Annual Report Town of Campton, N.H. 1983

Cover Annual Report Town of Campton, N.H. 1983
The book Annual Report Town of Campton, N.H. 1983 was written by author Here you can read free online of Annual Report Town of Campton, N.H. 1983 book, rate and share your impressions in comments. If you don't know what to write, just answer the question: Why is Annual Report Town of Campton, N.H. 1983 a good or bad book?
Where can I read Annual Report Town of Campton, N.H. 1983 for free?
In our eReader you can find the full English version of the book. Read Annual Report Town of Campton, N.H. 1983 Online - link to read the book on full screen. Our eReader also allows you to upload and read Pdf, Txt, ePub and fb2 books. In the Mini eReder on the page below you can quickly view all pages of the book - Read Book Annual Report Town of Campton, N.H. 1983
What reading level is Annual Report Town of Campton, N.H. 1983 book?
To quickly assess the difficulty of the text, read a short excerpt:

83-84 Appropriation $325,000.00 Revenue Sharing Funds 36,087.51 Fire Equipment Capital Reserve Fund 8,871 .94 Equipment Capital Reserve Fund 3,937.61 Waste Disposal Capital Reserve Fund 180,819.27 Yield Tax Deposits 1 ,465.00 Property Appraisal Information Appropriation 3,789.65 Planning Board Appropriation 82 & 83 2,076.68 Park and Recreation Balance 821 .75 State of N.H. Dog License Fees 111.00 Balance 1 983 Care of Dump 3,375.00 Balance 1 983 Vault Appropriation 3,394.67 1983 Tar and /or Chl...oride Funds 8,000.00 Escrow Fund 3,584.87 TOTAL LIABILITIES 581 ,334.95 Excess of Assets over Liabilities 90,535.09 ASSETS $671,870.04 Cash in Hands of Treasurer, December 31 , 1983 $172,824.91 Revenue Sharing Fund Savings Account $ 8,148.63 Certificate of Deposit 27,938.88 36,087.51 Fire Equipment Capital Reserve Fund 8,871 .94 Equipment Capital Reserve Fund 3,937.61 Waste Disposal Capital Reserve Fund Savings Account 18,675.83 Certificate of Deposit 162,143.44 Escrow Fund Savings Account 44.54 Certificate of Deposit 3,540.33 180,819.27 3,584.87 Uncollected Property, Resident, and Yield Taxes 203,920.74 Unredeemed Taxes, Previous Years 61 ,823.19 TOTAL ASSETS $671 ,870.04 29 TOWN CLERK'S REPORT Received through 1983: Auto Permits $ 74,864.00 Dog Licenses 1,539.75 Filing Fees 21.00 Miscellaneous Fees 2,084.35 (UCC, CTA, Certified Copies, etc.) Remitted to the Treasurer: Auto Permits $ 74,864.00 Dog Licenses 1,539.75 Filing Fees 21.00 Miscellaneous Fees 2,084.35 (UCC, CTA, Certified Copies, etc.) $ 78,509.10 $ 78,509.10 TAX COLLECTOR'S REPORT Fiscal Year Ended December 31 , 1983 -DR.- — Levies of : 1983 1982 Uncollected Taxes Beginning of Fiscal Year Property Taxes Resident Taxes Land Use Change Taxes Prior $167,456.47 $ 1,334.44 1 ,420.00 220.00 100.26 492.09 Taxes Committed to Collector: Property Taxes 1,240,174.09 Resident Taxes 11,840.00 National Bank Stock Taxes 174.68 Yield Taxes 1,841.11 11,032.42 Interest & Dividends 107.09 Added Taxes: Property Taxes 18.72 Resident Taxes 980.00 10.00 1984-Prepaid Taxes 2,785.54 Overpayments: a/c Property Taxes 884.94 Interest Collected on Delinquent Property Taxes: 3,228.60 8,518.43 503.58 30 Penalties Collected on Resident Tax es: 20.00 79.00 9.00 TOTAL DEBITS $1,262,054.77 $188,616.58 $ 2,559.11 -CR.- Remlttances to Treasurer During Fiscal Year Property Taxes Resident Taxes National Bank Stock Taxes Yield Taxes Interest Collected During Year Penalties on Resident Taxes Interest & Dividends 1984-Prepaid Taxes Abatements Made During Year: Property Taxes Resident Taxes 1,039,242.68 167,189.74 10,880.00 174.68 1,841.11 3,228.60 20.00 107.09 2,785.54 2,332.73 440.00 780.00 8,521.01 8,518.43 79.00 610.00 1 ,334.44 90.00 492.09 505.58 9.00 130.00 Uncollected Taxes-End of Fiscal Year: (As Per Collector's List) Property Taxes Resident Taxes Yield Taxes TOTAL CREDITS 199,502.34 1 ,500.00 366.99 40.00 2,511.41 $1,262,054.77 $188,616.58 $ 2,559.11 31 SUMMARY OF TAX SALES ACCOUNTS Fiscal Year Ended December 31 , 1983 -DR.- Tax Sales on Account of Levies Of 1982 1981 1980 Balance of Unredeemed Taxes- Beginning Fiscal Year* $ $25,796.81 $19,043.75 Taxes Sold to Town During Current Fiscal Year** 69,162.12 Interest Collected After Sale 1,304.74 1,729.64 5,022.51 Redemption Costs 666.85 343.45 318.60 TOTAL DEBITS $71,133.71 $27,869.90 $24,384.86 -CR.— Remittances to Treasurer During Year Redemptions 23,530.02 9,021.32 18,557.21 Interest & Costs After Sale 1 ,971 .59 2,073.09 5,341.11 Abatements During Year 354.20 Deeded To Town During Year 336.45 247.95 132.34 Unredeemed Taxes-End of Fiscal Year 45,295.65 16,527.54 TOTAL CREDITS $ 71,133.71 $ 27,869.90 $ 24,384.86 'These sums represent the total of Unredeemed Taxes, as of January 1, 1983 from Tax Sales held in Previous Fiscal Years.

What to read after Annual Report Town of Campton, N.H. 1983?
You can find similar books in the "Read Also" column, or choose other free books by Campton (N.H. : Town) to read online
MoreLess

Read book Annual Report Town of Campton, N.H. 1983 for free

You can download books for free in various formats, such as epub, pdf, azw, mobi, txt and others on book networks site. Additionally, the entire text is available for online reading through our e-reader. Our site is not responsible for the performance of third-party products (sites).
Ads Skip 5 sec Skip
+Write review

User Reviews:

Write Review:

Guest

Guest