The Oilton Gusher (Oilton, Okla.), Vol. 7, No. 14, Ed. 1 Thursday, September 7, 1922 Page: 5 of 6
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FINANCIAL STATEMENT AND ESTIMATE
Statement of Fiscal Condition of the City of Oi lion County Of Creek
State of Oklahoma for the Fiscal Year Beginning July 1 1921
and Ending June 30 1922 and Estimated Needs for Current Ex
penses for Fiscal Year Beginning July 1 1922 and Ending June
30 1923
TO THE COUNTY EXCISE BOARD:
County of Creek State of Oklahoma
GENTLEMEN:—
Pursuant to the nequirements of Section 2 Chap 226 Laws of
1917 we submit herewith for your consideration the within state-
ment of the fiscal condition of the City of Oilton County of Creek
State of Oklahoma for the fiscal year beginning July 1st 1921 and
ending June 30th 1922 together with an itemized statement of the
egtimated needs thereof for the fiscal year beginning July 1st 1922
and ending June 30th 1923
The said Statement and Estimate was duly Published as required
by law in a newspaper published in said City
Dated at Oilton Oklahoma this day of 1922
HENRY FULTON Mayor
- CLARENCE PATCHIN Clerk
NELLIE GAYMAN Treasurer
FINANCIAL STATEMENT OF THE CITY OF OILTON STATE OF
OKLAHOMA
EXHIBIT "A"
Statement of Expenditures Made from Appropriations During the
Fiscal Year Ending June 30th 1922
1 Mayor and Council or Commis'rs For Fiscal Year
Ending June 30th 1922
Total Wartnts
Appitn Issued
For salary of Officers and all Regular Deputies
and Employees $ 80000 $ 80000
Total
2 City Clerk
For salary of Officers and all Regular Deputies
and Employees
For Sundry Contingent Expenses
Total
3 City Treasurer
For salary of Officers and all Regular Deputies
and Employees
For Sundry Contingent Expenses
80000 80000
90000 90000
5000 5000
95000 95000
30000 30000
2500 2500
Total 32500 32500
6 City Attorney
and Employees 30000 30000
For Sundry Contingent Expenses 2500 2500
Total 32500 32500
7 Police Department
For salary of Officers and all Regular Deputies
and Employees 290000 290000
For Sundry Contingent Expenseg 10000 10000
Total 300000 300000
8 Fire Department
For Purchase of Equip't and Apparatus 150000 150000
Total 150000 150000
9 Board of Health
For salary of Officers and all Regular Deputies
and Employees 5000 5000
Total
11 Street Department
For Re-paving and Re-surfacing Streets
5000 5000
84005 84095
Total 84095 84095
13 Board of Cemetery Trustees
For Additional Lands 42047 42047
Total 42047 42047
14 Library Board
For Establishing Libraries and leading Rooms 168190 168190
Total 168190 168190
15 General Government
For Rent City Hall 60000 60000
For Printing Ordinances 12600 12600
Total 72600 72600
16 Water' Department
For salary of Officers and all Regular Deputies
and Employees 250000 230000
For Sundry and Contingent Expenses 81993 81993
Total 331903 331993
Summary—General Fund
1 Mayor and Council or Commissioners 80000 $ 80000
2 City Clerk 95000 05000
3 City Treasurer 32500 32500
6 City Attorney 32500 32500
7 Police Department 300000 300000
8 Fire Department 150000 150000
9 Board of Health 5000 5000
11 Street Department 84095 84095
13 Board of Cemetery Trustees 42047 42047
14 Library Board 168190 168190
15 General Government 72600 72600
16 Water Department 331993 331993
Total $1393925 $1393925
EXHIBIT "B"
Statement of Income from Sources other than Ad Valorem Tax
GENERAL FUND—For the fiscal year ended June 30th 1922
Est'md Rec Amt Sur Col Deficit
by Ex- Actually over Collections
else Brd Coll'n'd Est less than Est
1 City Clerk $ 50000 $ 80180 $ 30180
5 City Municipal Court 125000 103105 $21595
1G Water Department 360000 528000 168000
Dog Tax ' 10000 5200 4800
Poll Tax 50000 13800 36200
Total $595000 $730585 $198180 $52595
EXIIIIIIT "D"---GENERAL FUND
- BALANCE SIIEET---As of June 30th 1922
ASSETS
Cash on Iland---June 30th 1922 $ 302923
Taxes in process of Collection $ 356126
Less---The 10 per cent reserved for
delinquiencies $ 79892
Net Taxes Available $ 276234
Total Assets $ 679157
LIABILITIES
Warrants—Outstanding--Jun e 30 1922 $ 221068
For InOrest---accrued and accruing on out-
standing warrants 48000
Total Liabilities and Reserve s $ 269068
Surplus—Assets over Liabilities and Re-
serves 410089
REVENUE STATEMENT—For the Year Ended June 30th 1922
ACCRUALS - -
Taxes Levied---Year 1921 $ 878817
Deduct the 10 per cent added for
delinquioncies 79892
Net Taxes Available $ 798925
Estimated Income from sources other than
ad valorem tax 595000
Add Collections over Estimate 135585
BONDS AND JUDGMENTS--A $ at June Zettt 1922
EXHIBIT “C"
Purpose of Bond or Name of
Person Holding Judgment
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"A" IMPROVEMENT BONDS
Sewer 1-28-16 6 1-2 8-26 $ 500000 $ 500000 $ 30000 $ 50000 6 $ 300000
1-28-16 6 1-28-31 500000 500000 30000 33333 6 200000
Water Works 1-28-16 6 1-28-26 500000 500000 30000 50000 - G 3000 00
1-28-16 6 1-28-31 500000 500000 30000 33 3 6 200000
Pt PP 1-98-16 6 1-28-36 1000000 1000000 60000 50000 6 3000mo
Water Works Extension 12-1-19 6 12-1-24 800000 800000 48000 160000 3 48000o
ft OP 12-1-19 6 12-1-29 800000 800000 48000 80000 3 240000
pir Pt 12-1-19 6 12-1-3-1 800000 800000 48000 53333 3 16(-A00
Pt PP it 12-1-19 6 12-1-39 800000 800000 48000 40000 3 12000o
ft IP ft 12-149 6 12-1-44 800000 800000 48000 32000 3 96000
Funding Bonds-1918 8-15-18 6 8-25-23 313829 313829 18830 62766 4 251064
Pt Pt Pt 8-15-18 6 8-25-23 400000 1-00000 2 4000 400 00 1 160000
OP 00 If 8-15-18 6 8-25-33 400000 400000 24000 26667 4 106067
Of 09 tt 8-15-18 6 8-2:5-38 400000 400000 24000 20000 4 80000
"B" ' FUNDING BONDS---1921 Is4ue 1-19-21 1-19-31 500000 500000 30(100 50000 1 50000
tt Pf 1-19-21 6 1-19-36 500000 500000 30000 33333 1 33333
TOTAL $951:1829 $9513829 $570830 $814765 $3077064
TOTAL from other sources 730585
TOTAL Revenue Accruals $1529510
REQUIREMENT
Reserved for Appropriations $1393925
Interest accrued and accruing on
warrants 6100
Interest paid on warrants 72875
Total Requirements $1472900
BALANCE---Surplus Revenue As at June
30th 1922 $ 56610
EXHIBIT "E"--SINKING FUND
BALANCE SHEET—As of Jun 30th 1922
ASSETS
Cash on Hand June 30th 1922 $ 4237769
Investments—Bords and warrants 665488
Taxes 1921--In Process of Collection $ 163731
Less the 10 per cent reserved for de-
linquiencies 148094
Net Taxes available $ 15637
Total Assets 918894
LIABILITIES
Coupons 1raturing and Outstanding $ 73274
Reserves: Accrued on Liability Bonds 3077064
Total Liabilities and Reserves $3150338
Deficit Liabilities and Reserves over Assets$2231444
REVENUE STATEMENT—For the Year Ended June 30th 1922
ACCRUALS
Taxes Levied—Year 1921 $1629036
Deduct the 10 per cent added for de-
linquiencies 148094
Net Taxes Available $1480042
REQUIREMENTS
Reserved for Appropriations Commissions $ 1352
Maturing interest Coupons 540832
Accruals on Bonds 814765
Total Requirements $1356949
Balance--Surplus Revenoe As at June
-- 30th 1922 $ 123993
STATE OF OKLAHOMA COUNTY OF CREEK SS:
We the undersigned duly elected qualified and acting officers
of the City of Oi Iton Okahoma do 'hereby certify that at a meeting
of the Council of said City held on the first Monday in July 1922
pursuant to the provisions of Section 2 of Chapter 226 Laws of 1917
the within and foregoing Ptatement of the fiscal condition of said
municipality was preparpd and that said statement shows the true
and correct condition of affairs thereof for the fiscal year ending
June 30th 1922
Dated at Oilton Oklahoma this 30th day of August 1922
HENRY FULTON Mayor
CLARENCE PATCHIN Clerk
NELLIE GAYMAN Treasurer
Subscribed and sworn to before me this 6th day of September 1922
WINIFRED SCOFIELD Notary Public
My cemmission expires June 1 1926
CITY ESTIMATE
Itemized Estimate for Current Expenses for the Fiscal Year Begin
ning July 1st 1922 and Ending June 30th 1923
At a meeting of the City Council of the City of Oi Iton County
of Creek State of Oklahoma held on the first Monday in July 1922
oursuant to the provisions of Section 2 of Chapter 226 Laws of 1917
the following itemized estimate for Current expenses of said munici-
pality for the focal year beginning July 1st 1922 and ending June
lOth 1923lwa3 adopted and approved and ordered published in the
Oi Iton Gusher a newspaper published and of general circulation in
said City to-wit:
GENERAL !FUND
Estimated Appropriated
Department of Government and for Current by Excise
Items of Estimate Expense Board
1 Mayor and Council or Commissioners
For salary of Officers and all Regular Depu-
ties and Employees $ 90000
Far Express Freight and Drayage 5000
For Sundry Contingent Expenses 5000
Total 100000
2' City Clerk
For salary of Officers and all Regular Depu-
ties and Employes 90000
For Furniture and Office Equipment 10000
For Sundry Contingent Expenses 6000
Total 105000
3 City Treasurer
For salary of Officers and all Regular Depu-
thes and Employees 30000
For Furniture and Office Equipment 5000
Total 35000
6 City Attorney
For salary of Officers and all Regular Depu-
ties and Employees 30000
For Sundry Contingent Expenses MOO
Total 35000
7 Police Department
For salary of Officers and all Regular Depu-
ties and Employees 420000
For Special Services and Extra Help in
instances authorized by law 50000
For Suniry Contingent Expenses 20000
Total 490000
8 Fire Department
For Office Supplies Blank Books Statiofl
cry and Printing 7500
For Postage Telephone and Telegraph 2500
For Sundry Contingent Expenses 10000
For purchase of Equipment and Apparatus 130000
Total 150000
9 Board of Health
For salary of Officers and all Regular Depu-
ties and Employees 18000
For Sundry Contingent Expense
10 Sanitary Department
For Extension of Sewers
Total 300000
11 Street Department
For salary of Officers and all Regular Depu-
ties and Employees 36000
For Express Freight and Drayage 36000
For purchase of Esuip't and Apparatus 100000
For Re-paving and Re-surfacing Streets 100000
Total 272000
13 Board of Cemetery Trustees
For Additional Lands 80000
Total
14 Library Board
For Establishing Libraries and Reading
Rooms
Total 200000
15 General Government
For Insurance 50000
For interest on general fund Nvarrants 48000
For election expenses 40000
For maintenance and repairs on buildings 20000
For Rent City Hall 60000
For Printing OrdinanceS 60000
Souree and Class
City Clerk
Municipal Court
Water Department
Dog Tax
Poll Tax
200000
Who Was Alexander?
"Who is this Jack Walton
"That people call hint great?
"Is he a real democrat
"In a bmocratic state?
"Ile is mayor of a city
"In which we all take pride
1kriti is not the kind of democrat
"For whom we'll right and die
"What has he (lone to entitle him
"To honor at our hands?
"What are the 'unalterable prin
eipIrs'
"On which he so firmly stands?
"Ire hos started strife among the
folks
"Who do not know him well
2500
20500
300000
80000
Total 278000
16 Water Department
For Salary Pumpers 200000
For Salary Superintendent 00000
For Repairs on Mains 30000
For Meter Boxes 112500
For Gas 50000
For Electricity 200000
For Incidentals—Pulling Wells Fj 50000
Total 732500
SUM MAR1--4 EN ERA L FUND
I Mayor and council or Commissioners 4 100000
2 City Clerk 105000
3 City Treasurer — 35000
G City Attorney 35000
7 Pollee Department 490000
8 Fire Department 150000
9 Board of Health 20500
10 Sanitary Department 300000
11 Street Department 272000
13 Board of Cemetery- Trustees 80000
14 Library Board 9 MO 00
aa
15 General Government 278000
1G Water Department 732500
Total $2798000
SINKING FUND
General Government
Maturing' interest coupons as pr col LI
exhibit "C" $ 570830
Commission to Fiscal Agency 1427
BONDED DEBT
ANNUAL ACCRUAL ON BONDS
Improvement Bonds 581999
Funding Bonds 232766
Total (q3 9702'2
-
Estimated Incme from Sources other than Ad 'Valorem Tax
EPtimated by Officials
Source and Class General Fund
Clerk $ 80000
icipal Court 103500
er Department 52S000
Tax 5200
Tax 13800
Total $ 730500
STATE OF OKLAHOMA COUNTY OF CREEK SS
We the undersigned duly elected qualified and acting officers of
the City of Oi 1ton County and State aforesaid do hereby certify that
the items and amounts enum?rated in the foregoing statement of es-
timated needs are reasonably necessary in the proper conduct of the
affairs of said municipality and said estimates were prepared and
made at a meeting held on the first Monday in July 1922 the same
being the 3rd day of July 1922
HENRY FULTON Mayor
CLARENCY PATCIIIN Clerk
NELLIE CAYMAN Treasurer -
Subscribed and sworn to before me this Gth day of Sept 1922
WINIFRED SCOFIELD Notary Public
My Commission expires June 1 1026
"Ilis principles if adopted
"Will uncap a little hell
"If he should be elected
"To the office which DOW he
seeks
"What would be the final outcome
of which his comrade speaks?"
If he should become governor
"Of this our sovereign state
"Ite'd surround himself with com-
rades "Who'd instill a morbid hate
"Don't vote for a man like that
'My son Don't do it
"Don't hurt the democratic party
"As long as live you'll rue
it"
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Admire, Eli L. The Oilton Gusher (Oilton, Okla.), Vol. 7, No. 14, Ed. 1 Thursday, September 7, 1922, newspaper, September 7, 1922; Oilton, Oklahoma. (https://gateway.okhistory.org/ark:/67531/metadc2290815/m1/5/: accessed July 18, 2024), The Gateway to Oklahoma History, https://gateway.okhistory.org; crediting Oklahoma Historical Society.