Page 10 — SUSQUEHANNA BULLETIN DINNER DANCE SATURDAY, MARCH 15 Buffet Served - 7:00 to 10:00 p.m. Dance to music by ZIMMY SCHMIDT'S GERMAN BAND and BOB GIVENS at the organ $800 per person by Reservation Only call 367-2432 The Garpenter’s Inn 26-32 S. MARKET ST., ELIZABETHTOWN, PA. Parking in Rear So real Danish Smargashord RRA March 12, 1975 AAA Ris duringour Spring Clearance Sale - SPANGLER APPLIANCE & SOUND | "Service and Integrity Are Our Most Important Products” '¢ 30-36 W. MARKET ST., MARIETTA TEL. 426-3122 OPEN FRIDAY TIL 8:30 P.M. You won't believe these low, low prices Nationwide Insurance offers marrieds a break on their auto insurance. If you are young and married, Nationwide may be able to save you money on your auto insurance. Call your local Nationwide agent today to see if you qualify. Quasar TV's | Apartment For Rent FIGHT INFLATION NOW! REFUSE HIGH RENTS! See Mr. Leaman for lovely apartments at sensible rates 210 East Main Street Mount Joy K.ow Your Pharmacist He'd like to help you discover the ways in which he can help. Like being on 24-hour call, and offering a discount on prescriptions for senior citizens. SLOAN’S PHARMACY 61 E. Main St., Mount Joy, Pa. PLENTY OF FREE Br = WR NNN NAAN FINANCIAL REPORT BOROUGH OF MOUNT JOY, PENNSYLVANIA YEAR ENDED DECEMBER 31, 1974 GENERAL FUND Bank Balance January 1, 1974 Cash $ 29,164.53 . Certificate of Deposit -0- TOTAL $ 29,164.63 RECEIPTS Taxes Real Estate . $83,843.07 Per Capita 14,567.30 Occupational Privi- lege. x. 25,198.68 Earned Income 53,509.84 Total Taxes ... .. one eiinin sii $177,118.89 Miscellaneous Receipts Licenses & Permits 3,586.50 Fines & Violations 5,880.00 Interests & Rents’ 4,104.01 Grants & Gifts 6,854.35 Department Earnings 33,854.24 Miscellaneous Receipts Receipts . .. .. 20,217.06 Total Non-Revenue Receipts 74,496.16 TOTAL RECEIPTS . ......... lc... 251,615.05 TOTAL RECEIPTS & BALANCE. . .. . ... 280,779.68 EXPENDITURES General Government Administration 53,111.10 Tax Collection 3,350.50 Municipal Buildings 5,741.37 Total General Government ......... 62,202.97 Protection to Persons & Property Police Protection. . 68,951.08 Fire Protection . 17,067.36 Planning & Zoning 220.00 Total Protection to Persons & Property 86,238.44 Health & Santation Board of Health . . . 264.25 Refuse & Rubbish Collection ev + 35,954.13 Total Health & Sanitation ........... 36,218.38 Highways Streets, Drains, Bridges 35,470.19 Street Lighting 20,208.26 Wotsi Highways... ............... 55,678.45 Library & Parks Library ..... ... 2,000.00 Parks & Recreation . 3,651.50 Total Parks & Recreation & Library ..... 5,651.50 Miscellaneous, FICA, Pensions, Insurance, etc. 14,436.75 TOTAL EXPENDITURES ......... 260,426.49 Cash on Hand January 1, 1975 . . . 20,353.19 Tot BANC oi. vdviviniviain sic «in 20,353.19 TOTAL EXPENDITURES & BALANCE. . . 280,779.68 HIGHWAY-AID FUND (PA Liquid Fuels Tax Distrib.) Bank Balance January 1,1974 ........ $ 8,617.42 RECEIPTS State Grant. . ..... .. 28,322.74 Interest Earned . . 1,550.08 Total Receipts . ......... es ea, 29,872.82 TOTAL RECEIPTS AND BALANCE 38,490.24 EXPENDITURES Street Construction . . 31,217.40 Storm Sewers 7,271.84 Balance on Hand January 1, 1975 . . 1.00 TOTAL EXPENDITURES & BALANCE. 38,490.24 NARNIA IN NNN Balance January 1, 1974 Bank Balance January 1,1974 ........ $ 5,492.25 RECEIPTS Commonwealth of Pennsylvania . . . 8,370.37 Employees Contribution 2,076.66 Certificates of Deposit Interest... .. .. 615.24 Hotal.Recalpts: ...... ...u dus visa 11,062.27 TOTAL RECEIPTS& BALANCE ..... 16,554.52 EXPENDITURES Premiums on Life Insurance... . .... 771.81 Refunds to Employees . 2,529.23 Total Expenditures... +. . - vv vv vin vs os 3,301.04 Balance on Hand January 1,1975 ..... 353.48 Investments Held January 1,1975 ..... 12,900.00 TOTAL EXPENDITURES & BALANCE... 16,554.52 SPECIAL ACCOUNTS ANNIE S. LYTLE — FUEL FUND Balance January 1, 1974 1,512.45 Interest Earned ..... 99.36 Total Receipts & Balance . . .. . +... ... 1,611.81 Total Expenditures -0- TOTAL FUND VALUE January 1, 1975 1,611.81 MARY W. PATTERSON — FUEL FUND JACK TYNDALL Nationwide Mutual Insurance Company POLICE PENSION FUND 805 Church Street Mount Joy, Pa. PHONE 653-5970 NATIONWIDE INSURANCE ® Nationwide is on your side Home Office: Columbus, Ohio Balance January 1, 1974 3,878.14 Interest Earned . . . .. 204.53 Total Receiptsand Balance ......... 4,082.67 Total Expenditures «+ 0- TOTAL FUND VALUE January 1,1975 . 4,082.67 ADELAIDE S. STRICKLER — FUEL FUND 2,695.01 Interest Earned . . . . .. 180.84 Total Receipts & Balance ........... 2,875.85 Total Expenditures -0- TOTAL FUND VALUE January 1, 1975 2,875.85 ASSESSED VALUATION OF THE BOROUGH FOR 19724 . .............. $6,138.470.00 FEDERAL REVENUE SHARING FUND EXPENDITURES Bank Balance as of January 1, 1974 - Cash . 26,766.93 RECEIPTS U.S. Depart. of Trea- Sry... ...... 32,074.00 Certificates of Deposit interest. ..... 1,786.71 Transfer from General > Fund... ...... .. 4,018.10 Total Receipts: =. «col viii 37,878.81 TOTAL RECEIPTS & BALANCE ..... 64,645.74 Equipment, Transfers, Drain & Storm SewerPipe ........:i....30is 48,090.24 Bank Balance as of December 31,1974 ..... 16,555.50 TOTAL EXPENDITURES & BALANCE. . . 64,645.74 CERTIFICATION To The Borough of Mount Joy: We, the undersigned Auditors of the Borough of Mount Joy do hereby certify and do say that the foregoing report has been prepared from the original books, papers, and records of said municipal corporation, and that we have carefully examined the same and declare the same to be a complete and correct statement of the financial transactions and con- dition of said municipal corporation in respect to each and every matter therein set forth to the best of our knowledge, information and belief. Audit Completed: Feb. 26, 1975 Arthur Sprecher Elmer S. Forwood Barry Etsell
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