Loading...
HomeMy WebLinkAbout~Master - Appropriating Expenditures for Fiscal Year 4/1/1917 through 3/31/1918 APPROPRIATION ORDINAtCl: Sec T. Cemetery Fund: All funds I, hO 291 received frcrn the one au 1 one-half ed An ordiva.ce malting appropriation (lri_1 mill tat levy, which is estim,t-! o aj o c for the expenditures of the city goy ed to be $1,600.00. is hereby appro-I � cd a. ernment of Ames, Iowa, for the fiscal r.riaterl for the purpose Of purchase cd cs , I i year beginning April 1, 1917; and end-' of land for cemetery purposes or pav- ing march 31, 1918. ment of the purchase price thereof, aai'cy a y -�°"u Z Be it ordained by the city council :and fnr the maintenance and care of y T ; of the city of Ames, Iowa, that the the city cemetery., `� o E ~ i following appropriations be made from Sec. 8. Park Fund: All funds re- the several funds of the city ;:f Ames, 1-which estimated to 000.O0 is om the elbe $11) mill tax e` Iowa, to-wit: Section 1. General Fund: That the {hereby appropriated for the purpose of; Cd t3 ='° amount of the general fund derived any expenditures properly chargeable m i :j ^ ° = r,t r from the.10 mill tax levy.is estimated to said fund. jw T to be $$10,000-00 which together with See. 9. Garba.ge Fund: All funds @- y 66w a c C all licenses, fines and monies received received from the one (1) mill tax w >,a p long to said fund, and which pbapance on erly be-' levy which is estimated to be $1,000.00 i ° °from other u c ?: j s is hereby apuropriated to pay the ex- "•~✓M hand in the city treasury which is es- pence of sanitary disposal of any filth o 3 c�°°� b timated to make a total amount in !or earha2e orgy other waste material00 m o „ m c said fund of $12,000.00, is hereby ap-, 'within the district comprising the, in-` c = c'^. c propriated for the purpose of paying corr?oration of Ames, Iowa.. jN o the salaryof the city officers, em ! a" "^ c a ` w Y See. 10. City Hall Building Fund: [ o ^ y o ployes and other expenses properly All receipts from the three (3) mill a" G/ chargeable to said fund, and that the tax levy which is estimated to be s~ b a c a'4 I • if salary of city officers, payable from °'^•~ o ° v a ~ a ^ a , this fund, is herebyfixe as follows,i �3.000.00 and any balance on hand is c a�a ° o 0 0 �o c i� herel-v appropriated for the payment v a : of city to`a yor, $300.00 per annum and all4; there ilasltheesame may bnds and lecomeedue, ty rest a;- N fees. and any indebtedness properly charge- ° o ° F y a 0.0 ce Ii: r;n Treasurer, $50.00 'per annum. k able to said fund. c. City Clerk, $900.00 per annum. Sec. 11. Fire Department Fund: m a s - a ° i b o Solicitor, $250.00 per annum. All receipts from the four and one- o .a m cs a m 1 in t}. City Council (6), $50.00 per annum half mill tax Ievy for fire department Cd C' m ° `s ... Oa.•~. tom- V kyo each member. --�_._ --_ - .a >,a,y, ^' ,�.o•.. ��y m 1 t t e r. Health Officer, $125.00 per annum. a ti ° 3 e :~ cr z r t City Engineer, $1800.00 per annum. fund which is estimated to be $4,500, y ; o 3 . is hereby appropriated as follows, to- o a) '� bI In City Marshal, $960.00 per annum wit: $1,500 is ap propriated for the a a m ° a a a ° and all fees., purpose of payment of warrants due `�"'^ c� ^ ` 'd V Deputy Marshal, $900.00 per annum for the purchase of equipment (fire. 'lurw of t and all fees. I 01 $3,000 is a s tto; Street Commissioner, $1320.00 per truck, etc.,) and interest thereon;appropriated for the payment of thr� c•er annum. of the maintenance and any expense of in' rr,:i Sec. 2. Road Fund: All funds re-: properly chargeable to said fund. ceived from the five mil levy on agrt- cultural lands in Ames, and amount j, Sec. 12. `dater Works Fund: All i S c. 3. funds received from the four (4) mill received from county road fund, for'; -- I tax levy which is estimated to be t, r which no levy is made by the city,! $4,000.00 and any balance on hand in and amount received from the collet the city treasury is hereby appro- ation of poll taxes, and the city's pro- x, based priated to pay interest on water portion of the automobile t ; works bonds, and any balance not so ,1 V upon the number of miles of unpaved used is set aside to pay bo:^ds when n streets in the city, and any mcoi`ne due. from other sources, which is estimated, Sec. 13. Electric Light Fund: All to be .$2,000.00 is hereby appropriated funds received from the four (4) mill t: for the maintenance and extension of tax levy which is estimated to be the public highways and the different' $4,000.00 and any balance on hand in „ t expenditures properly chargeable to the city treasury is hereby appropriat- said fund. I ed to pay for the street lighting. Sec. 3. Grading Fund: All funds Sec. 14. Water Department Fund: received from the three (3) mill levy All receipts and earnings of the water .for the grading fund and income from`. works plant, which is estimated to be v t other sources which is estimated to! $19,000.00 and any balance on hand,hd' i d t th . be ,.j,000.00 and any balance on ans hereby appropriated pay e sal- is hereby appropriated for the pay-1 aries of superintendent, city clerk and ment of the different expenditures auditor's allowance for water account- properly chargeable to said fund. ing department, wages of employes �+ 1 Sec.:4. Road Dragging Fand: All 1.engaged in the operation thereof, and I i funds received from the one (1) mi'_I pay the expense of operating, main-. �V r ,levy for the road dragging fund which i taining, making the necessary eaten-. is estimated to be $1,000.00 is hereby slops, the purchase of new machinery appropriated for the expenditures required, and the payment of any ` properly chargeable to this fund. authorized or empowered debt or obli-' R Sec. 31.. Improvement Fund: All gation incurred heretofore or to be funds received from the five (5) mill! assumed during the fiscal yaer. i tax levy which is estimated to be I Sec. 15. Electric Department Fund: $5,000.00,rand any balance on hand is; All receipts and earnings of the elec- ! �,• i - hereby appropriated to pay street im trie light plant, which is estimated to l provement` bonds or tax warrants be $65,000.00, and any balance on _ and the interest thereon, and any bal-', ante to be used in payment of the r hand, is hereby appropriated to pay r p� j cost of any street improvenaen. prop- the salaries 'of the superintendent,I J I r erly chargeable to said fund. city clerk and auditor's allowance for. Ser, 6. Sewer Fund: All funds r?-; electric accounting department, wages ceived from the five (5) mill tax levy, of employes engaged in the operation: .which is estimated to be ,O00.00, and thereof, and pay—the expense of operat-, i any balance on Band is hereby appro 1 ing maintaining, making the neces-j priatett to pay tax warrants clue for sary evcrr uns, the purchase of any the cost of construction of the sto na �ne= iiachin ry rewired, and the pay- ,. sever outlet and interest on aarnE Ii,(ut of any aurho ir.ed debt or ubli- � 1 and to pay the xar,ants duo for tl e i -r ltron ine u c ! horeroLlore or to be �N tot of et of rru 1 ,ir �oL> a' l-l"led rtu tti : t lo year. nl�nt ni inn t th reol._ o ally; � y a!1 [ Inds .,. .. t vo I_ :a: . tax