Box 8, Folder 20, Document 9

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Box 8, Folder 20, Document 9

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COA IDENTIFI- Form approved

CATION Budget Bureau No. 63-R1170
tne panty | City of Atlanta, Georgia
eeTesy [city g COST CONTROL STATEMENT

























AODRESS | 68 Mitchell Street MODEL CITY PLANNING GRANT
city | Atlanta, Georgia 30303 As of April 30, 1969
ZIP CODE
PERSON i Contract Period
eee ‘MP - 10 ~ 001
CONTRACT NO. PROJECT OR PROGRAM NUMBER Froml2/1/67 To 4/30/69
cost BUDGET AMOUNT PER COSTS INCURRED
eet tiaer ACTIVITY CLASSIFICA TION ApPRoveR CURRENT MONTH CUMULATIVE
ACCT.NO. BUDGET TO DATE
1401 Salaries $123.952.00 |s -0- 5142.381.88
1401 A Salaries-Non-Cash Con- 55,825.00} 10,820.67cr| 61,408 00
tributions
TOTAL SALARZTES 179,777.00 | 10,820.67cr| 203.789 88
1402 Employee Benefits 17,819 00 -0- 10,023.68
1402 A Employee Benefits - Non
Cash 5,583.00
TOTAL EMPLOYEE BENEFITS 23,402,00 -0- 10,023 68
1403 Consultants and Contract
Services 39,315.00 -0- 33,419.41
1404 Auto Allowance 2,945 00 -0- 3.039.78
1405 Travel 4,450.00 64.05 3,621.34
TOTAL TRAVEL 7,395.00 64,05 6.661.12
1406 Equipment Rental or
Purchase 10,088.00 24.93cr| 10,900.45
1407 Space Alterations and
other Space Costs 9,425.00 -O- 10,443.60
1407 A Space - Utilities 6,056 00 -O- 6 840.67
TOTAL SPACE COST 15,481.00 -O- 17.284.27
1408 Office Supplies 311,450.00 1,648.66 12,633.35
1409 Special projects-Citizeng
Participation Expenses 20,000.00 4,632.22 12,195.84
TOTAL ALL COSTS $306,908 00 § 4,500.67cr$306. 908.00
Certified Correct:
‘\
for Lys
ay he at o ae ive
q wet reek
Program Director
(Title)
May 12, 1969
(Date Submitted)











u. SS. DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT @ MODEL CITIES PROGRAM
COST CONTROL STATEMENT aabeahas
223406-P HUD-Wash., D. C. (11-67)
:
r| city of Atlanta, Georgia
4DDRESS | 68 Mitchell Street

| Atlanta, Georgia 30303
CE

PRINCIPAL
PERSON

4

Form onproved
Budget Gureau No. 63-R1166

STATEMENT OF FINANCIAL CONDITION
MODEL CITY PLANNING GRANT

AsOf_April 30. 1969

Contract Period





eesteS 'P - 01 - 001
CONTRACT NO, PROJECT OR PROGAAM NUMBFP From 12/1/67 7704/30/69 =¢
ASSETS
Cash:
Cush $ 9,834.71
Petty Cesh 150.00
Total Cash $ 9,984.71
Accounts Receivable :
Planning Grant 24,550.00
CDA Contribution -O-
Other 8.24 *
Total Accounts Receivable _ 24,558.24
306. 908.00

Cost Control
TOTAL ASSETS

341,450.95



LIABILITIES AND CAPITAL

Current Liabilities:

Accounts Payable
Accrued Liabilities
Total Current Liabilities

Deferred Credits:
Unearned Planning Grant
Unearned CBA Contribution

Tolal Deferred Credits
TOTAL LIABILITIES

Capital:
CDA Contribution
Planning Grant

Total Capital

TOTAL LIABILITIES AND CAPITAL

*The first $8 24 check was lost and a

waste ie
34,542.95
34,542.95

so f}sc
= {hee

angler ts
34.542 95

61.408.00

245,500
cae 10.00 306.908 00

341,450.95



second has been submitted



U.S. DEPARTMENT OF HOUSING AND URAAN CEVELOPMENT ®MOMREL CITIES PROGRAM

STATEMENT OF FINANCIAL CONDITION
223388-P

HiUp-Wesh., D.C.

HU D-70%.
(11-67)
Certified Correct:

, { f <1. i J
aan Be Mt ee x & Rea he Nt

E S Stgnetureh
a, — by sy

"Sema e

Program Director
(Title)

May 12, 1969
(Date Submitted)

Lemna nee HRS Pe MMe eee


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