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HomeMy WebLinkAbout~Master - Appropriating Expenditures for Fiscal Year 4/3/1911 through 3/31/1912 t - 4 _- _-- Section 10. FUNDING DOND FUND. All APPROPRIATION ORDINANCE NO ,funds collected from the lecy- for the �# 250 funding bond fund tax.which is estimated • to he. Twenty Fuor Hundred Dollars AN ORDINANCE making approprra R4}00.00) are hereby appropriated for i tions for the xpenditures of the city the nurpose of navinz the interest on government of Ames, Iowa, for the fiscal funding bonds mrtstandin and such pro- year beginning April 3rd, 1911, and end- nortion of the nrincroal that at the end ing March 31st, 1912. of five vea.rs the sum raised shall equal Be it ordained by the City Council of at least 20 ner cent of the amount of the the City of Ames, Iowa, that the follow- bonds issued. at the end of ten years at ## ing appropriations be made for the fiscal least 40 ner cent of said amount, at the ' 9 year beginning April 3rd, 1911 and end- end of fifteen years at ]east 65 Der oent ing March 31st, 1912. of said amount, and at or before the1 Section 1. GENERAL. FUND. The amount date of maturity of said bonds a. sum of the general fund is estimated for the 1nua1 to the amount of the unpaid prin- fiscal year to be Eight Thousand DOI cinal and interest, which tax shall he lars ($3,000.00) is hereby appropriated to:usarl to pay such nrincipal and interest pay the salaries of the city officers and and for no other purpose. ♦}> employes, and to pay the contingent ex- Section 11. Be It Further Resolved. penses of the city properly chargeable to;That the city treasurer be and he is ebre- said general fund. by ordered and directed to open and { Section 2, ELECTRIC LIGHT FUND. All place unon the books of the city ac- - funds collected from the levy for the counts in conformity with the approm-la- electric light plant, and the earnings Of,tions herein made. and if at the end of said plant, which is estimated for the,the ear- these is any excess in anv an- r' fiscal year to be Thirty Five Thousand pronrintions herein made. ha is hereby Dollars ($35,000.00) are hereby appro- ordered and directed to pass the same to priated to pay interest on the bonds is- the credit of such fund. sued for the construction of said plant, Rectton 12. This Ordinance shall be in and tpayhe for the city street l,6ye nng and full force and effect from and after its pay the salaries of the employes engag- Dassage and publication as required by !ed in operation thereof, and to pay the law' expenses of operating, maintaining and A. B. Maxwell. Parley Sheldon. making* the necessary extensions. Any 50-2t City Clerk, Mayor. balance not so required is hereby appro- ---- - -..-.--- _-- priated to pay off outstanding claims g against said funds. y1 Section 3. WATER WORKS FUND. All - funds collected from the levy for the water works fund and the earnings of q the water works plant which is estimat- ed the fiscal year to be Eleven Thous- and and Dollars ($11000.00) are hereby ap- propriated to pay the interest on the t bonds issued for the construction and ex- 1 tension of said plant, and pay the ex- penses of operating, pumping water, maintaining and making the necessary extensions, and to pay the salaries of r employes engaged in operation there of; i any balapce not-so required is hereby appropriated to pay off outstanding - claims against said fund. Section 4. SEWER from Ft Nn No. I. All211 / funds.collected from the levy for sewer district number one, and income from I other sources which is estimated for the fiscal year to be Sixteen Hundred Doi- Mars ($1600.00) are hereby appropriated t to pay the warrants due for the cost of b the construction of sewer disposal plant S 1 f and outlet, and to pay the interest on the I same, and to pay the expenses of oper- ating and maintaining the sewer in dis- trict No 1, Section 5. SEWER DISTRICT NO, 2 Al' funds collected from the levy for the s sewer district No. 2 and balance on hand is hereby appropriated to 'pay warrants 3 that may be drawn on said fund to an • j{ i amount estimated at Three . Hundred ! Fifty Six- Dollars ($356.00). t Section 6. SEWER DISTRICT NO. 3. All funds collected from the levy for sewer { district No. 3, which is estimated for the 1 p fiscal year to be Seven Hundred Dollars 1 • '$700.00) is hereby appropriated to pay the warrants due for the cost of the construction of sewer disposal plant ex- 3 tension and outlet, and to pay the interest i on the same and the balance now on hand to be used for the same purpose. j t Section 7. ROAD FUND. All funds col-, i lected from the levy from the road fund, and poll taxes collected, and any income received from other sources which is ms timated for the fiscal year to be Two f Thousand Dollars ($2,000.00) are hereby - I appropriated for the purpose of main- taiy ng or extending the public high- ways of the city, Section $. GRADING FUND. All funds I collected from the levv for the grading g fund, and income from other sources Ai which is estimated for the fiscal year to he Twenty Four Hundred Dollars ($2400.- i 00) are hereby.appropriated for the Par- Pose of grading the streets of the city I and payment of labor thereon. S Section 9. InIPROVEaIENT FUND. All l# '- funds collected from the levy for the Im- provement fund which is estimated to he { Sixteen Hundred Dollars ($1600.00) are i hereby anpropriated for the purpose of 1 paying the interest on street improve- i ment bonds. and for the payment of said bonds as thev become due, and any bal- ance to he used for paving- the cost of the making, reconstruction or repair of any street improvement at the intersec- tion of streets. highways, avenue, or alleys, and at soaces opposite streets, j highvvav s, n.yenucs and alleys aratersect- i i ing, but not ero5sinc and at snaees on- nosite prop•rty o'v-ned by the eity or the United Stites, and for _the purpose of n,iying the purl I :e price and ail -equent taxes a„}inst lrnpetCY' Pur- ichased by the city at tax sales. Sk • y.