" ', (cmuid from page m tbt and turquoise mink stole. Her accessories were white and a white orchid con-sage eompleb oil ber ensemble. a Aillllllll,lts,ii,iriiiiiiti, To“! Antrets ...............‘........... Total Revenue Section . ASSETS Cash on Hand _ Frt Accounts Receivable Sundry _ . .. Agreements _ Inventories .'"_r..-".-'_'-q-.-'rtrws..eq.rrwt_.mrw...,.e. Nr. '_..... ..9t_ .__ -... Other Assets Equity in 0,W.R,C. Reserve For Contingencies Due from O.W.R.C. .-. _ ,. ., .. Miscellaneous - Engineering Services cc C __. tp? FqFr _ 40,990, General works equipment V _ T 27.660. Overhead charges - Works Department 34.555. Sewer surcharge '___........... 88,401. Taxes written off recovered . Gross Total Revenue Surplus from Prior Years used to reduced levy TrT _ _-___..'.'."... Due from Other Local Boards and Commissions - Community Centre Board .__ _P_-q..FPP__V.r_.._r_ _.... ...... Memorial Arena _.-. mr'..-..'...-.,'.....-.'. ._.-rptr.. Cemetery Committee "_r""'.".rteN.w...w...rerrtr..vr_e.wr.-.swe.. Licenses and Permits _r__.sep.r..rrr..rm__...... Interest. Tax Penalties etc. P_qrN . .w_wt_t......W. Other Revenues - Rents, Concessions and Franchises ,. Fines .r___ s _.. _ 'rp". ttt 'r' Service Charges .. .. _ _.-. Recreation and Community Services Ontario - _ Payments Payments REV END 3 Total Revenue from Taxation .. ___-___ .. 1arng-Term Debt Charges Recoverable Contributions, Grants and Subsidies Governments: Ontario - Children's Protection 'rr.'".................. Welfare Assistance "-tr_rr_qrrq.......r.r.. Highway Improvement Ft.t..r....v........ Police and Fire .. _.... vr _.-.......... Share of Liquor License Fees 'we" Unconditional Per Capita Grants .. Other: Homemakers "... Indigent Hospitalization ..P. Nursing Home ""'__..."r.e...T.._ Government Enterprises: Canada - C.N.H.C. Lot Fees _r.e. Interest V Sale of land Miscellaneous Taxes Receivable Lesa Allowance for uncollectible taxes Payments in lieu of taxes Kitchener Ontario a Duke Sta. GITV from schools WATERLOO SQUARE in lieu of taxes-H.E,P.C. . in lieu ot taxes-L.C.B.O. .. Gainer. lace and so“ in" mint Mole camp“ has e.- wlnble with a spring green but and matching tinted orchid. The Bsidegroom's grandparents Mr. .. 20,557. 16,431. 29,839. 2,817. 4,706. 100,508. . CITY OF WATERLOO STATEMENT OP REVENUE AND EXPENDITURE 3.243. 26.458. 13,368. I 1,842. 10.144. 10.766. 9,357. 16,150. 342. 6,641 . 62. 2,067. M, not in oyster $4,546,545. $4,546,806. $4,298,478. Actual Budget 3,736,004. 3,640,863. 206,342. 212.658. 2M,at3. ' 188,958. 182,700., 162,079. 161.872. 43,361. 18,042. 24.545. 56.256. 2,119. 1.900. 44.135. 28 ooo. 17.21). 14.000. 99,640. 4,206. CITY OF WATERLOO REVENUE FUND BALANCE SHEET 1.309 1.456. 918 MI. TINANCIAl STATEMENTS FOR THE Out at town guests we" Mr. Wm. Montgomery, Montreal. Mr. and Mrs. T. C. Hope, Bar. rie; Mr. and Mrs. Ralph Palm- er, Clarkson; Mr. and In. George Redrop, Cooksville; In. ken Croal, and Mr. and In. G. A. Fuller, Preston; Mr. and Mrs. D. E. Flisher, Flint, Miehi. gan. From Toronto, Mr. and Mrs. J. T. Cammerer, Mr. Lloyd Douglas and family, lliu A. Boisseau, In. E. A, Mitchell, and In. In. tan in“ conduct. In. Wm. In- we matching blue lace hat and ac- ceuoriee. A soft Grey mink stole and feathered white uranium complimented her attire. $4,298,217. , 332,120 103,846. 135.809 7.506 December 31, 1965 39,300. M.MI 10,200. December 31, 1965 3,683 261. 475. Total Expenditure Section ............ Discount for Taxes .rt....rr..............._.t..._-- Taxes written off ,-___ ., w""". ____...___rr .......... Capital Expenditures out of Revenue -. Joint or Special Expenditures Special Area Rates rrrrt.r.m.s...........-..q. Conservation Authorities .r...b...rr......-. Miscellaneous - _ Provision for deferred revenue Other .._-___ FFV '---'"'t""'mt"""'g""'"'""'""' Public Works - Roads, Highways l and Streets, etc. _ (F". Sirdtation and Waste Removal ..r, Conservation of Health r...)....'.,'........., Social 'Welfare - Child Assistance .rws.r.........t.......r Welfare Assistance .r.r.'mm....r.....'. Institutional Care .et.mrrm.............. Gross Total Expenditure' o.'............. Surplus for the Year LIABILITIES Bank Overdraft , tr._.r.rFmr_'...r.r. Accounts Payable '_,."""""'"'""" Sundry Debentures and Coupons Due Principal _ T ___ ___ H Interest _ _..,'..'....,.,,......... Other Local Boards _and Commissions Board of Health ._ . Committee of Adjustment T.. _..__.. .. Park Board ‘. -.FVrt....FFFPe.F._ Police Commission __.erP6.V9.._..t.r_ Recreation Commission .'..F..'.__Fr8.s_ Education. including debt charge; __.r... Rdereation and Community Services ... Debt Charges - - A - Provision for Allowances. Reserves and Reserve Funds ..r..$..... Deferred Revenue ___ _r_'_PVVrFFr' Reserves _ _.. ___ Surplus Total Liabilities and Surplus Gene/al Government Executive and Legislative ........r...... Administrative errrrrmmpeerrrrrrtmrrr-e.rrrT..rF'rt. Protection to Persons and Property Fire _,'.. Tet T TFV _-._.e..mm.rm......,ww.....rrww.. Police ‘ ___. ,. 'tq....................... Law Enforeemertt _....'..................... Street Lighting _...r...ret............ Protective Inspection m.................. EXPENDITURES Long Term debt charges .............t.... Less own share of school debt charges .......wr......t.....m.........t._bt To Other Funds Trust. Funds . Capital Funds . Mort term interest and other charges no mi. D. Inâ€. m. an In. T. A. may“, Mr. and In. R. s. on. and Mr. and In. iii'iiriit8 C. R. Wiggins. llt ' Many showers were held prior --. A, Many shower: were held priot to the wedding to honor the bride, and the groom WOO hou- ored at a Mag given by know employees on the Ital! of the Sunshine Offiee Equipment, " the Waterloo Rod and Gun Club. A Champagne Buffet liven by the groom's parents at Stone- Old Castle Inn followed the wed. dmg rehearsal. The couple will reside at os tun Court, “Ottuvn St. South, after they return from n honey- moon trip to the Laurentian, and northern United States. 1,157,433. 849,459. 3,393. 120.002. 100,950. 95,702. 224.903. 276.052. 50.873. " 253. 30.505. a up. to Tao pan. nuy saviour Church All“ st. E. Wtw 46.715. 2.417. 17,213. 6.4M. 12,526. RUMMAGE SALE Friday, May 13th 8.546.808. â€545.474. 1,597.913. MW,900. 852 852. 9.042. 19 372. 150,602. 317.514. Actual 24.435. 1 9,630. 18.987. 33.517. 12.000. 9,405. 1,231. 1,332. s 332L120; $4.298A7Q, $4,298,473. 1545.391. 243,55 " " aitgut. 801.695. 10,228. 107.M'L 179,570. 21,105. 18.253. 98.027. 1 , wo. 20,583. 11,902. 39,857. tt7 ,725. At