Annual Report, Volume 87Printed at the Republican office, 1941 |
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Página 140
... bills issued on insurance premiums Current school tax bills issued against rail- roads and utilities .. Less amount of commissions on current bills retained by City Collector .... $ 8,256,482.88 12,065.38 528,095.38 $ 8,796,643.64 ...
... bills issued on insurance premiums Current school tax bills issued against rail- roads and utilities .. Less amount of commissions on current bills retained by City Collector .... $ 8,256,482.88 12,065.38 528,095.38 $ 8,796,643.64 ...
Página 145
... Bills . Miscellaneous Bills $ 8,969,228.48 90,260.52 11.25 $ 9,059,500.25 Cash Incomes- Merchants ' and Manufacturing Taxes .. State and Federal Aids .... Interest Income .... Tuition , Registration Fees and Sundry Items . Profits on ...
... Bills . Miscellaneous Bills $ 8,969,228.48 90,260.52 11.25 $ 9,059,500.25 Cash Incomes- Merchants ' and Manufacturing Taxes .. State and Federal Aids .... Interest Income .... Tuition , Registration Fees and Sundry Items . Profits on ...
Página 154
... Bills charged during the Year .. Adult Education Deposit Fund- Balances of Unclaimed Deposit of current year ... Bills charged to Secretary and Treasurer . 1,240.96 5,431.65 Miscellaneous Bills cancelled ... 123.98 $ 5,555.63 Balances ...
... Bills charged during the Year .. Adult Education Deposit Fund- Balances of Unclaimed Deposit of current year ... Bills charged to Secretary and Treasurer . 1,240.96 5,431.65 Miscellaneous Bills cancelled ... 123.98 $ 5,555.63 Balances ...
Conteúdo
Annual Report of the President | 9 |
Annual Report of the Superintendent of Instruction | 15 |
Annual Report of the Secretary and Treasurer | 81 |
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activities Administration Advance Amount Appointed Arts Assets Attendance Auxiliary Average Balance Bills Board Board of Education Bonds Building Cash Centers Charges Children City Class Class Rooms Clerks Colored Company Construction Contract Cost Current Custodians Daily Defects Department deposit Direct Distribution Division Education Electric Elementary Schools ENDING ENROLLMENT Equipment Expenditures Expenses Field FISCAL Fixed Fund Furniture Grade Grade Grade Grand Hadley half Heating Heating & Ventilating High School Improvements included Income Instructional Insurance July June 30 Less Library Light Louis Maintenance Materials Mechanics Miscellaneous Music Number Office Open Air Operating Outlays Payments Permanent Fund Playground Plumbing Power Principals Printing Project Property Public School Pupil purchased Real Receipts Receivable Refund Regular Repairs Salaries Sales School Lunch Room Second Services Sewering Special School Statement Stocks Summer Sundry Superintendent Supplies Surplus Table Teachers Teachers College Telephone Term Text Books Total Training Transfer Transportation treasury Value Vocational Warehouse Water White