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HomeMy WebLinkAbout~Master - Providing for Notice to City Clerk of Removal of Household Goods Z. ` 9 g ged in the operation thereof, and ?"t� pay tine evnenses of operating, Wrath• dr 1" . N taining and gzakin�� — -- All -f which FUND'No. "2:� b the necessary ex. 'sk Bottrop t. SE collected from the a mill ' tensions, the purchase of any new ,0 - - APPROPRIATION ORDINANCE y mated to be $175.00 machinery required, and tite payment ' i of an authorized or empowered s NO. 273. is hereby appropriated for the estab- y' Powered debt L t lishment of sewer disposal purpose in or obligation incurred heretofore or { AN ORDINANCE, making appro- ,ti _ said district. to be assumed during the fiscal year; priation for the expenditures of the S ec. S. SEINER DISTRICT FUND the accumulated earnings now on c �~ City government of Ames, Iowa, for No. 3. All funds collected from tha hand in the city treasury and earn- the fiscal year beginning April 1st, 1 All funds collected from the 5 mill 'ings due said fund are also hereby ap- s 1915 and ending March 31st, 1916. mill levy estimated to be $700. is here- Iproprxated for the payment of any or is 3E IT ORDAINED, by the City by appropriated to pay warrants and !.all of the above purposes named. b. Council of the City of Ames, Iowa, interest thereon for the cost of con- . Section 13. WATER WORKS DE- !h that the following appropriations be strutting the city's share in college "PARTMENT FUND. All receipts and a made from the several funds of the disposal plant. earnings of the water works plant, 8 City of Ames, as follows, to,wit: Section 9. IMPROVEMENT FUND. which is estimated for the fiscal year a: Section 1. GENERAL FUND. That All funds collected from the 2 mill tax'to be $14,000.00 is hereby appropriat- !c the amount of the General Fund de- levy which is estimated to be $1700.00 led to pay the salaries of the superin- IE rived from the 10 mill tax levy for the and any balance on hand in the city ,tendent and the city clerk's allow- ft fiscal year, is estimated .to be $to, treasury is hereby appropriated. to {ante for water accounting depart- " ' 000.00, which together with all mon- pay street improvement bonds ' now ment, which shall be by bills filed h Eies received from licenses, fines and I. y bal- !monthly audited and allowed by the b due and the interest thereon an iother sources, which properly belong ante to be used for the payment of city council and to pay the wages of h t the cost of the making, reconstruc- the employes that are engaged in the '• i 'to the said fund, and any balance on xr Land in the city treasury, is hereby ' tion or repair of any street improve- operation thereof, and pay the ex r .appropriated to melt. !-penses of operating, maintaining and ! t pay the salaries and f t. Section 10. FUNDING BOND making the necesary extensions, al- other expenses properly chargeable s t and the Payment of any of any new machin-- ,to said fund. FUND. All funds collected from the so the purchaseit Section 2. ROAD FUND. All funds 2 mill tax levy which is estimated to ery required, u r be $1,800.00 and the balance on hand authorized and empowered debt or� .received from the 5 mill levy on agri- it which is $4,752.37 are hereby appro obligation incurred heretofore, or to t cultural lands within the city of Ames i d during this fiscal year; and the amount received from the priated to pay the interest on the be assume I t, r, fundin- bonds, and such proportion the accumulated earnings now on county Road Fund for which no levy hand in the city treasury and the i E is made by the city, and the poll taxes of the principal that at the end of y t equal at collected by the city, and any income years the sum raised shall a earnings due said fund, are also ap- received from other sources which is least 20 per cent of the amount of the propriated for the payment of any or estimated to be $2,400.tc0, are hereby bonds issued and at the end of ten all of the above purposes named. lappropriated fo^ the purpose of main- years at least 40 per cent and at the Section 14. CITY HALL FUND. „3 taining and extending the public high- 1 end of 15 years at least 65 per cent All receipts collected from the 2 mill i ways and other expenses properly and at or before the date of maturity levy which is estimated to be $1700.00 t chargeable to said fund. of said bonds a sum equal to the is hereby appropriated to pay Inter-1a Section 3. GRADING FUND. All amount of the unpaid principal and est and amount due on purchase of funds received from the 3 mill tax .interest which tax sahil oe used to !grcancl for city,hall and fire station c levy for the grading fund and income pay such principal and interest and f Purposes. from other sources, which estimated foa OOO.00 r no other Ar purpose- Bonds issued Section 15. FIRE FUND. All re•I E to be $_400.00 together with any $2 ' August 1st, 1909. ceipts collected from the 1 mill tax I I balance on hand, is hereby appro- Section 11. LIBRARY FUND. All levy which is estimated to be $850.00 ;balance for the payment of the differ- ; funds collected from the 3 mill tax !is hereby appropriated to pay any ex- tent expenditures of the City for the 1, levy which is estimated to be $21700.- 1 penses incurred an maintaining and , fiscal year, properly chargeable to i 00 is hereby appropriated for library operating the fire departments of the said fund. expenditures, and said fund is hereby I City of Ames. .Section 4. ELECTRIC LIGHT set aside and placed under the con. I� Section 16. PARK FUND. All re- FIT-ND. The amount of the electric trol of the Library Board of the City ��ceipts collected from the 1 mill tax I iigIxt fund derived from the 4 mill tax of Ames, Iowa, and the City Treasur- levy, which is estimated to be $850.00 levy is estimated to be $3,300.00 and er is hereby instructed to accept and is hereby appropriated for the pay-I 3 any balance on hand is hereby appro Pay warrants drawn by the said board nrent of the different expenditures of on said fund, and the board shall i'the city for the fiscal year properly printed to pay for the city street lighting. make its report of its official tran-"chargeable to said fund. i Section 5. WATER FORKS FUND sactions to the city clerk within 30 Section 17. FUNDING FUND. That The aniount of the water works full days from the expiration of the fiscal ; the balance on hand in the Funding ; to be derived from the 4 mill tax levy year, viz: April -1st, 1915 as required Fund which amounts to 6S cents be which is estimated to be $3,300.00 so by law. It transferred to the General Fund. much as is necesasry is hereby ap-; Section 12. ELECTRIC DEPART- I Section 15. That the City Clerk Propriated to pay interest on bonds, MENT FUND. All receipts and earn j�and Auditor is hereby ordered and di- and any balance not so used to be set ings of the Electric Light Plant, which erected to open and place upon his rrle from baying bonds when du. is estimated to be $50,000.00 is hereby books, amounts in conformitc With. Section 6. SEWER FUND NO. 1. appropriated to pay the interest on'I — the $i2,000.00 bonds issued for the ,appropriations herein made. {<lcl funds collected from the 5 mill j` Section 19. This appropriation tux lacy and income from other original construction of the plant, to I pay the salaries of the superintendent ordinance shall be of full force and I soils ces, winch is estimated to be effect after its passage and Publica- �) is hereby appropriated to and city clerks allowance for electrre i accounting department, which shall ' tion as provided by law. ,,t< <,arrxnts due for the cost of tile,' t, be by bills filed n:ont.r.ly. atulrteri and 1 PARLEY SHELDON, )layor- I,.�i rictunr of the stoup sewer out tAttest: A. B. ltAXWEIA. City Clerk- � 1 allowed hy- the city coupon. at t to Pr ..ri interest on the same, and to pay the wages of the employees en- t .: z;,e:nse of rni;tin.; ar::i ;tt - - r I i 'd in to j f r1A a( po i t y.=