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HomeMy WebLinkAbout~Master - Appropriating Expenditures for Fiscal Year 4/1/20 through 3/31/21 s,'� ...,.�.,z � ' .. r�.a=.- >K ..,.. .._.. �,.+,auw..rwv.�r....a.,..o-.=.........,...n.....x..h,...e..�._.. .- `�" r.:.rR's.�....:��..,......�...v........s-.-- a.�s�,..•.�,...,.,.....u�t.:a:..»>...�,n.,.......o-u�....e .w- ..r_.,,w «` S Copy of Ordinance Prepared by A. B.Maxwell, City Clerk, Ames, Iowamainten #} h is APPROKRINAINUE,Omak making appropriations ons or(w)ages are properly the payable fro whose thissalary de- $3000.uuanmaking ce ica total levy ofted 400 00,is e.i 6 for the expewnaiturest of ne fiscal city beg nn itg re eiven such tsalaries soor swages tax land, City ment shall y of Pwar antsd due fo for r purpose re engine and g of Ames, equipment and the interest thereon and for April e 1 ow , for ending Niarcn 31, 19zi. l�Lunr.i may from time to tine authorize by motor combination chemical fire engine and BE IT ORDAINED, By the City Counml of resolution. i° the City of Ames, Iowa, Tnat the following (c) General Street E, Grading, For ro e- the t Payment of themaintenance ry the fire TI�' aDPropriations be moue from the several payment of Maintenance, Grading, pany's service, which is herahy fixed at $2.w% i funds of the City of Ames, Iowa, to-wit: moots and mscenaneous expenses other than truck driver, and the volunteer lire coin- 1 Section I. CONSOLIDATED TAX FUND. special assessments. That the amount of the Consolidated tax de- (tl) - l�or 5creet Lighting to Pay the oleo earn member attending a fire and rendering the city treasury is also appropriated for rived from the 32 mill tax levy as authorized trio department for lighting the streets of service thereat, and any balance on hand in by House J'ite No. 68 of the 38 General As- the city. WA,1,Eh ur PARTNIENT FUND: All re- sembly, which levy was made as follows, ciMficellaneoas. Payment of expenses not such purposes. i vest dues and ex-d. ceipts and earnings of the water works plane, f See. 887. Gen. Corporation.......10mflls. la) ror Municipal League walc,i includes amount received in the city I, See. Clip. 263 General............ 2 mills. penses of delegates. See. 894-1. Grading ......• 3 mills. (b) For damage settlements. aumtor's omce num bibs rennered to cou- Sec. 894-`L.,,Improvement 5 mills. (c) Printing and Stationary, Somers of ander. whien any baiances on naade is to be Sec. 894-3. Sewer. (NIaint)••••••. 2 mil 5 mills. opeaatingaywater pumpsment to eCquanttric t Y to be m asr by appropriated to pay the sataries of super t Sec. 894-7. Water (Pumping) .. intendent of water works, city auditor's al- Sec. 84-8. Electric Light (St •••-5 mills. ur(de)by eters.t of any authorized debt or iowance for water -accounting department, 4_ 32 mills. obligation incurred heretofore or to be as- ereof, and ages of pays engugea in the expense of operating, a Which is estimated to be $38,400.00 wn,ch sumed or contracted for during the fiscal year maintaining, which is properly chargeable to this sions, the purenase of new macninery re- together with any balance on hand in the city beginning April 1, 1920 and ending March 31, making the necessary eawu- treasury belonging to the funds embodied in 1921, gwred, •and the payment of any .authorized thin fund as above enumerated, and moneys. consolidated fund. debt or obligations incurred heretofore or to i received from licenses, fines, inspection fees ROAD FUND: All funds received from .ELECTRIC DEPARTMENT b'UND• All �t and from other sources properly belonging the following sources to-wit: assumed during the fiscal year. f 1 to this fund, and after deducting overdrafts, From 5 in ill countyevy on aroadt(Board ofura 200.00 receipts and earnings of the electric depart- if any, which shall be transferred and charg- From 1/2 650.00 ment plant which includes amount received i ed against this fund, will then produce 'a Supervisors -n the city auditor's office from bill sues Y } total amount of $40,000.00, which is hereby From 1 mill road dragging levy..... 1400.00 which is 450.00 estimated to be $80,000.00, is hereby appro- * appropriated for the payment of such expend- Frpa ed otgrs;chicle (based on mi. un. .rendered to consumers electricity, i,ares as are properly chargeable to the Con- 1200.00 prated to pay the salaries of the superin- ... solidated Tax Fund for Departmental items From poll tax collections by the City tendent of. electric light plant, city auditor's Clerk .........................••_ allowance for electric accounting department viz: General Government: wages of employees engaged in the operation (a) Mayor, shall receive a salary of TAoealherebyated appropriatedffor tithe maintenance thereof, and pay the expense of operating, $600.00- per year, payable monthly, and all maintaining, fees received by him shall be paid into the and extension of the public highways and the sons, the purchaseg ofheneweCmachinery trte- city treasury. different expenditures properly chargeable to used, and the payment of any authorized (bl City Councilmen: shall receive a sal- said fund. ebt or obligation incurred heretofore or to i dry of Fifty dollars per year. from one FUND: m l tax All funds which isreceived be assumed during the fiscal year. - (c) City Clerk: shall receive a salary of iny 0, andBOND FUND: All funds received from $900.00 per year, payable monthly. mated be appropriated to pay the ex- the two (2) mill tax levy which is !stimated (d) City Treasurer: shall receive a salary to be $2400.00, and any balance on hand, is of $100,00 per Year. Pease of sanitary disposal of any filth or hereby appropriated to pay interest onout- _ (e) City Solirtor: shall receive •a salary other waste material deposited. upon the of $500.it per year and be furnished office streets and alleys within the district com- standing funding bonds, and the payment of room o. the city hall which snail be a seu-- prising tl;e incorporation of the Cit:� of Ames. any bonds of this issue when one. oral reta,ner and compensation for all ser SEWER FUND: All funds received from LIBRARY FUND: All funds received from vices except appearance. and service on be- the five (5) mill tax levy which is estimated the four and on-half (4i ) mill tax levy hale of toe c.tp .n ne district and supreme to be $6000,00, and any ba'.ance on hand is which is estimated to be $5400.00, is and any authorize to ro riated to Pay tax warrants due balance on hand m the city treasury ses hand courts_- And should the city hereby app P by appropriated for library p 1 revision of its ordinances, the solicitor to be for the ^-cat of the construction of +t era, * S2r aside and placed under , paid such additional compensation as may be sewer outlet, and interest thereon, and to said fund erth; allowed by the council pay expense of new constructions, and any the control of the library board o1 the ray City the coer: shall receive a salary item, properly chargeable to said fund. Ames. .and the city treasurer is hereby (f)', Cty OARWOOD CEMETERY. All funds re- authorized and instructed to accept and pay s of $1800.00 Per year, payable monthly warrants drawn by the said board on said ($ o.00xis per yes: pa,rinenisi ui .,,,ma of ceived from the one-half (t/:l mill tax levy fund for library expenditures - unclassified expenditures for the several of- w,•,ich is estimated d in $600.00, and any MARY GREELEY MEMORIAL HOSPITAL fires. balance on hand and income from other Audis and Examinations: City Of sources, is herebv appropriated to pay for the FUND: A]1 funds received from the three (h) (3) mill tax levy which is estimated to be fivers by State Auditor's department. maintenance and care of the city c meter^ (3)0mil and any City Hall: Janitor, heating, tole- tax levy which is estimated to be $1200.00. is hospital board treasury is hereby appropriated i (i) For Elections: For expenses of. �n fun is received from the one (1) mill v balance on hand in tie (1) hereby appropriated for the purpose of pay- for hospital expenditures necessary to .the phones and miscellaneous expenses. maintenance and operation thereof and said 1 2. Protection of Life and .Property: ing the tarrants due for the purc�ase price (s) City Marshall: shall receive a salary of the land and the interest ther—ii fund is hereby set aside and placed under the of $].800.00 per. Year, in lieu of all fees and And all funds received from the sale of control of the hospital board of then city of in full compensation for Ms service's. cemetery lots one-third (1-3) theetual ecare of Ames, and the city treasurer is hereby au- , Deputy Marshall, or Nlotur Police: which shall be set asideas a Pet'n.. thorized and instructed to transfer the funds 1 (ty) nd anq invested in interest bearing secnr- received from the tax levy to the trod>urer Shallreceive a salary of $125.00 per month ;t an ti,'o-t of the hospital board. in lieu of all fees and in full compensation a >irda (Y1 the °ale ogre of Sect on 2. EFFECT:_ for his services. which shall be appropriated for payment of of this ordinance are d c aredtto behe �ur^ent ' (e) Night Policeman: shall receive a sal- maintenance. care and improvement of the i OakwooA cemetery and necessary for the immediate Preservation i dry of $65.00 per month in lieu of all fees and >, the public peace. health and safety. and t, in full compensation for his services. PARK FUND: All fund, receive from t.e (d) Special Policeman: to be apPoir.S:d by one !lt mill tax levy which is estimated to this ordinance shall take effect and be in v balance on force after it: passage and Publication, as may be allowed by be $1200.00. together 'wit an, provided by law. the Mayor in case of emergency, and shall hand in t'a city treasury, is herebv approurt- E. H. GRAVES, Mayor. t receive such salary as t. t'te City Council. ated for the purpose of patine the expense 3. Health Department and Sanitation: of maintenance. repairs and improvements in A. B. NIAXWEe City Auditor and Clerk. (a) City Health Officer: shall receive a the parks of the city. NOTICE: The above proposed Itxr meet- salary o4 $160.00 per year. tom: CITY BUILDING FUND: All funds re- ation ordinance No. 31 will be published two (b) For Maintenance of sewage sYs ceived from the three (3) mill tax levy which weeks and finally adopted at a regular meet- ons necessary expenses of. 1 on hand in the city tretuof city hhal lbonds thereof may be.heard Bat MAXWELL thereto ` itcnn (c) For Refu a Disposal: other than Paid is estimated to be $3600.00. and any balance ing of the city cijecti to be held FehruarY from the sanitary district fund. other City Auditor and Clerk. --(d) For Miscellaneous S nitat.district and theeinterest hthereon an the same indebtedness than paid frim the sanitary 1-21 28 -1 (e) For Quarantine and Pest House: to be come due and payable, and any FIRE FUND: All funds received from the { cert'fied to County for payment, as provided Prprerly c arceable to miliftax levy for fire i by Sec. 2571-2 Suld. Code 1913. one and one-half (lies), i 4 pighw'ays: which is esttn:ate�l to be levy for i and from th.e three (3) mill tax levy l (a) Street Commissioner: shall receive 3 en dfro salary of $125.00 per month. x