圣保罗水厂
去年,在明尼苏达州圣保罗的一项调查中,由纽约的工程师艾伦·哈森(Allen Hazen)进行了供水系统,纽约的工程师艾伦·哈森(Allen Hazen)概述了估计的进步,估计成本为1,591,000美元,并将在未来十年内进行。这些计划要求通过提高水稻湖系统将储水供应量增加到147.3亿加仑。高级服务30,000,000加仑的水库,作为最终60,000,000加仑水库的一部分;高服务系统的3万加仑容量和15,000,000加仑泵的过滤厂。15,0000.000加仑泵的合同已经获得授予。1915年发行的水工厂报告指出,在这一年中,水工厂的净盈余为148,912.57美元,比运营费用收益为1914年的12,191.50美元。售出412,042,090立方英尺的水,比1914年的水高11,959,912英尺。铺设了80,746英尺的管道,比1914年多405英尺。概述了$ 1,591,000的计划。开发了插入阀门和管道的机器。在流域种植了23,500棵树,比1914年多了10,500棵。重塑主办公大楼并建造了一个补充。在城市的克利夫兰大道区安装了一个新的抽水站,以提供200,000加仑的坦克。 Superintendent House recommends that a suggestion of the National Board of Fire Underwriters for an extension of the 30-foot low service main from Cayuga street to Grove street and Broadway, by way of L’Orient street, be carried out. It is to increase fire protection. The report also shows that during 1915 the total revenue was $460,216.20, as compared with $453,076.59 for 1914. Operating expenses and main, tenance charges were $148,146, as compared with $144,633.90 during 1914. sinking fund installment, $80,400, as compared with $83,400 in 1914, and interest on bonded debt of $82,757.57, as compared with $88,321.28 in 1914. The total operating expenses and maintenance charges were $311,303.62, as compared with $316,355.27 in 1914, leaving a net surplus of $148,912.57, as compared with $136,721.07 in 1914. During 1915 bonds for $100,000 net were redeemed.
去年,在明尼苏达州圣保罗的一项调查中,由纽约的工程师艾伦·哈森(Allen Hazen)进行了供水系统,纽约的工程师艾伦·哈森(Allen Hazen)概述了估计的进步,估计成本为1,591,000美元,并将在未来十年内进行。这些计划要求通过提高水稻湖系统将储水供应量增加到147.3亿加仑。高级服务30,000,000加仑的水库,作为最终60,000,000加仑水库的一部分;高服务系统的3万加仑容量和15,000,000加仑泵的过滤厂。15,0000.000加仑泵的合同已经获得授予。1915年发行的水工厂报告指出,在这一年中,水工厂的净盈余为148,912.57美元,比运营费用收益为1914年的12,191.50美元。售出412,042,090立方英尺的水,比1914年的水高11,959,912英尺。铺设了80,746英尺的管道,比1914年多405英尺。概述了$ 1,591,000的计划。开发了插入阀门和管道的机器。在流域种植了23,500棵树,比1914年多了10,500棵。重塑主办公大楼并建造了一个补充。在城市的克利夫兰大道区安装了一个新的抽水站,以提供200,000加仑的坦克。 Superintendent House recommends that a suggestion of the National Board of Fire Underwriters for an extension of the 30-foot low service main from Cayuga street to Grove street and Broadway, by way of L’Orient street, be carried out. It is to increase fire protection. The report also shows that during 1915 the total revenue was $460,216.20, as compared with $453,076.59 for 1914. Operating expenses and main, tenance charges were $148,146, as compared with $144,633.90 during 1914. sinking fund installment, $80,400, as compared with $83,400 in 1914, and interest on bonded debt of $82,757.57, as compared with $88,321.28 in 1914. The total operating expenses and maintenance charges were $311,303.62, as compared with $316,355.27 in 1914, leaving a net surplus of $148,912.57, as compared with $136,721.07 in 1914. During 1915 bonds for $100,000 net were redeemed.




















