-'l--- . 4.. . . . . . .n e . . - ,y-. ..- . e ê3,740t Balance stili due fromn 1930 Tax L. ....y.. 67,"01.39 Blance st-I due from 1931 Tax Levy................ 104,515.81 -Tutal from Taixp.sý CLretWater Aceounts lReceivale...........$6,g93.819 Deliniquent Water Accounts Itecei%,alle .............7,049.92 To-tal Water Accounts Rk?'eiv7able Bis Receivahle Accoulit Village AdIvances. for Water WorliEess , h ilBePllaid.. BIëk to Vlaef rom ýProecN c f Water. Revenue Bonds W h n Sold ... . . . . . .. . Due from SecalAss--entNo. 54.977 (for advanëes ili counecetion witi Main Str'eet Iuoee Tax D~d vndby 'Village........... . . . . . . n. . . . . . . Peftty Cash Ftn................. Total. Cro s sets [ternatini l il vpeter Co.' (for- tr(lek) $ 33 1. 50 W;rtteî. workls Enginc's-till<lete for plans of water works............1,524.13 Total -Bills Payaýblp. Total Public Benefit Lýiahbility, incliidling !f- stalîmnts. u(Il à th nxtflFcal veart and all years thereafter ..... . . . l3ondled Debt-- 4%Pire ri,(tiiltient Bonds-clated 'May i, i 95-alaceReniainir.g Unpaid .... 8,000.00 4'4'% . nvinerator Plant* Bonds-Dated Ot t. 1933 to Oct. 1, .1946, inclusive, and $4,000 Oct 1; 1947and 1948 1 .. $50,00.00 4'- .lýWatttr W.kr11s Imprtivemient Bonds- Datod May 1, 19,21-$100,000 Authorized Api il 21, 1931-Isqed...........7,000-00 Total Net Surplus....... WIL1IMETTE PUYBLIC LIBRARtiY O0ther. Than Taxes-' Rentalq....................... Interest on Investients,....................... Interest. on Bank Balances............... Sales........... ...... ................. Letand Daraged . ...... Post C ds :... ........ From 1131 Tax Levy, when paîd............. 'Total Incone ................. Salaries- staff..............................$6,480.00 Janitor and BExtra. Hlelp................... ....1,230.25 Bols......... .. . ......e........................ 2,675.04 periolimils ............ . . . . . . 178.25. Bldig.................1................ .......722 Het, Light and Water................. .......... ..... 709.17 Rep>airs ............. .......................80.03 supplies .................... ......... ............. 373.46 Imnirovernents ................................ ......37.46 Printin;g.......... >.... .........................13.25 Telephione................................35.00 lntret n pueci 1 AssessMents . .............641 Interest on Ta x. Anticipation Warrants ............867 Taxi Cab Patre.....................49.75> Express andc Postage ......................29.24 Latindry....................................9.40 pages.............................556.42 Misellaeou................................'259.41 Ë,xcess of , lcorne over E xpenses. ... 6,415.93 150.00 13,9 4.7,5 19,498.18 4,1 37.30 1.00 $253,();-76 107,945. 57 $67.1W..56, 200400 85.89 48.00i 44'.*95 17.38 17,000M0 $ 19,119.00 $ 1~4,319.02 $ 4,799.98 JULY NOTICE The emerchandise offered in- this, unusual eve n+ is Our reguler stock. No , special purchase of "sale" goods was made for the occas0on You'II, find only 'the' qualify for which'we are",noted available. This sale. affords wômen> of the, co- munity an opportunity to fUil their wardrobe a+ an ample saving. N. A* HANNA 1INC. 952 Spanish Court. WiImette, 461 le own t, re and. Le.,ss iabilities- Accoittts iPayablè. ........................ $ S)ecial Assessments Payable- Due Jan. 2, 193-.....................$174.50 Due Ja-n. 2, 19333 and subsequent....... ... 834-39 Accraed Interest on Special Assessmnents. Net. Surplus April 30,192 (Continued on Page 36) 510.14 64.11 1,583.14 $ 26,468.25