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HomeMy WebLinkAbout~Master - Appropriating Expenditures for Fiscal Year 4/1/1912 through 3/31/1913 Section 1.. LO1PI OV'7 Oil".N T 1 CJND— (++ APPROPRIATION ORDINANCE � �All funds collect d Tiom th mill tux `I, for t r imp ot<r'v_�nt fund v uh is N0. 254, Soh rted to le One Tl.o wand Sr 1-111- i AN OP.DI\A\CE making a, iu ia- hcc° Dallas ($16ij0.60) and the balance tion for the Aines,itIow of the city can "n l u...' which is Seven Hundred Two ernment ut Ames, Lows, for the fi cat and ' c r 0 tedfdollars the 1) are here- f - Y y"ear beginning April 1, 191'� and enairiy in CIO,melted for the purpose of.pay- March 31at, 1913. to tee interest on street improvement � Be it crdained, by the City Council of bonds and for the payment of said bonds is they t^come du- and any balance t- the City of Anus, Iowa, thu tullotviI be: used for paying the cost of the mak- < appropriations be made for the ii. I year beginning April 1st, 1912 and enu_ ing, reconstruction or repair of any street � } nnprocement at the :ntersect]on o ing March 31st; 1913. streets, highways or avenues and alleys, S Section 1. GENERAL FUND—Tile l 1 amount of the general Lund derived from and at spaces opposite streets, 1 aways, 9 mill-tax levy e estimated for the fiscal 'avenues and alleys intersecting but not crossing, and at spaces opposite property year to be Eight Thousand Dollars owned by the city or the United States. ($8000.00) is hereby appropriated to pay ° Section 12. FUNDING BOND FUND S .the salaries of the city officers and em- e —All funds collected from the 2 mill tax ployes, and to pay the contingent ex- levy for the funding bond fund, which is peirses of the city property chargeable t 1 Hun- to said general fund. estimated red at ll to ($ One Thousand Sic Hun- ; .] dt•ed Dollars ($1600.U0) and the balance , Section. 2, ELECTRIC LIGHT FUND on nand which is Two Thousand Five I i t —Tile amount of the electric light fund ; Hundred Seventeen and 08-100 Dollars derived from the 4 mill tali levy is esti- ($2517.0,3) are hereby appropriated for mated to be Three Thousand two hun- the purpose of paying the interest on the ' dred dollars, ($3200.00) is hereby appro- funding bonds outstanding and such pro- a t priated to pay for city street lighting. portion of the principal that at the end of Section ELECTRIC DEI'ARTMIENT t five ,years the sum raised shall equal at FUND—All the receipts and earnings of - least 20 per cent of the amount of the the electric light plant, which is estimat- bonds issued, at the end of ten years at ed to be $35,855.30 is hereby appropriat- 1 least 40 per cent of said amount, at the ed to pay interest on the bonds issued end of fifteen years at least 65 per cent for the construction of the said plant, of said amount and at or before the date + ; and pay the salaries of the employes en- t of maturity of said bonds a sum equal gaged in operation thereof, and to pay 1 to the amount of the unpaid principal ' ` the expense of operating, maintaining and interest, which tax shall be used to and making the necessary extensions pay such principal and interest and for i Also purchase of any new machinery no other purpose. E required or the payment of any debt f Section 13. LIBRARY FUND—All from the balance now on hand in tine funds collected from the 3 mill tax levy city treasury, which said amount is for library purposes, which is estimated $12,000.00. > to be Two Thousand Five Hundred Do]- Section 4. WATER WORKS FUND— lays ($2500.00) is hereby appropriated The amount of the waterworks fund de- for library expenditures, and said fund is rived from the 5 mill tax levy is estimat hereby set aside and placed under the - ed to be Three Thousand Eight Hundred control of the Library Board of the City Dollars ($3800.00) is hereby appropriat- of ed to Day the interest on bonds issued Section 14. Be it further resolved that ' for tine construction and extension of ` the city treasurer be and here is hereby said plant. ordered and directed to open and place j Section 5. WATER DEPARTMENT upon the books of the city accounts in FUND—Al1 the receipts and tine earn- conformity witfi the appropriations herein ings of the waterworks p!ant which is ; made and if at the end of the year there estimated for the fiscal year to be i is any excess in any appropriations here-. $9,104.35 is hereby appropriated to pay in made, he is hereby ordered and direct- the expenses of operating, maintaining, ed to pass the same to the credit of such pumping water, making the necessary +, fund. extensions and to pay the salaries of Section 15. This ordinance shall be in employes engaged in the operation there- full force and effect from and after its of, also the purchase of any new ma- f passage and publication as required by f chinery required, any balance not so re- law. quired is hereby appropriated to pay off A• B. Maxwell, Parley Sheldon, outstanding claims against said fund. City Clerk. Mayor. ! Section 6. SEWEtt FUND No. 1—Ali funds collected fruril the 3 mill tax levy or server district number one, and in. 1 come from other sources which estimat- ed for the fiscal year to One Thousand Eight Hundred Dollars ($1800.00) are hereby appropriated to pay warrants due for the cost of the construction of the sewer disposal plant and outlet, and to "7 t pay the interest on the same, and to pay the expense of operating and maintain- ing the sewer district number one, and any balance now on hand in the said fund to be used for the same purposes. � � Section 7. SE-kVE). DISTRICT No. 2 i�'�' '�'�� � —All funds collected from the 5 mill tax levy for sewer district number two, and balance hand and any income from other sources is hereby appropriated to r pay warrents that may be drawn on said t �. fund to an amount estimated to be Four 9 Hundred Dollars ($400.00). -- � � Section S. SEWER DISTRICT No. 3 t ' —All funds collected from the 5 mill tax `, 1 levy for sewer district number 3 and balance on hand and any income from other sources is hereby appropriated to pay the warrants due for the cost for the 'construction of the cities share of the ) college disposal plant, extension and out- let and to pay the interest on the same, said fund is estimated to be Seven Hun- ' died Dollars (�7oo.00). fin Section 9. ROAD FUND—All funds collected frorn the 4 mill tax levy from i the road fund and the poll_ taxes col- / p lected by the city and any income re- ceived from other sources which is esti- mated to be One Thousand Two Hundred Dollars ($1200.00) .are hereby tiporopriat • ed for.the purpu e oC maintaining or ex- c t ending the public highwu.,,s of the city. - bectiun lu. ( 1 ADIN� t U ND--Ali funds collected from tihe 3 mill tax levy" for the iading fund, and income from Other sources, wilicli is estimated for the 1 tiscnl yexr to he Ttvo Thunsand 1''lt'e Hun ` ctr23 1>oliars ($2-oo.o0) are lhereoy ap- . pi,­11,1Led for t W pury..,.r of ";miring -the r.> of tlua city and paynheut of labor f