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HomeMy WebLinkAbout08/04/1942 VB minutes '321 MINUTES OF A REGULAR MONTHLY MEETING HELD IN THE VILLAGE HALL AT MOUNT PROSPECT? ILLINOIS BY THE PRESIDENT AND BOARD OF TRUSTEES ON TEE FOURTH DAY OF AUGUST, A. D. 1942. Upon the absence of the Village Clerk, President Besander appointed Fred G. wille to act as temporary clerk. The meeting was called to order by President Besander. The roll beins called The following Trustees were found to be present: Greinke, Haberkamp, LeMay, Wi1le.and.Mortiruer. Trustee Haas being abscent. 0 The minutes of the previous meeting were read and it was moved by Trustee Haberkamp seconded by Trustee Greinke that the minutes be accepted as read. rr Mr. Carl Wolf asked that the Board establish a forty foot building line on Wille jtreet, between Isabell and Gregory Street, in connection with the buildings now erected in this block due to the condition of the terrain. It was moved by Trustee Mortimer and seconded by Trustee LeMay that the following resolution be adopted. BE IT RESOLVED; that in view of the existing building line on Wille Street between Isabell and Gregory Street, it is the desire of this Village Board that the forty foot building line be maintained, for any future construction, on Wille_atreet between Isatella and Gregory Streets. Motion carried. Gr-7 Mr Collins residing at North Fairview Avr:nue inquired as to the q possibility of having the weeds cut on the parkway surronding his property. Mr.'Collins was informed that, if weather permitting, the weeds would be cut this week. It was moved by Trustee Wille seconded by Trustee Greinke that the Veterans of Foreign Wars Post #13137 be permitted to hold their Carnival on the Street at the corner of Maple and Evergreen Streets, from August 19, 1942 to August 22, 1942 inclusive. The Veterans of Foreigh Wars Post #1337 to indemnify the Viliage for any damage or claims that may occur in connection with this Carnival. Motion carried. 1 I It was moved by Trustee Mortimer seconded by Trustee Wille that the Lake Shore Sugar Beet Company, be assessed $25.00 for inspection and supervision fees for permit to load sugar beets on the ¢hicago and Northwestern unloading track east of Emerson Street. Ayes: Mortimer and Wille. Nays Greinke, Haberkamp and LeMay. Motion failed. It was moved by Trustee LeMay seconded by Trustee Haberkamp that the Lake Shore Sugar Beet Company, be assesed $28.00 for inspection and supervision fees for permit to load sugar beets on the Chicago and Northwestern unloading track east of Emerson Street. Ayes Greinke, Haberkamp, LeMay and Mortimer. Nays Wille. Motion Carried. The clerk then read the following Treasurer's Report. GENERAL FUND. Overdrawn June 30, 1942 $ 111.07 Receipts for Month of July 4988.63 $4877.56 Disbursements for Month of July 4170.42 Balance on Hand July 31, 1942 $ 707.i4 . VEHICLE TAX AND ROAD AND BRIDGE TAX FUND. Balance on Hand June 30, 1942 $2519.52 Receipts for Month of July 259.45 Disbursements for Month of July $2778.97 4 Balance on Hand Jul 404.64 July 31, 1942 $2304.64 WATER DEPOSIT FUND. Balance on Hand June 30, 1942 $1680.00 Receipts for Month of July 60 DO Balanceon Hand July 31, 1942 $1740.00 32`> WATER MAIN EXTENSION DEPOSIT FUND. Balance on Hand June 30, 1942 $ 601.30 No receipts or disbursements. 2 % FIRE DEPARTMENT TAX FUND. Balance on Hand June 30, 1942 $- 8.99 No,receipts or disbursements PUBLIC BENEFIT IN SPECIAL ASSESSMENT #1, 2, 14, 15 & 26. J Balance on Hand June 30, 1942 $ 127.71 Receipts - for Month of Jay 2.13 Balance on Hand July 31, 1942 $ 129.84 PRINCIPAL AND INTEREST WATERWORKS EXTENSION. Balance on Hand June 30, 1942 $ 156.59 Disbursements for Month of July 37.00 Balance on Hnad July 31, 1942 $ 119.59 WELLER CREEK DRAINAGE DISTRICT ASSESSMENT. Balance on Hand June 30, 1942 $ 1 14.34 Receipts for Month of Judy 17.17 Balance on Hand July 31, 1942 $ 131.51 FEJHANVILLE DRAINAGE DISTRICT ASSESSMENT. Blance on Hand June 30, 1942 $ 174.7 Receipts ofr Month of July 5.31 Balance on Hand July 31, 1942 $ 179.78 FIRE TRUCK BONDS PRINCIPAL AND INTEREST. - Balance on Hand June 30, 1942 $ 98.82 Receipts for Month of July ..82 Balance on Hand July 31, 1942 $ 99.64 WATER WORKS SYSTEM , General fund Balance on Hand June 30, 1942 $2105.29 Receipts for Month of July 1645.66 $375 Transferrs to Bond and Interest Account $ 144.00 Depreciation Account 14.79 Operating and Maintenance Account 406.75 6 . Balance on and July 31, 1942 $3185.41 ..rY WATER WORKS SYSTEM OPERATING AND MAINTENAOCE ACCOUNT. Transferred from General Water Fund $ 406.75 Disbursements for Month of July 406.75 WATER WORKS SYSTEM BOND AND INTEREST ACCOUNT. Balance on Hand June 30, 1942 $3408.96 Receipts for M`'nth of July 144.00 Balance on Hand July 31, 194 $3552.96 3.2 WATER WORKS SYSTEM DEPRECIATION ACCOUNT Balance on Hand June 30, 1942 $1227.57 Receipts for Month of July 14.79 Balance on Hand July 31, 1942 #1242.36 MOTOR FUEL TAX FUND SECTION 1 -C.S. DIV. A. Balance on Hand June 30, 1942 $ 116.87 r"4, r eceipts for Month of Juky 221.01 Balance on Hand July 31, 1942 $ 337.88 MOTOR FUEL TAX FUND SECTION 1 -C.S. DIV. B. Balance on Eand June 30, 1 942 $ .20 Receipts for Month of July 80.90 Balance on Hand July 31, 1942 $ 81.10 X CrJ It was moved by Trustee Mortimer seconded by Trustee Haberkamp that the W Treasurer's report be accepted as tead. Ayes: Greinke, Haberkamp, LeMay, Morti_,er and Wille. No Nays. d It was moved by Trustee Greinke seconded by Trustee Wille that the Special Assessment Report be placed on file. Motion carried. The following bills were then read. Herman F. Meyn Misc. Mdse. $ 24.56 R. F. Huecker Gas & Oil 91.49 A. W. Andre Office supplies 1.23 0'7 Pennsylvania Salt Mfg.Co. Perchioron 19.37 Appleyard Electric Co. Wiring Chlorinators 25.30 Kirchhoff Insurance President & Clerk Bond 25.001 Mt. Prospect State Bank August Library Rent 10.00 Busse Motor Sales Gas & 04.1 70.76 Republic Flow Meters 2# Mercury 11.00;, Lutter Brick Co. Dumping rubbish 3.O0,A.. Elmhurst Chicago Stone Co. Crush Stone 90.841-- Illinois Bell Tele #hone Co. Toll Charges 8.42 Meade Electric Co. Traffic sigmal repairs 29.50 Wille Coal & Material Service Street & Water supplies 118.90N. William Busse Jr. Treasurer's Bond 200.00 h, Busse Bierman Co. Mdse. 12.66 R. F. Huecker Laboe 10.54 M. C. Toms Labor 4.75i`• Edward Zinkel Labor 53.00N Edward Zinkel Labor 38.00 r ..._ Norbert Holste Labor 36.00 Norbert Holste Labor 41.50 I. 'J. besander Salary 30.00K Emil Greinke Salary 15.00 Herman Haas Salary 10.00 ,, Edwin Haberkamp Salary 10.00, Kermit LeMay Salary 15.00 r Wm. Mortimer Salary 5.00E ' Elmer Wille Salary 15.00 1rr S. W. Burda Salary 81.251 Public Service Company Traffic light energy 26.12 Public Service Co. Services 2.26 Public Service L 'o. Services 9.60 Putlic Service Co. Street Lighting 156.13 E. Public Service Co. Street lighting & power 105.69 N It was moved by Trustee Haberkamp seconded by Trustee Wille that the bills be approved for payment. Ayes; Greinke, Haberkamp, LeMay, Mortimer qnd Wille. Nays: None. It was moved by Trustee Mortimer seconded by Trustee Haberkamp that attorney Nickel be instructed to prefer charges against Charvat for damages inflicted on a light pole at Main and Lincoln Street on June 13, 1942. Motion Carried. 324 Attention was called to the damages existing on the streets having islands that contain holes and deep ruts. This was referred to the Street Committee to make an investigation and report there findings on the next regular - meeting. - The Chairman of Health and Drainage Committee submitted figures and a solution to the Gar Gage di posal. This was teferred to the Finance Com- mittee to call a special meeting for further investigation and discussion. A motiom was made by Trustee Wille and seconded by Trustee Greinke that the Mount Prospect State Bank and the First "atonal Bank of Chicago continue - as depositories for the funds of Fred G. Ville Treasurer and Collector of the Village of Mount Prospect, Illinois. There being no further business to come before this meeting the same was by ,,, motion duly made by Trustee Greinke and seconded by Trustee Mortimer adjourned. Motion carried, •