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Ord 1391 10/9/1944 ORDINANCE N0. 1391 AN ORDINANCE PROVIDING AN ADllI`i'ICNA.L APPROPRIATION FOR SUPPORT OF THE CITY GOVERN6+:;NT A)R THE FISCAL YEAR ENDING SEPTEMIBER 30, 1944. YtiHEttLkS, the Board of Aldermen deemed cessry to Ordinan e No.b13718 Passed pal expenditures subsequent to the original Appropriation and approved on October 1, 1943, and expenditures were authorized by the Board of VIBEREA,S, such additional exP Ordinance, and, Aldermen but were not actually authorized by WHERMS, the Board of Aldermen desire to further authorize the said ex- penditures by Ordinance' BE 1,1, ORDAIN D BY Th-L boARD OF ALDFRuv EN OF THE CITY OF V�IC:D TA FtiLLs 327.40 is hereby appropriated out of the SECTION 1. That the sum of 3 City Government as hereinafter General Fund for payment of expenses of the itemized, to-wit: Acct. Amount No. ,Fund General Fund $ 3,327.40 314 Public Welfare of �4,950.00 is hereby appropriated out of the SECTION 20 That the sum Street Fund for the payment of improvements as herein-after itemized, to-wit: Street Rind 40950.00 100-Y-8 Street Paving SECTION 3. That the sum of $471.55 is hereby appropriated out of the Park Fund for the payment of the purchase of land as herein-after itemized, to-wit: Par_..n d 471.55 60-X-1 Land 431.85 is hereby appropriated out of the SI�CTION 4. hat the sum of w�74 r payment of sanitary sewer construction Sanitary Sewer No. 2 Construction Fund for as herein-after itemized,, to-wit: Sa =y Sewer No. 2 Fund 105-Y-4 Sanitary Sewer construction $ 749,431.85 878,00 is SECTION 5. That the sum of $9, hereby appropriated out of the Airportconstruction, as herein- Airport Improvement Fund for payment of airport imp after itemized, to-wit: Airport Ynprovement Mind 99878.00 304-Y-1 New Buildings SECTION 6, ihat the sum of $1,250.00 is hereby appropriated out of the Hospital Improvement Fund for payment of hospital improvement construction as herein-after itemized, to-wit: Hospital Improvement Fund $ 1,250.00 ✓ 317-Y-1 New Buildings SECTION 7, That the sum of $925,88 is hereby appropriated out of the Water Fund for payment of water improvements as herein-after itemized, to-wit: Water Fund 75-7j-2 Electrical wiring, etc. , Filter Plant $ 925.88 SECTION 8. That the sum of $500,00 is hereby appropriated out of the Sinking Fund for the purpose of retirement of debt service as herein-after itemized, to-wit: Sinking Fund 201-G-2 Bond Principal $ 500.CO V SECTION 9. That the sum of $39186,72 is hereby appropriated out of hater Improvement No. 1 Fund for the payment of Water Filter Plant construction and improvements as herein-after itemized, to-wit: Mater Improvement No. 1 Fund 79-E-2 Miscellaneous repairs $ 16,33 79-Y-8 Streets 673,20 79-X-2 Land 519.76 79-Z-2 Machinery 218.00 79-Z-15 uhlorine Rack 1,97,�--2,30 Total $ 39186.72 SECTION 10. That the sum of $619748.89 is hereby appropriated out of the Viater Fund for the payment of debt service as herein-after itemized, to-pit: Water Fund 307-G-2 Time Warrant Principal $ 50,000.00 318-G-2 Debt Service inter Mains and Sewers Country Club Addition 11,748.49 Total $ 619748.89 SECTION 11, That the sum of $31,376.89 is hereby appropriated out of the Viater Interest Fund for the payment of debt service as herein-after itemized, to-wit: Water Interest Fund 204-G-2 Water Bond Interest $ 31,376.89 SECTION 12. That the sum of $25,454.55 is hereby appropriated out of the Nater Sinking Fund for the payment of debt service as herein-after itemized, to-wit: Water Sinking Fund 205-G-2 'Pieter Bone Principal $ 259454.55 SECTION 13. That the sum of $16.31 is hereby appropriated out of the Water Improvement No, 2 Fund for the payment of water main construction as herein-after itemized, to-wit: lkter Improvement No. 2 Fund llla-Z-9 New Water Mains ..... 16.31 Total .Appropriation Account punds $2170518.04 r � day er PiL66ED AND APPROVED 'UUS the of � > 1944. ' ATTEST: ,, Mayor Ci Clerk