HomeMy WebLinkAbout~Master - Appropriating Expenditures for Fiscal Year 4/1/1922 through 3/31/1923 "..z 1-' ,e:C-..+,Y:zu%a..ti,Jt!•: ..v.._..,n�...ref.e....,....�.._.w..n.,i.;3,..._.a,.s.. �....w.,.:M1wm.�..:.:..t:= ' •,r -: -. ,'`sf
"`c:'�._'�dc"°•:-"'.�a..,.-aws�,c`..�....�-.a.,,®...----•:_.,,w.x�•�C�k...' ,t: '- >. 4 a.,� r'n'�
2. Protection of Life a:id Property da�+ ^ C, -a
fa) City marshal ..hall remaive. a sal-i , , ,
_� ° " ear in lieu of all,
- .:i'ary of $2 oe.•,G p t
OFFICIAL PUBLICATION' tees, and in full eornpr nsation for his Sty.^t tti� ,1
APPROPRIATION ORDINANCE services, payable ._:,.rri-monthly. Sanitation Fund r ' , { !.•.
NO. 327. (b) Motor policeman shall receive a from the one (1 r 'fir
Budget of the City of Ames salary of_$1,50000 per year, payable estimated to t+; sl a t , r_•�
An ordinance makinga semi_morithl.y. ante on hand is
appropriations (c) \fight policEman shall receive a to pay the espe+ , t, r+
for the budget expenditures of the salary which shall be fixed from time po5.rl of any tilt: o
city government of Ames, Iowa,for thel to time by the city council. posited upon thi t� trt,
fiscal year beginning April 1st, 1922 p appoint- !within the distri.t ,...:,,: , y t) ;
and ending Alarch 31st, 1923. (b Special Olin case to be
ed by the mayor in case of emergency corporation of th ry • ; + ar 1 - lg ^,t
Be it ordained, by the city council and receive such salary as may be a1- SFC'T`!t)� „ ,„1• city
'of the city of Ames, Iowa: That the fol- lowed by the council. Sewer Fund: All r •,, 'In,
lowing appropriations be made from (e) Pounds: the expense of taking the five. (,) mill
the several funds of.the cityof Ames, P g an f th w
u and impounding and killing dogs mated to he $;,uCn1 f � ,;:,I
to-wit: P g a l l t
shah be paid from this fund. on hand is 1 Freby nI( r + , ; a f s r -lilt ar
SECTION n (f) Aiscellaneous meals for prison- ' construction recon ,r ,+,
Consolidated Tax Fund: That the er53 supplies,, gasoline and oil, re-1 of servers within th,, ,;tv, +.,•
x-
C consolidated tax levy of 30 mills which(. pairs for motor and other unclassified SF.CTIO�; �'• A ,,a!t, ;rt
is estimated to be..........$ 38,800.00 ' s
ite=s_-properly chargeable to this fund. Oakwood Cemetery Fu � t : „ t;t of z.•v 'I
and the general fund levy of 3. Health Department and Sanitation received from the on,- (1+
L mills ........,......... 2,323.80 (a) City health officer shall receive f which is estimated to t;•• c, r) {: .,�•l during
(which together with miscei- y balance on h nd a salary of $300.00 per year. an
laneous receipts belonging (b) For maintenance of sewage sys- lected from asses +rt. Er.ctrn D a
to the fund is as follows: i tern, necessary extension of sewers cemetery lots for ui r +p t, in I
1• Business licenses ...... 811,00
under,contract,-supervision, etc: same, is hereby ap i r> t
2. Cigarette licenses ...... 1,800.00r e+
(d) For refuse disposal other than ; for the maintenanc t , • _ ,) art„ter's o
3. Dog licenses ....... 46.00- paid from the sanitary district fund. cemetery; and all un'= r ,.. i n = r"nsurrer¢
4. Plumbing permits ...... 586.25 , (e).For miscellaneous sanitation. the one (1) mill tax ji,.v3 i ., and i rn:•
5. Mayor's court fines and (f) For quarantine and mated to be $1,200 no i; ! [c h t
costs 887.10 : pest house, ;
expenses thereof to be certified to printed for the p t w:,-, c r idle fi ral
6. Interest on city deposits 631.73 Story county for payment as provided ' warrants due for th" hu. _,..- 2 :: a ! endi,
7. Refund board prisoners. 88.15 by Section 2571-2 Supt. Code 1913. i of the cemetery addition of
8. Poll tax collections .... 1,623.00� 4, Highways. x est thereon; and all fu: + a -1 to ptv [l.
9. General street services_ 368.471 (a) Street foreman shall receive a L from the sale of comets a:i;;:•r of er
10. Miscellaneous 65.00 salary as such of $4SO.OU per year, and third (1-3) the price of tN tug r r,t plant,
making an estimated total `` In addition be allowed pay for labor of set aside as a Perpetual , r -zt of fimm,-
amount for the fiscal year ; .self and team as shown on tine sheet 1 invested in interest bean ' a.cwlntiaiI
April 1, I92..2 to April 1, `bills filed and allowed by the city coon- and two-thirds (2 ) ofth., P r71 cn,;:igcr
1923 ,-$ 48,030.50 oil at their serri monthly meetings. = of which shall be ipprop,
{which together with any balance on (b) Employees of the city whose payment of maintf n fnc, a +.t:lc light`hand Aril 1, 1922 is hereb a ., r, i
P Y Pero salary or wages are properly payable i improvements of the ern, � a.rY r,
priated for the payment of the budget from this department of the colisoli- SECTION CI Of orr
e the rc ce r;I
expenditures properly chargeable to Park Fund: All Funds r �. V••t
dated tax fund, shall receive such sal- L,e. or new rr
this fund for departmental items, viz: ary or wages as is shown on tha semi- I the one (1) mill tax l:v e m nt of
t. General Government monthly time sheet bills filed with the estimated to be $I,200.()o r t rrtlon rrtctl
(a) Mayor shall receive a salary; 'nepartment of finance and payment any balance on hand in t { ,i.,sunied du:
of $600.00 per year payable monthly, 11ry, is :hereby- appropri t
therefor authorized by the city coon- yF
and all fees received by him shall be purpose of paying the ox; t +:-t
aid into the city treasur cil, being for general street work such 1 P p 3 b
P' Y y as repairing, grading, dragging, snow: tenance; repairs and irnl c :,. - :, Water Bond
removal and miscellaneous won... from tJlf, +
(b) Councilmen shall receive a: sal- ,_ . the parks and par,uni; .a,, _.•-� at d to h•
{ary of$50.00, per year payable semi-an- _ t
nually. (c) Street paving, curbing and side- -'.ate l [,,
walks to be let by contract and paid city and if a Park board t'` ; r „i tontt ;i
(e) City manager of engineering• for by special assessments levied that said fund sire I o t
c ry get :r,,t shall receive a salary of $2400.00 per against the property benefict?d, them to be expended a i,•,:, '. ! r (
miter h,�ir.year from this fund payable semi- +
monthly, (d) Street- lighting, payment to be law.
i made to the electric department for SECTION V11
(d) City clerk of department of fin- hand Fund:
the expense of lighting the city streets. I ' City Building Fund: t,;,. t>r,)arse shall receive a salary of $900.00 (-') no
(e) Water pumped by the electric ed from the three (::i l 3
,per year from this fund payable semi- department for flushing streets, sew- which is estimated to h,• ! to be t;
[monthly. ers, fire protection and general ser_ } 'any balance on hand in t '1 z t'"
(e) City treasurer shall receive a' vices to be paid for by this levy to the ury is hereby appropri t
salary of 100.00 per year payable an 1hallFca 1t ant
salary $ p y said electric department upon monthly i payment of city' bar, p i ,'a•,
nuallY bills rendered therefor. est thereon as the san-
(f) City solicitor, shall receive a sal_: I �Fi
I aryof 500.U0 P 5. Miscellaneous due and payable.
$ per year payable month
(a) For Municipal league dues and SECTION 'Ill
ly, and be furnished office room inl expenses of delegates. Fire Fund: All funde r
the city' hall which shall be a general, '(b) For damage settlements. the one and one-half it + ,n r.,+ 't •it
retainer and compensation for all ser-' (e) For• printing, publications and levy for fire equipment
I
vices except appearance and service: stationery. .' .mated to be $1.S0u+i,i a i
on behalf of the city- in the District i (d) For payment of unclassified ex- three (3) mill tax l vV
i and Supreme courts, and should the penses• once which is estimah•,i to + t'•'L' t
l city authorize the revision of its_ordi-I (e) For thet'•'''• . r
nances,' the solicitor to be payment. of any making a total 1+•vy of a t �`
paid such authorized debt or obligation incurred - hereby appropriatf d for tt
additional compensation as may be al- heretofore or to be assumed or con- 1 payment of warrants f' rary
i lowed by the council. ,,: ' t
, tracted for during the fiscal year end• chase of the motor coal• .
(g) MiscelIaneous: payments of it- + • - , r
ing March. 31, 1923, which is properly i fir'• engine and equipni+�nt , ,. l,i•
ems of unclassified expenditures for chargeable to this fund. + = t e
!the several offices. - - ,
(h) Audits and e��n ' SECTION IL est thereon, and for t'v1 P ;
s:rations: city Road Fund: All funds received from the maintenance of ti- t r
officers, department of finance and ac- meat,
counting to be made by state auditor's the following sources towit: purchase of su )I,li t. $ ``
repartment, 5 mill levy on agricultural etc.,payment of s tl l < f tr
' (i) Ele bons expense or. land ..$ 150.00 er;, as fixed by the (,t: ,,, t
I 1 mill road draggirs levy.... 1.3oo.00 pa:�ment of the
�oluntr• r
t 0) General eu.,ir erg, city im-
s'e rents, mar- rrd specil'i- Poll tax collections by city panv's servic€-s which L! '
Ic ttions, surveys o;s and mis_ clerk ....... .... ... ... 1, 00.00 I at $3.00 foreach moiilb c •, • <
ieltaiieous e:<pen ec rIy charge_ Total estimated receipts for firms, and any balance or) i+ ,t
i able. to that echo„u_e .• this fund ..... ..........$3,1:,u.00 city treasury is also so .,1'L•r•� . .__ i
are hereby appropriated for the rraln-
ikcl f,tty hat: heating, tele-' ieuanae alld e;;r � on. a[ the ,t ,ii�:
,,til t)Tb'a, Silplil",_? .z.. �.i111 PA 115 ex higilways -r:d. f,,I,._ttnt fix1Jc?rL_t t.l e:.
�.. .
chargeable CO btiti.Ytl?l(l- - - .
... ,....,SECTION lx_ _ .,•-r ii!! __- ._ 1
Water Department Fund All re-
1 c r•4pts and earnings of the water,works urer is hereby authorized and instruct i
which is shown in tiie city auffi
office of the department of fin-di- ed to transfer the funds received from
eIsn
t, , this tax levy to the treasurer of the
{toes rd. J�
nce from bills rendered to consumers hospital board.
XVI.
of water and monthly payments there- ! 1
"ar made him is hereby estimated to Effect: That the provisions of this i
be for the fiscal year beginning April ordinance are declared to be urgent
to
1. 1922 to March 31, 1923, the sum of and necessary:for the immediate pres-
g23!I00.00 and any balance on hand ervation of the public peace, health
in the city treasury is hereby appro- and safety; and this ordinance shall
[priated to pay the salaries of city man- take effect from and after its publics. {t 1t
a'~er of engineering; superintendent of tion as provided by law. 1,
plant, city auditor of department of T. L.RICE
finance and his assistants, of account- B. ;VIAXWELL mayor
lug, and the wages of employees en City Clerk,and Auditor
gaged in the operation of the water
works plant, and pay the expenses of
operating, maintaining, making the '
necessary extensions, the, purchase of
new machinery required, and the pay
anent of any authorized debt or obli-
gation incurred heretofore or to be as- i 1
sumed during the fiscal year.
SECTION X.
Electric Department Fund All re. S./�••�VL/ /, ���iii���11
celpts and earnings of the electric de-
partment plant, which is shown in the
city auditor's office from bills rendered
to consumers of light, power and sun-
dries, and monthly payments therefor
made to him,is hereby estimated to be
for the fiscal year beginning April 1,
1922 and ending March 31, 1923, the �.. {
sum of.$130,000:00 is hereby appropri. —�L- to
ated to pay the salaries of the city
an
manager of engineering. superintend.
ent of plant, city auditor of depart-
ment of finance and his assistants
of accounting, ar_d the wages of em-
ployees engaged in the operation of the
oo
electric light plant and pay the ex-
penses of operating,maintaining, mak-
ing the necessary extensions, the pur-
chase of new machinery required, and - "
the payment of any authorized debt or!
obligation incurred heretofore or to
be assumed during the fiscal year.
SECTION Xf.
Water Bond Fund: All funds recety- ae
ed from the three (3)-mill._taic levy is
estimated to be $3.900.00 is hereby ap-
propriated to pay interest on the water
works bonds and any accumulated bal.
ance is set aside as a sinking fund to
pay water bonds when due. -
SECTION Xii.
Bond Fund: All funds received from <<
the two (2) mill tax levy which is esti-
mated to be $2,400.00 and any balance
on hand in the city treasury is hereby
appropriated'to pay outstanding fund-
ing bonds and the interest thereon
i
when due.
SECTION XIII
County Bridge Aid Fund: All"funds
received from the three (3) mill tag
levy voted at'a special election is es- '
tiniated to`be $3,900.00 and any bal-
lance on_hand is hereby appropriated
to pay tax warrants issued in antics )
pation'bf the tax tevy and also inter-
est thereon.
SECTION XIV
Library Fund: All funds received
from the five (5) mill tax levy which
is estimated to be $6,000.00 and any
balance on hand in the city treasury
is hereby apt. opriated for library pur-
poses and said fund is hereby set aside
and placed under the control of the
1
Library board of the city of Ames,and
the city treasurer is hereby authorized
and instructed to accept and pay war-
rants drawn by the said board on said F i
fund for library. expenditures. j
SECTION: Xi'.
Mary Greeley Memorial Hospital
Fund. .kit funds received from the '
three (,) mill tax levy which is esti.
mated to be $ 600 00 and any balance
nn hand in the hocnit,)l board trensury i
is herelky appropriated for hospital ex• f
y p rtriita c.s Wei as.rr to tii ni �nten-
ailce and o:;c;r<itrml theieet aao said
hnui is is ;,y 'i t a-Me anti p`lileeed i
tjrt •,r t.h � t;tr� tau pit 1 'r�• Ei
i
ox t.ae ut, ,r Ain'!