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Ord 1131 6/6/1933 ORDINANCE NO. AN ORDINANCE MAKING APPROPR ?ATION MR SUPPOrT OF THE CITY GOVEPNMENT FO1L: THE FISCAL YEAR BEGINNING APRIL 1, 1933, AND ENDING r1ARCH 319 1934) AND DECLARING AN EMERGENCY. 7IHEREAS, the City Manager has prepared and submit�ed to the Board of Aldermen a budget estimate of expenditures and rev4que of all city departments, ddv is ions, and offices for the year beginning April 1, 1933, and ending March 31, 1934, which has been ap- proved; THEREFORE, BE IT ORDAINED BY THE BOARD OF ALDERAR.EI�T OF THE CITY OF WICHITA FALLS, TEXAS: SECTION 1. The sum of $a58,498.25 is hereby appropriated oU+f the General Fund for the payment of expenses of the city govern- ment as hereinafter itemized, to-wit: Mayor & Board of Aldermen p1,462.00 City Manager 7,321.00 City Clerk & Auditor 72319.00 City Treasurer 412.50 Legal 42003.25 Corporation Court 1,036.00 Purchasing Agent 19462.50 Tax D Engine ring p 10, 199.00 Memorial Auditorium 109082.00 Building Inspection 503.00 Electrical Inspection 11,558.00 Plumbing Inspection - 40.00 Police p Fire Animal Pound ' 1,790.00 Health Administation 5, 920.00 %XKZRXk XffxkxVNM#gKt1ZX Food & Milk Control 7,571.00 &eneral Sanitation 22510.00 Sanitary Sewer Maintenance 6,197.00 Sewage Disposal 6,749 .00 Garbage Collection & Disposal 450.00 Street Lights 72620.00 Wichita General Hospital 12,300.00 Food & Medicine for Charity 2800.00 Court Costs & Settlements 2,000.00 Airport 730.00 Refunds 1.000.00 Total The sum of '' is hereby appropriated out of the Street Fund for maintenance and repairs, as hereinafter itemized: Street Cleaning $13,687.40 Street Maintenance Street Paving repairs 3,000.00 Repairs S oar Sewers, �Cu b & Gutters �700.00 Street a et2,500.00 Bridge & Culaert Construction 125 .00 arm- Sewer-A70on-str*04401a *.._5Qa= Total The sum of $30,84+.00 is hereby appropriated out of the Park Fund for maintenance and construction of parks, playgrounds, and cemeteries, as hereinafter itemized, to-wit : /_� �q 4-1 Parks 44- 4 Golf Course 8, 785 .90 Recreation 1,707.00 Zoo 585.00 Cemeteries 5.751.80 Total 7;p3G -874.00 The sum of $11, 684.00 is hereby appropriated out of the Lib- rary Fund for the expenses of operating the Kemp Public Library, to-wit : Kemp Public Library $11, 684.00 The sum of $87,758.40 is hereby appropriated out of the 'later Fund for operation, maintenance, and construction of the municipally owned waterworks, as hereinafter itemized, to-wit: riater Collection $299097.00 Water Meters 119091.40 Water Supply 18,567.00 Water Distribution 14,695.00 Water Purification 13,708.00 New Water Mains 600.00 Total $872758,40 The sum at $207,207.41 is hereby appropriated out of the Interest and Sinking Fund for the purpose of paying interest due on bonded indebtedness and creating a sinking fund for the payment of outstanding and maturing bonds heretofore legally issued, as herein- after itemized, to-wit : Interest on Bonded Indebtedness $1683,375.00 Si and for Bonded Debt �d` 382832.41 'w.47. Total ? "'' 207,207.41 SECTION 2. The fact that the expenses of the City are ac- cumulating and have accumulated since April 1, 193.5, and are now due and payable, creates and emergency and this ordinance is hereby de- clared an emergency measure and shall take effect immediately after its passage and approval, and it is so ordained. PASSED AND APPROVED this the 160 day of` 4 1933. Mayor ATTEST: City Clerk