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Lethbridge Herald Newspaper Archives

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Lethbridge Herald (Newspaper) - June 24, 1914, Lethbridge, Alberta 1 f � " ifrt ft l,>aTfkitfi-ons attached thereto for the payment of interest. The said debentures sball all bear the same date and shall be dated and issued within two years after the final passing of this Bylaw and bo payable at the expiration of thirty (30) years from the date of flhe issue thereof. Such debentures may bo expressed eltJier In Canadian Currency or Sterling money or both in currency and Sterling money of equivalent value as i>rorldee taken on the 3rd day of July A.D. 1914, at the following places in the City of Lethbridge^ between tAe hours of nine (9) o'clock in the forenoon and eight (8) o'clock in the aifternoon, namely; (a) For tliat portion of the City lying North of thr C. P. Railway at the Gymnasium ati tho corner of 13th St. and 4th Avenue, by h. Dawson, who is appointed Deputy Returning Officer to take the votes. (b) For tliat portion of the City lying South of tho C. P. Railway at the Labor Temple, facing Now Post Offioe on 7th Street South, by E. O. Stlck-ley, who is appointed Deputy Returning Officer to tak� eh� votes. HEAD a first! time this 1st day of June A. D. 1914. W. D. L. HARDIB, Mayor Wra. STEVEN, City Clerk READ a second time this l�t day cI Jiume A.D. 1914. W. D. L. HARDIBl Mayor Wm. STEVEN, City Clerk READ a third time this........... day of..............A.D. 1914. ........................Mayor. .....................City Clerk. NOTICE NOTICE is hereby given that the above is a true copy of a proposed Bylaw whilcli lias been introduced and which may be finally passed by the Council in the event of the assent of �the Burgesses belmg obtained thereto after one month from the first publication thereof in the "Letbbridge Daily Herald" newspaper and that date ot Bucb first publication is the 10th day of Jime 1914, and that upon the day and at the places fixed for taking the votes of the burgesses the voting thereof will be held b^tweem the hours of 9 a.m. and 8 p.m. Wm. STEVEN, City Clerk City of Lethbridge BYLAW NO. 239 A BY-LAW TO PROVIDE FOR BORROWING UPON DEBENTURES, THE FURTHER SUMS NECESSARY TO PAY FOR COMPLETING CERTAIN MUNICIPAL WORKS AND FOR PURCHASING LANDS REQUIRED FOR A PLAYGROUND AND FOR PUBLIC PARK PURPOSES. WHEREAS the City has oontructed the public works hereinafter referred to and passed Bylaws providing, for borrowing upon debenture* the suow required to pay tlho estimated oost thereof. _ AND WnSRISAS the actual oost of several o( anch works has exc�tdveT buildings, referred to in Bylaw No. 170. Amount of tlie loan required to .cpmplete the .work ____ $1,642 Sum to be raised annually to pay the in- ter^t....... ...... S2 Sum to bo raised annually to provide a sinking fund to pay the debt .....!...... 34, Total amount to be raised annually ...... $110.67 PROPOSITION "O" Constniction of cement sidewalks, referred to in Bylaw No. 171. Amount of the loan required to ccraplete the work .......... $3,843.35 Sum to be raised annually to pay tlio interest ............. 192.17 Sum to bo raised annually to provide a sinking' fund to pay tiie debt ........... S0.78 Total amount to be rf^teed annually ... $272.95 PROPOSITION "P" Constructing pavements on the streets referred to in Bylaw No. 172. Amount of the loan required to complete the work ____...... $4,383.80 Bum to be raised an-rnrally to pay the interest............. 219.19 Sura to be raised annually to provide a sinking fund to pay the debt ..........92.14 Total amount to ba raised annually ...... $311.33 PROPOSITION "(5" iConstruictliou of 'tihe sewers relfen-ed to in Bylaw No. 173. Amount of tJie loan required to complete the work .......... $3,906.81 Sum to be raised an-mually to pay the interest ............ 195.34 Sum to be raised annually to provide a sinking fund to pay the debt .......... 82.11 Total amount to be rolEied annually ...... $277.45 PROPOSITION "R" Constniction ot the Local Improvements referred to in Bylaw No. 174. City's share ot cost Amount of the loan required to pay the City's sliare to complete the work ..... $9,232.90 Sum to be raised annually to pay the interest............. 461.65 Sura to be raised annually to provide a sinking fund to pay the debt............ 194.07 (1) Total amount to be raised annually..... PROPOSITION "S" Grading of streets referred to 5u Bylaw ' $655.72 (2) (3) (4) Amount ot tho loan required to complete tbo work........... $2,487.83 Sum to be raised annually to pay the interest ............. 124,39 Sum to fa's raised annually to provide a sinking fund to pay the debt .......... 52.29 (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (3) Total amount to be raised anmially ..... $176.68 PROPOSITION "T" Grading of streets ro-ferred to in Bylaw No. 176. Amount of the loan required to complete the work .......... $3,055.98 Sum to be raised an-n'ually to pay the interest ............. ICi.SO Sum to be raised annually to provide a sinking fund to pay tho debt .......... � 64.23 (4) (1) (2) (3) (4) Total amount to be raised annually ..... $217.03 I PROPOSITION "U" Construction of cement sidewalks referred to in Bylaw No. 177. Amount] of the loan required to complete the work.......... $2,492.98 Sum to be raised annually to pay the interest ............ 124.65 Sum to be raised annually to provide a, sinking fund to pay the debt........... 52.40 Total amount. to be raised annually ..... $177.05 PROPOSITION "V" Paving streets referred to In Bylaw No. 178. Amount of the loan required to complete the work >.......... $5,174.46 Sum to be raised an-nlually to pay. the interest ......____ 258.72 Sum to be i-aised annually to provide a sinking fund to pay , the debt ,.;........ 108.76 Total amount to be raised annually..... $367.48 PROPOSITION "W" Construction of sewers referred to in Bylaw No. 194. Amounti of the loan required to complete tlie work .......... $5,409.13 Sum to be raised annually to pay the interest ............. 270.46 Sum to be raised an-h.ually to provide a sinking fund to pay the debt............ 113.59 Total amount to be raised annually..... $384.15 PROPOSITION "Y" Construction of Blacksmith shop referred to in Bylaw No. 208. -Amount of Uie loan required to complete the work .......... $194.65 Sum to be raised an-niually to pay the in- ;terest............. 9.73 Sum to bo raised annually to provide a .sinking fund to pay the debt .......... 4.09 Total amount to be raised annually..... $13.82 PROPOSITION "Z" " Purchase of office fixtuiies irefferfed to in Bylaw No. 208. Amounli ot Uio loan required to complete the work .......... $171.88 Sum to be raised annually to pay the interest ............. S.59 Sum to be raised annually to provide a sinking fund to pay the debt.......... 3.61 Total amount to ba raised annually..... $12.20 PROPOSITION "AA" To provide for discount on debentures issued lundOr Bylaw iNo. 170. Amount of thc loan required to complete the work .......... $3,791.86 Sum to be raised au-nuially to pay the interest ............. 189.59 Sum to be raised annually to provide a islnking fund to pay tho debt........... 79.70 Total amount to be raised annually..... $269.29 PROPOSITION "BB" Construction of sow-age disposal ptant referred to In iBylaw No. 208. Amount ot tho loan required to complete the work ........... $1,009.88 Sum to be raised au-wufllly to pay the interest ............. 50.49 Sum to be raised annually to provide a sinking fund to pay the debt ........... 21.23 Total amount to be raised annually..... $71.72 PROPOSITION "CO" Purohasc of land on River Bottom reter-risd to In Bylaw No. 208. Amount of the loan required to complete the work ____....... W97.32 Cum to be raised au-�unlly to pay the in-IVJM ..MM.f ^'M-t.., - 34.87 (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) (1) (2) (3) (4) Sum to be raised annually to provide a Biiiking fund to pay the debt.......... 14.65 Total amount to ba raised annually ..... $49.52 PROPOSITION "DD" Construction Of Park Supt.'s House referred to in Bylaw No. 208. Amount of loan required to complete the work .......... $417.42 Sum to be raised an-wuially to pay the interest ............. 20.87 Sum to be raised annually to provide a ainklng fund to pay the debt...........,. .S.7.7 Total amount to ba raised 'annually..... $29.64 PROPOSITION "EE" Municipal Street (Railway Electric Works referred to in Bylaw No. 210. Amount of tho loan required to complete the work ........... $13,153.18 Sum to bo raised an-niuially to pay the Interest..........____ 657.66 Sum to be raised annually to provide a .sinking fund to pay the debt............ 276.47 Total amount to be raised anaually..... . $934.13 PROPOSITION "FF" Construction of Local Improvements referred to in Bylaw No. 211. City's share of cost. Amount of the" loan required to pSiy the City's share to complete the work ..... $28,811.02 Sum to be raised annually to pay the interest ............. 1,440.55 Sum to he raised annually to provide a sinking fund to pay the debt .........>. 605.58 Total amount to bo raised annually ..... $2,046.13 PROPOSITION "GG" Tlie puiYihase and improvement of Lots 10 and 11, Block "P." Plan No. "1354C," Lethbridge. tor a play ground for 'Chilareu Amounti of Uie Joan required to complete the work........... $430.31 Sum to be raised annually to pay the interest ............... 21.52 Sum to Tja raised annually to provide a sinking fund to pay tiho debt........... 9.04 Total amount to be raised annually..... $30.56 PROPOSITION "HH" For providing for Henderson Park nursery. Amount of the loan required to complete the work.......... $4,088.51 Sum to be raised an-fliuially to pay the Interest ............. 204.18 Sum to be raised annually to provide a sinking fund to pay the d�!bt........... 83.83 Total amount to ba raised annually..... 1290.01 AND W)HEREAS before the construction, alteration or extension of any common eowor or sj^tem of sew-erage or sewage purification and disposal referred to in any of the propositions above ipet forth was undertaken, plans and speolflcations of such construction, alterations, extenslone, and in connection with the puriftoa-tlon and disposal of the sewage were submitted to and approved of by the Provincial Board of Health and a cer-tifloate of such approval, signed by the Chairman obtained, s>tating that the proposed construction, alteration or extension may be carried out and that the c6n�tructed or extended common sewer or system of sewerage and sewage purification and disposal may be maintained and operated without injury or danger to the public health. AND WHKREAS the amount of tlbe assessable property In the City ao-cording to the lost revised lassese-ment roll is $25,251,810.00 and  the rateable proportion thereo* is $16,-919,655.00. AND WHEREAS th� amount tof tlhe existing debenture debt of the Cnty of Lethbridge, exclusive of local improvement debts eeciured by afiec-ial assessment is $2,815,182.86 and no part of the principal or interest thereof is in arrear. Therefore the Council of the City of Lethbridge Enacts aa rollowa: 1. The Council may borrow on the credit of the City of Lethbridge tbe mm or sums of money required for any or all of the propositions hereinbefore referred to, namely: For Proposition "A" tlhe sum of $122.80. For Propoeition "B" tbe eum of $15,143.16. For ProposHlon "C" the sum of $3,273.60. For Proposition "D" the sum of $2,138.97. For Proposition "B" the sum of $92.27. For Proposition "G" the sum ot $59,923.54. For Proposition "H" the sum of $17,496.52. For Proposition "I" the sum of $451,40. For Proposition "J" the sum otf $7,108.83. For Proposition "K" the sum of $4,087.69. For Proposition "L" the sum of $5,609.26. For Proposition "M" the sum of |.10>300^9. _ For Proposltloa "N" thd nun* of $1,642.30. For Proposition "Q" the txas^ ol $3,843.35. For Proposition "P" the sum ol $4,383.80. For Proposition "Q" tho sum of $3,906.81. For Proposition "R" the sum tA $9,232.90. For Proposition "S" ths gum of $2,487.83. For Proposltdon "T' the mm at $3,055.08. , For Proposition "U'^ the sum c� $2,492.98. For Proposition "V" ths Sum of $5,174.46. For Proposition "W" ths sum o( $6,409.13. For Proposition "Y" the eumi oif $194.65. For Proposition "Z" the Bum; of $171.88. For FToposiUon "AA" toe sum xA $3,791.86. For Proposition "BB" ths sum ot $1,009.88. For Proposition "CC' the sum: *ll be dated and Issued inlthin two yesr* after the final paanioe Of this Bylsir and be payablis �t the ezplratloa :ol thirty (30) years from the dst� �i th�  issue thereof. Suoh d^nturss miar be expressed etther In Canadian Cur. rency or Sterling money or hodi In currency and Sterling money ot e�rui num payable half yesrly and M to both prlnoipial sod intsrest may b� made payable at the Bank ormin( a alnk-ing fund for the payment of th* M>t created in respeot of eaoh of th* said proposiitions respeotlvsly: Proposition "A" The sum of |�;14 shall be raised annually to pay'lfta interest and the sum of |2.6t aiia^ be raised annually to pcoTid* a Anls^ Ing fund to pay tbe d�^ Proposition "B" iTh� sum af f7lf7.t Proposition "I" The sum of f82.57 �hall be raised annuaUy to pay th* interest and ithe sum of 19.49 shall ba raised annually to provld* a sinking, fund to pay thc debt ! ' Proposition "J" The sum o( $368." ' 44 ehiaU be raised annually to pay th* interest and tbe sum of 91S0.68 shsU be raised annually to provide a sink-Ink fund to |)ay tbe debt Proposition "K" Thio sum of $804.-38 shall be raised annually to pay the interest and tbe sum of $86.98 shaU be ittised annually to provide a sluk-ing fund �to pay the debt Proposition "L" The sum of 1280.-46 shall be raised annually to pay �io Interest and tho sum of $117.90 s^aU; be raised annually to provfife a Sinking fund to pay the debt ^ \, ProposiUon "M" The sum of |330.�; 04 shall be raised annually to pay Interest and the sum of 8223.82 shall' be raised annually to provide a sink- , Ing fund to pay the debt. \ Proposition "N" The �ium of $82.1.4 , Shall be raised annually to pay the In-' terest and the sum of $34.53 ahall b* raised annuaUy to provld*  ainUnx fund to pay the debt. (Continued on Baqk Pags) ;