and enclosing new <br />project statement to be submitted. <br />March 16th:-- C.A.Gale, concerning insurance expiring April 2nd covering auto- <br />mobile policy on Fordson tractor and general Public Liability <br />policy. <br />March 16th: - -State Compensation Insurance .Fund, relative to renewing compen- <br />sation policy expiring March 24th. <br />