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Financial information

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Material Information

Title:
Financial information
Physical Description:
12 p. : ;
Language:
English
Creator:
United States -- Work Projects Administration
United States -- Work Projects Administration (Fla.)
Publisher:
Work Projects Administration
Work Projects Administration in Florida
Place of Publication:
Washington, D.C
Jacksonville, Fla
Publication Date:

Notes

Summary:
Statistical material and memoranda regarding financing of WPA projects and government expenditures. The statistics cover the years 1940-1942.
General Note:
Title supplied by catlaoger.

Record Information

Source Institution:
University of South Florida Library
Holding Location:
University of South Florida
Rights Management:
All applicable rights reserved by the source institution and holding location.
Resource Identifier:
usfldc doi - W27-00106
usfldc handle - w27.106
System ID:
SFS0021825:00001


This item is only available as the following downloads:


Full Text
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[Financial information].
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[Washington, D.C. :
b Work Projects Administration ;
Jacksonville, Fla. :
Work Projects Administration in Florida,
c 1943].
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12 p.
500
Title supplied by catlaoger.
505
[Assessed valuation of taxable property and funds available for operating costs in various Florida counties] -- [Cash receipts and disbursements] -- War public services letter no. 7 : Eligibility of projects ; operation of facilities -- [Memo to area supervisors and program supervisors] -- [Letter to state administrator from regional finance examiner] -- Estimated federal expenditures [in various Florida cities] -- [Memo to regional directors on eligibility of projects : recreation facilities].
520
Statistical material and memoranda regarding financing of WPA projects and government expenditures. The statistics cover the years 1940-1942.
1 610
United States.
Work Projects Administration (Fla.)
710
United States.
Work Projects Administration.
United States.
Work Projects Administration (Fla.)
773
t Tampa WPA Office Papers.
4 856
u http://digital.lib.usf.edu/?w27.106



PAGE 1

Pi nella Co n 1 9 9-1 941)40-191 19hl-1942 ed val t i on of tax 1 5 ,983, 737 17,0 6 ,179. 126,7 1,335 ll},962,li-4. dl' ";ail blo or o or ti oa !' 1 ln G n r l Fund 23 .455 252.374.76 212,668.19 1 ,Z"{6.6l

PAGE 2

a 1 40-1 41 UU-1 4 1 able 1 ,07'1, 70 1 ,81 860 ss,oo ,270. 68, a. 1 tor o rat COlt I al ral .oo 1 o ,ooo.oo 22 ,587. 0 ol C t7 1. a At -n.l ot ro rty 2 145,1 21, 419 ,64 0 t 7 04 .oo 1 10 !2.96 77 ,415 7 001& c ty ... 1 9 9 1 1 ,217, 313. 2 329 000 2 ,27 49. .,. t1 Oltl 21, e a .?o 7 7 I 2 ea1 1 ol lia Co ty 1 taxa le pro 11, 8 746 3 28 820 4 4 073 a. J" 0 eta I 161, 775 11 149, 83. 10 211, 879.2 aylor Co t,. 1, ta ... t1o ot axab1e 1 76 ,ea l 3S, 6 2 4,463,880. 4 2 o, 1 ble tor opt a tin 001t1 era1 da 17, 7.20 18 389 .90 2S,U0.07 27, 60.71 1. ax ta Lake ty e,aoo,ooo 7 0 800 2 ,98 o 20, 897 7 rat g 001t1 72, 0 }8 1 a 1, Ol .U -DuTal Co ty 50 ,03 ,228. 20 61, 81. 00 203,99 oot 459,578 .62

PAGE 4

l) The cash receipts and disburse enta for the past three yeara, the current budget exponaea and estimated rjyenue of the City, are aa toll owe t CITY OF --------------------------Ct'RRE1 'f FISCAL YRAR FISCAL YnAR FISCAL YEAR RECEIPTS JlUDGET AUG.31,194l AUG. 51,1940 Water Servioe Revenues 156,000.00 tl68,S71.62 #169,266.16 tH6,733.09 BeTenues 90,000.00 162,29&.52 161,588.92 136,616.39 Lie Aueu ent1 -o63,709.78 38,159.22 Dept. Expense Credits 9,830.941 7,918.61 8,874,32 ater Exteuaion Deposita 1,297,90 8,938.10 3,862.49 Sundry Receivable 8417.4:0 1,4:38.78 3,199.4:2 Taxes and Certifio tu 356,000.00 318,663.741 276,463.1& 181,121.02 TOTAL R CEIPTS 16oo,ooo.oo t601, 511.62 M8,!43.69 1618,526.95 Fund Rranafera 21,903.00 42,964.61 -oCash Balance Sept.l 4.5,879.67 29,643.11 21,930.72 t729,293.69 750,941.41 i640,456.67 Operating Payrolls 1268,204.83 249,016.72 212,628.71 Operating .xpenaes 220,707.00 260,835.30 224,439.32 192,949.19 Equipment 20.000.00 14,688.66 16,073.23 12,252.65 Dept. Reenue Chargee 1,804.17 746.86 1,807.47 Sewer Refunds l#M7.08 8,113.28 -oWater Exten. Refunds 1,097.20 -011,683.84 Sundry cota. Rec. 671.51 554.66 620.15 Aocta. ayable 2,400.00 4,110.04 1,451.22 4,017.66 Tax Sale Advertising 1,032.75 6,781.30 -oTax Refunds 802,08 536.13 1,316.79 A Improvements 19,166.69 2,062.49 176.02 Aaaeaa. Contractor 3,138.63 44,296.78 36,448.66 Capital Improvements $1,683.90 10,818.38 67,923.04 16,182.93 Contract Notes & Int. 6#900.00 19,998.20 28,250.92 8,420.00 ReT. Bonde & Int. 54,960,00 7.60 -o13,510.60 tsoo,ooo.oo $607,722 .92 $669,244.24 $516,813.66 Fund Tranatera 41,403.00 35,817.50 -0-Cash Balance Auguat 31 80,167.77 45,879.67 29,643.11 '29,293.69 t156,941l.4l 1540,456.67 2) The aaaeasd v luation of taxable property for 1943, and millage rate, ia as !'Gllcnrat Total Valuation of Taxable Property t34,82l,263.00 !om.atead ption 7,989,210.00 Total Valuation for Operating Rax 26,832,063.00 illa,e Rate for l943r Debt Service -8 mills Operating 14 milla Total -U milt. (Above ite 1 represent n inoreaae oTer previous years.)

PAGE 5

3) The oaah on hand t the b 1nnin or e oh of e three p v1ou1 fiscal years 11 shown und r ar rap 1 a Te. 4.) The total out1t ding general bo 4a ot t City ot --------at the olou or th tiloal ye r d1 Sl,l 42, a 4,726,169.50. forth p t of ri oi al d interest or said bonc11 debt aervioe mill ot cilla n th d 11 r against an ae1eaaed val ation ot !4,821,2eS waa 1 vi d. 6) ao 11al unt appropri t d nd exp nd d tor r creation 1 aoh or the thre precedin tiaoal yeara, 11 o1lo 1' I 0 B c 2 1 9 4 1 l 9 4 0 8, 2.60 6,903.58 -0-6, 40.6 6,901.78 4,035.76 1,876.62 3,290.48 2,279.13 31,722. 29,129.83 26,024.67 23,&0 .63 26,050.10 26,630.09 ,036. 0 72,3 0 71,176.77 57,969.65

PAGE 6

1

PAGE 7

RMORJ.ft'DU VI DI SI F Olla OLLA. A. SOU IVISIO !he ional Ottic hat called our att tion to cert in infor.mation that 111 h r att r needed on 0 application with the exception ot thoa p rt nin to tohoola. In or r t t you may b informed aa to the ct type of data d aired. w are attachin for your infor mat1on -copy of t letter written by r. Clifford B. Ra., Regional Finance .min r 1 h numerat a tb typ a of info t1on that are dea1r d Th ex 1n1n office ay haTe co preh naive picture of th financial condition or th reapective a plic nts. fheae proi1ion with re ard to f1nanc1 l data ar not applica l to nur1 rt achool aa .. n ra.l 1 in 's orandum ot Decoaber 26. 1942 atatea in part aa rt ia thGrefore d th t Lenh Ae funds will be a1labl8 for nursery aohoola d other child care raoilit1 s on th b sis of 100% Feder 1 oontri utiOA except for fe a which thall continuo to be ua d tor purohauiu or rood and to roduoe the ount of Federal tunde require"

PAGE 8

I 1. I. ,. 4 ,..,.. CO T ----... t 01 ra ot a 11 'bla

PAGE 9

I 1.\ ntlona r kD :-evtm ta. lntoraatioa 1U 1. 'th c lh OA h ,. ,.. own. 1. ni tr tor out rth. 1vi ion te ire or li at t o.nJin on if any ar find ity imdn nd t ia r oei d ntion d d opera.tio lla tollowins ti c1al \ 7' are ot eao nte ot th p 1c l o ex in thh e.t.ion .xoe ttio Sinoer ly your y 1 Dire tor

PAGE 10

ESTI!LU'ED FEDERAL EXPENDITURES 1940 1941 19&2 Tepa 68,261.00 59,312.95 67,130.00 St Petereburg 11,41:67.65 10,296.43 10,366.20 Lab land 6,621.60 4,200.04 4,941.80 Fort Vyer 6,267.42 4,986.80 5,305.00 Saraeota 4,623.30 4,006.20 4,251.60 Arnadia 1,061.20 892.60 933.10 SebriJlg 3,977.80 3,269.20 3,864.10 I.e.ke alee 1,563.40 1,231.60 1,052.20 Bradenton 1,843.60 1,927.50 1,922.40 Hdne C1 ty 1,126.80 1,122.40 1,044.10 *

PAGE 11

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PAGE 12

I I' --., 1' s..,o .. 1blt tor nhl typt ot taoi U ty, lltfrtaintt4 1:.0 pr-ovide !h\11' "ff UJ t.ht P tal jUtl 1oation will lt:att oi'd.lhn to.o111k to '7 11utual ot w tuc. !hb tuper .. tl 0 r& ou a. 1, uftltm'\ 1, 111\led Oowlltr 10, 1M2, lcb 11 r'bf not Iu'bNct1ol21 aubainion of' Ia' 'blt.o nh Jt'OJc ct r u cont.! 4 111 ar t-Ho "\\'lc L$ r-o. f.