Following is the Official Report of the Borough of Monessen for the Year Beginning March 1st, 1903, and Ending February 29th Inclusive, 1904.. EXPENDITURES.March 1st, 1903 to Feb. 29,' 1904.-Labor on streets'........ -..........................-. 2836.01Borough Engineer.... «........ 1403.86Street Improvements. .*................ 1639.13Team Hire tor Streets, f..........*........ 1782.45Salaries and Commissions..... ........ 2104.30Police and Lockup ................. 4105.28Board of Health.............................. 2000.00Fuel and Light.................... 1955.85Water for Hydrant?.......................- -. -..... — 1178.04Fire Department........................................ — ........ 104.10Printing and Stationery r......~ 189.73Miscellaneous....................... .................... ......... ... 213.06Sewers........... 10312.74Bonds Cancelled and Interest ...................*............ 8389.02Real Estate. ............................................ 420.00Medical Service*-- ..................................^ 72.50Legal Services .... 805.88Damage 8olt of McMahan ........ 357.80Total-........................;____$40729.7RECEIPTS.March 1st 1903 to Feb. 26, J904.Sewer Permits. ..... 756.00Sewer Assessments,,............ 49.20Lhting Pavements ..... *. 22.50Building Permits *................ 133.00Paving Assessments ....................................... 109.40Auction and other Licenses ................................... 895.12Liquor Licenses., .... 1517.72Vehicle Licenses......... 266.00■Dog Tax........... 144.00llurgen and Board of Health Fines ........................... 3058.69Loans...................... .. 9800.00Borough Taxes from Collector Reed.,,...................... 22777.37Total .............................$39534.0GRECAPITULATIONBalance with Treasurer March 1st, 1903...................................$ 2773.58Receipts March let 1903 to Feb. 29, 1004...... 39634.0642307.64Money Paid out March 1st, 1903 to Feb. 29, 1904..................... 40729 75Balance with Treasurer March 1st, 1994................................. 1577.89BOROUGH INDEBTEDNESS■Bonds...............................................................$ 91500.00ttotoa............................................................... 91902.11Total............................$183402 11TAX COLLECTOR’S ACCOUNT Marah 1$t 1603 to Feb. 29, X904.Taxes .^ohncted....................................................$25810,71Pivopoat ol 60 day money 5 per cent................................$ 945.40Exonerations by council......... 172.05Errors in«Asse«eing.. ......—........................... 130.93Returns....^. ................................................^ 943.27Collector’s Com mission.. .......... 631.55Doe from Collector Reed ........ ............................... 210,14$ 3033.34Paid Borough Treasurer................. 22777.37$25810.71fj. B. White, Auditors 4 JL* A. Hunter, (John Pierce.Letter List-