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OCT 1933 TO MAY 1946
City of Pleasanton
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CITY CLERK
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MINUTES
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DEC 1923 TO MAY 1954
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OCT 1933 TO MAY 1946
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CITY CLERK
CITY CLERK - TYPE
MINUTES
DOCUMENT DATE
10/2/1933
NOTES
PAGES 317 AND 553 ARE BLANK PAGES BUT NUMBERED
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The Clerk then presented the following reports of the, municipal. officers: , <br />Mater Department: -- Showing that water had been turned on at 4 places and off at 7 places. <br />Planted trees at sewer farm and burned out ponds at sewer farm. the report showed that there <br />were 427 taps in town and 38 outside of town. There,w6re 499 services in town (On 459, Off <br />40) and 42 services outside of town.(On,38, Off 4), total number.of.services 541. The <br />income from the department amounted to $786.15 and the expenses $334.811 leaving a total <br />over and above expenses of $451.344. Total hours pumping 102--, total gallons water pumped' <br />3,ioo,000. <br />Town Clerk: -- Showing that he had delivered 70 licenses for collection, to the Marshal, <br />amounting to $1452.00 and 464 water bills amounting to $1000:75. The balance-cash on <br />hand per last report $12570.399 amounts since collected: Licenses from Marshal $620.00, <br />Taxes from Marshal $62..31, interest First National Bank of Pleasanton $3.75, water <br />bills from Marshal $791.25, milk inspection-fees from Marshal $34:50, fees from Recorder• s <br />Court $10.00. From Town Clerk: Personal property taxes $2.109 Special:- woman's Improve- <br />ment'Club for trees $20.00, Castlewood Club for supplies $7.66, State Compensation <br />Insurance Fund , rebate $94.51, making'a total of $149,416.47, leas warrants issued <br />January 3 and 25th $1,582.33, leaving a cash balance in the hands of the treasurer of <br />$12t834.14. The balance was divided as follows: General Fund $9951 ;08, water bond <br />Fund $545.82, City Hall Bond Fund $13.47, 1929 Municipal Improvement J3ond fund $1396.44, <br />Municipal Improvement Bond Fund $927.32. <br />Su erintendent,of Streets: - -The report showed that work on the streets for the month <br />of January amounted to 53.50. The expenses of the department for the month amounted <br />to $86.73. <br />Town Marshal: -- Showing that he received 464 water bills from the Clerk amounting to <br />1000.75. He collected water bills amounting to $791.25 and returned water bills <br />amounting to 209.50. He also collected licenses amounting to $$2'0.00 as follows: <br />3 licenses @'412.00 -- $36.00, 19 licenses (" °$16.00 -- $304:009 1 license 9 $20.00 - $20.00, <br />1 license U $60.00 -- $60.00 and 4 licenses 9- $100.00 - $400.00.. He*also. collected <br />milk inspection fees amounting to $34.50 and taxes amounting to $62.31. <br />Treasurer: - -The water Deposit Fund had $102.00 on'hand per last report and since then <br />2.50 had been collected making a total of $104.50, less $5.00 paid out, leaving $99.50 <br />in the Pater Deposit Fund. There was $15.99 in the dater Surplus Fund. There was <br />$151.97 in the Curb and Gutter"Proj ect Fund. The General Fund had $12,570.39 on hand <br />per last report and sincethen $19t46:o&, had been collected, less $1582.33 paid out <br />leaving $12,834.14 on hand in the General Fund. <br />City Judge : - The report showed that $10.00 had been collected during the month of <br />January. <br />Fire Chief:-- Shvwi.ng report of activites of the department for the month of January. <br />Health Officer: -- Showing report of activities for the months of December and January. <br />Milk Inspector:- Showing laboratory report on milk samples for the month of January. <br />Ashton'Britten: -- Showing laboratory report of work done at sewer farm during the <br />month of January. <br />The reports were referred to the finance committee for audit and report. <br />No communication s, were received during the month. <br />A recess followed during which the finance committee examined Claims No. 285 to <br />385 inclusive and amounting to $812.34. After the meeting had been called to order <br />again, Councilman Rivolta of the finance committee reported that the committee had <br />examined and approved the. claims and made a motion to the affect that they be paid. <br />His motion was seconded by Councilman Amaral. Councilman Rkvolta, Amaral, Trimingham <br />and Orloff voted that all of the claims be paid and Councilman YGadsen voted that all <br />claims be paid except Claim No. 295 (Hedberg) and Claim 297 (Hansen) on.which he voted <br />No. Councilman Rivolta reported that the officers monthly reports were accepted and <br />he moved that they be placed on file. There were no objections to same. <br />Councilman Madsen of the Public Utilities Committee reported that during the month <br />70 oleander trees had been set out at the sewer farm. He stated that the variety <br />selected should do well and at the same time make an attractive appearance at the sewer <br />farm. <br />Councilman Amaral of the Laws and Judiciary Committee reported that an oil heater <br />had been installed at the jail during the past month and that same was working out <br />.satisfactorily. He stated further that a new heater had been needed for sometime and <br />t4at it became imperative that one be secured and accordingly arrangements had been <br />made with-Mr. R... A. Hansen to take care of the work. ter. Amaral also- drew attention <br />to corresponding with the County Engineer concerning.the bridge on lower Division Street. <br />He reported that in recent conversation with 111r. Mancini". '.of hayward, that 1dr. Mancini <br />had asked him to report to the Council that he had lately spoken with Mr. Mattos of <br />the Dtuision of Highways concerning funds to be allocated,by the State for street <br />improvements in Pleasanton and that at an early date a report would be sutimit.ted. <br />Councilman Trimingham of the Street and Building Committee reported that .a request <br />had come from Mrs. Marie Kohler Bieri with reference to topping the locust trees in <br />the vicinity of her property on St. Tiohn's Street. Mr. 'Trimingham took the matter <br />up with Mr. Rodrigues who recommended that the trees were in unsafe condition and should <br />be removed. Mr. Trimingham reported that,Vrs. Bieri was willing to remove the trees <br />4MA Plant new ones if the necessary permission was granted. the Council expressed <br />fi'ue .'vv.11ingness to permit these trees to be taken out providing they were replaced <br />with new trees. Mr. Trimingham also reported that a request had been received with <br />reference to removing walnut trees from in front of the Andrade property on the <br />Spring Street Lane. He further reported that an inspection of these trees disclosed <br />
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