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Ord 1092 5/2/1932 ORDINANCE NO. AN ORDINANCE MAKING APPROPRIATION FOR SUPPORT OF TFE CITY GOVERMIENT FOR TIDE FISCAL YEAR BEGINNING APRIL 1, 1932 , AND IIv DING MARCH 31, 1933, AND DECLARING AN MvIERGENCY. WHEREAS, the City Manager has prepared and submitted to the Board of Aldermen a budget estimate of expenditure and revenue Of all city departments, divisions , and offices for the year begin- ning April 1, 1932, and ending March 31, 1933, which has been sub- mitted and approved; THEREFORE, BE IT ORDAINED BY THE BOARD OF ALDEB«EN OF THE CITY OF WICHITA FALLS, TEXAS: SECTION 1. The sum of $274,962.25 is hereby appropriated out of the general fund for the payment of expenses of the city government as hereinafter itemized to-wit : Mayor & Board of Aldermen 995 .00 City Manager 90421.00 City Clerk & Auditor 99436.50 City Treasurer 372.50 Legal 330645.94 Corporation Court 951.00 Purchasing Agent 1,811.00 Tax 14,244.00 Engineering 91,632.00 Memorial Au di torium 119847 .40 Building Inspection 503.00 Electrical Inspection 1,612.00 Plumbing Inspection 165.00 Police 5931479.00 Fire 663,141.85 Animal Pounds 19912.00 Health Administration 59 475.00 Quarantine & Fumigation 100.00 Food & Milk Control 6,878.00 General Sanitation 411662.00 Sanitary Sewer Maintenance 81089.00 Sewage Disposal 7,334.00 Garbage Collection & Disposal 11515.00 Street Lights 89 2D 0.00 Wichita General Hospital 199115.00 Food & Medicine for Charity 29OOC .00 Storm Sewer Construction 12,500.00 Interest on Tax Anticipation War 11200.00 Court Costs & Settlements 19500,00 Airport 2V727.06 Refunds 1,500.00 Tot al �274,96 2.25 The sum of $69,596.65 is hereby appropriated out of the Street. Fund for maintenance and repairs, as hereinafter itemized: Street Cleaning 192585 .51 Street Maintenance 41236.05 Street Paving Repairs 69400.00 Repairs Storm Sewers, Curbs & Gutters 500.00 Street Paving Construction ' }° 1,375 .09 Bridge & Culvert Construction 500.00 Total $69$ 96.65 The sum of $41,350.95 is hereby appropriated out of the Park Fund for maintenance and construction of parks, playgrounds, and cemeteries, as hereinafter itemized, to wit : Parks 19,755.55 Golf Course 9$ 92.20 Recreation 19707.00 Zoo 49441.00 Cemetery 6,855.20 Total $419 350.95 The sum of $11,800.00 is hereby appropriated out of the Library Fund for the expenses of operating the Kemp Public Library, to-wit: Kemp Public Library 11,800.00 Total $11,800.00 The sum cr $107,008.26 is hereby appropriated out of the Water Fund for operation, maintenance and construction of the municipally owned waterworks, as hereinafter itemized, to-wit: Water Collect ion 35 2807.34 Water Meters 11,317.20 Water Supply 18, 610.00 Water Distribution 209309.20 Water Purif ieat ion 18,416.00 New Water Mains 2,548.52 Total $1072008.26 The sum of $264,275.75 is hereby appropriated out of the Interest and Sinking Fund f cv the purpose of paying int ere st due on bonded indebtedness and creating a sinking Rind for the payment of outstanding and maturing bonds heretofore legally issued, as hereinafter itemized to wit: Interest on Bonded Debt 1699610.00 Sinking Fund for Bonded Debt 94, 665 .74 Total $264,275 .75 SECTION 2. The fact that the expenses of the City are accumulating and have accumulated since April 1, 1932, and are now due and payable , creates an emergency and this ordinance is hereby declared an emergency measure and shall take effectimmediately after its passage and appnovea, i oordained. PASSED AND APPICVED this the 2nd ay of May 1932. Mayor / ATTEST: City Cleric T4 VROM IT X Y ColIORM s motto# to It by A $A 4 pll 's 'With the Pro-fishnet of soaxt on 68 Of the charter of t ()i$v of W10hita Falls# Ta $* thS Board of A14or u sitting as a *c t* Of the WhO10 will an the 2rA dad' of UVO 1934# at IWO PA. in the regular meets plaoe at e x wr"I AUditartum In said city hold pubs, a hearing. Ob the r®pos*4 appropriations ordinano, for the year Im- ginning April lot, 1V320 and ending Xarch 31gt, 1933 BY Order Of they Board of Aldemeg t this 25th day of April, 1932. Wo It XaBroomf