HomeMy WebLinkAbout03-63 Ordinance
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COLU~IBUS BLANK BOOK CO., eOL.. o. IF orm A39.4
, ORDINANCE No......O.'~:::'.~3...................
ANNUAL APPROPRIA TI0N ORDINANCE
I (VILLAGE)
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Rev. Code, Sec. 5705.3~
CI An Ordinance to make Appropriations for Current Expe~ses and other Expenditures of the Village of
.......................J2~..r.~..b.!.~............................................, State of Ohio, during the fiscal year ending December 31st, 19..~...~.
Section 1. Be It Ordained by the Council of the Village of.................J2~..!3..b:.!..~.............................................................,
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I State of Ohio, That, to provide for the current expenses and other expenditures of the said Village of
..............................~..0..b.t~m.....m............m.m..............................................during ~he fiscal year ending December 31st, 19...~3..,
the following sums be and they are hereby set aside and appropriated as follows, viz: I
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Sec. 2. That there be appropriated from the GENERAL FUND:
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A. GENERAL FUND I
A 1 . ~SD c',)
Council ................................................................................................ ......................................................$.........................:...:::...
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Mayor .......................................................................................m.........................................m....m............$..........................:..:::::..
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A3 Clerk ...................................................................................................... ...................................m................$..........................:..::::-... I
A4 T'1'e8S1U"eT ....m..Y...~....../.~.'::..(2.g...................:.......................... ......................................................$..................~.~.~.. I
Solicitor .........................................................................................m. .................................................m...$..............?~.~.:..~=- I
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A6 Building Inspector........................................................................ ......................................................$..................?-p.:.~~. I
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A 7 L I:.;g~ "Advertising.}~~........................................~.,......................~......................$...................?~.'..~.~.
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AS M~ourt........G:.~.G.~.~J:.....1..........7.fl.~..~.......~.~.~.f~r.!..~..................$........,~.=J...~.~:..~~
A9 Clerk, Municipal CourL......:..........................................:..................................................................$....................................
A 10 Jndicial,Jury-aifd-witness Fe-es.......?1.~.~.T........b.!.~!.!.:?:?...................................$...........6..~...~.9..:.~!
...,......u.m.....mmm.m...............................m....mm..m.............mm.m........................................................................................m$.................................... I
...mmum.....................m............................................hh..............................................................................................................$.................................... I
...m..'..................m.......................................................................................................................................................................$.................................... I
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T ota! General Fund................................................ ......................................................$..............................:::..
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Sec. 3. That there be appropriated from the GENERAL FUND for CONTINGENCIES for
purposes not otherwise provided for, to be expended in accordance with the provisions of I
Section 5705.40 R. C., the sum of................................................,......................................................$.........~.9...'..~.;..... ,
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l......J 'Sec. 4. That there be transferred from the GENERAL FUND to the SAFETY FUND
the sum of $.......~""k.Q.Q..'..~~...... (if revenues from sources other than taxes are to be deposited in I
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the Safety, Service, etc., Funds as heretofore, an Ordinance to this effect must be passed by I
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Council, Sec. 5705.12 R. C.); and that there be appropriated from said SAFETY FUND the I
following: I
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(The creation of funds by transfer is subject to the approval of the Bureau of Inspection and Supervision of Public Offices.) I
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B. SAFETY FUND I
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B 1 ~ 7 7 - ,r I
Marshal...................................................................................................................................................$...................:?...............
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B 2 Police .......................................................................................................................................................$............h..?~...~!... I
B 3 Station House ....................................................................................................................................$....................................
B 4 Other Police Expenses............................................................,......................................................$........!....r.??~.:..~::... I
B 5 Fire Chief-Salary .................................................................-......................................................$.................................... I
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B 6 Firenlen...................................................................................................................................................$.................................... I
B 7 Fire Apparatus ..............................................................................,......................................................$....................................
B 8 Fire Stations .......................................................................................................................................$....................................
B 9 Other Fire Department Expenses..........................................................................................$....................................
B 10 Hospitals and Pest Houses...................................................,......................................................$....................................
...........................................__...................................................m.............................................................................................$....................................
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Total Safety Fund............................................................................................................$........................:...::::::..
'Sec. 5. That there be transferred from the GENERAL FUND to the SERVICE FUND I
the sum of $.............................................; and that there be appropriated from said SERVICE FUND
the following:
C. SERVICE FUND I
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C 1 Street Commissioner...............................................................,... ....................................~..............$.................................... I
C 2 Street Repair .................................................................................'......................................................$....................................
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C 3 Street Cleaning ........................................................................... ......................................................$.................................... I
C 4 Street Lighting 2.................................................................................................................................$.................................... ~
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C 5 Water Service 2 ............................................................................._......................................................$....................................
C 6 Sewers and Drainage.................................................................. ......................................................$....................................
C 7 Bridges......................................................................................................................................................$....................................
C 8 Sidewalks and Crossings.........................................................,......................................................$....................................
C 9 Buildings and Rents..................................................................,......................................................$....................................
C 10 Garbage Removal ...........................................................................................................................$....................................
Cll Parks..........................................................................................................................................................$....................................
,.......................m..........................................................................................................,......................................................$....................................
Total Service Fund.................................................................................................................................................$....................................
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Form A39-4
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COLUMBUS BLANK BOOK CO., COL., O. Form A39-4
Sec. 6. That there be appropriated from the WATER FUND:
D. WATER FUND
D 1 Office Expenses .............................................................................. ......................................................$........................ ............ I
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D 2 Employes ............................................................................................................,.................................$....................................
D 3 Fuel and Light.....................................................................................................................................$....................................
[ D4 Repairs to Buildings.........................................................................................................................$....................................
D 5 I
Repairs to Pipes and Machinery.......................................,......................................................$....................................
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D6 Other Operating Expenses.........................................,................................................................$.................................... I
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xD 7 Lands, Buildings and New Machinery...............................................................................$.................................... I
xD 8 Pipe Extension ..................................................................................................................................$....................................
xD 9 New Meters ...........................................................................................................................................$....................................
..............;............................................................................................................................................................................$.................................... I
.................................................................................................................................... ......................................................$.................................... I
T olal Water Fund....................................................................................................................................................$.................................... I
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Sec. 7. That there be appropriated from the LIGHT FUND: I
E. LIGHT FUND
E 1 Office Expenses ........................................................................... ......................................................$....................................
E 2 Employes .......................................................................................... ......................................................$....................................
E 3 Fuel ............................................................................................................................................................$....................................
E 4 Repairs to Buildings.................................................................m....................................................$.................................... I
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Repairs to Wires and Machinery....................................,..................................................,...$.................................... I
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E 6 Other Operating Expenses...................................................... ......................................................$.................................... I
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xE 7 Lands and New Buildings...................................................... ....:............................................:....$....................................
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xE 8 New Machinery .................................................................................................................................$....................................
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xE 9 Wire Extension ............................................................................................. .....................................$.................................... I
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...........................................................................................................................................................................................$....................................
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T olal Light Fund.......................................................................................................................................................$.................................... I
Sec. 8. That there be appropriated from the LIDRARY FUND: I
F. LIBRARY FUND I
r F 1 Office Expenses .....................................................................................................................................$....................................
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F 2 Fuel and Light ........................................................................................................................................$....................................
F 3 New Books .................................................................................................................................................$....................................
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F 4 Other Expenses ...............................................................................................................................,....$.................................... I
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.................................................................................................................................... ......................................................$....................................
..........................................................................................................................................................................................$....................................
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T olal Library Fund................................................................................................................................................$.................................... I
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ISec. 9. That there be transferred from the GENERAL FUND to the CEMETERY I
FUND the sum of $........................................................................; and that there be appropriated from said I
CEMETERY, FUND the following: I
G. CEMETERY FUND I
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G 1 Office Expen3es ........................................._................................ ......................................................$.................................... I
G2 Employes............................................................................._..............................................................$....................................
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G3 Tools and EquipmenL.....................................................................................................................$.................................... I
G4 Other Expenses................................................... ......................._......................................................$....................................
xG 5 Lands and Buildings........................................................................................................................$....................................
Total Cemetery Fund...........................................................................................................................................$.................................... I
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Sec. 10. That there be appropriated from the STREET CONSTRUCTION, MAINTEN- I
ANCE AND REPAIR FUND (Motor Vehicle and Gasoline Tax Funds) the following: I
STREET CONSTRUCTION, MAINTENANCE AND REPAIR FUND I
H. I
H 1 Supervision .............................................................................................................................................$.................................... I
H 2 .l. L- C G.. .:I_ I
C Employes .................................................................................................................................................$.....,..............................
H3 . /~~~ I
MatenaIs ....................................................................................:..............................................................$.................................... I
H4 Repairs by Contracts ........................................................................................................................$........!....~..':?..~..:..~::... I
H 5 T I ti I t t ~ ..., ^. 17 ~.. . ., $ -~ ~.. , I
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00 s, mp emen s;-e c.........................................:........:....;..~...,...................................................... .............~;;................::-~. I
If-! vv~~:::-.. --: G. -<1 ;..~~. I
H ItJ '€I osswalks- ......TZf.fr,.~!.~..f:.........S.I..f.r.!..!.?.~............................................................................$..............!..~!?:..~.:::. I
#~ 0 7/tv,;,.c... f- ,/1/tt7..:/L c't P/E:7-...'St '-Ie/b. ""- I
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H ~l- Miscellaneous ....................................................................................'......................................................$..........................:......... I
Total Street Construction, Maintenance and Repair Fund.........................................................$..fI..e..o..(}.!:...~!!:
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Sec. 11. That there be appropriated from the STATE HIGHWAY IMPROVEMENT I
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FUND the following:
I. MOTOR VEHICLE AND GASOLINE TAX STREET MAINTENANCE AND REPAIR FUND
(Sec. 5735.28 R. C. provides that 71'2% of funds paid to municipal corporations on the line of a state highway pursuant to Sections 4501.04,
5735.23 and 5735.27, shall be used in the construction and maintenance of state highways.)
0 I 1 Supervision................................................................................................................................................$.................................... I
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I 2 Employes ...................................................................................................................................................$.................................... I
I 3 t Of), (.~
Materials ............................................................................................. ......................................................$.......... .,......:..:.~..........
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Form A39.4
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I Repairs by Contracb...........................................................................................................................$........l/l.@.~..~~
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I 5 Tools, Implements, etc.......................................................................................................................$....................................
I Crosswalks ..........................................................................................'......................................................$...............l.~.~.\.!.:;-
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Miscellaneous .................................................................................... ......................................................$..............: ..::..........'......
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Total State Highway Improvement Fund.............................................................................................$......................~.....~
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I Sec. 12. That there be appropriated from the FIREMEN'S INDEMNITY FUND the
I sum of ................................................................................................................................................................................................................$....................................
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Sec. 13. That there be appropriated from the FIREMEN'S PENSION FUND the sum of $....................................
I Sec. 14. That there be appropriated from the POLICEMEN'S PENSION FUND.....................$....................................
Sec. 15. That there be appropriated from the GENERAL BOND RETIREMENT FUND:
20 A. GENERAL SINKING FUND
20 A 1 Salary of Secretary......................................................................................................................$....................................
I 20 A 2 Redemption of Bonds.........................................................,......................................................$....................................
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I 20 A 3 Redemption of Certificates or Notes...........................................................................$....................................
20 A 4 Interest on Bonds........................................................................................................................$....................................
20 A 5 Interest on Certificates or N otes.........................................:.............................................$....................................
20 A 6 Incidental Expenses ...................................................................................................................$....................................
Total General Sinking Fund.............................................................................................................................$....................................
Sec. 16. That there be appropriated from the GENERAL BOND RETIREMENT FUND.
21 A. GENERAL BOND RETIREMENT FUND
21 A 1 Salary of Secretary......................................................................................................................$....................................
21 A 2 Redemption of Bonds...................................................... .......................................................$....................................
21 A 3 Redemption of Certificates or Notes....................._.....................................................$....................................
21 A 4 Interest on Bonds.................................................................. ......................................................$....................................
21 A 5 Interest on Certificates or Notes................................. .......................................................$....................................
21 A 6 Incidental Expenses ...................................................................................................................$....................................
'f otal General Bond Retirement Fund...... ,.............................................................................................$....................................
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Fonn A39.4
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I Sec. 17. That there be appropriated from the SPECIAL ASSESSMENT SINKING FUND:
l 22 A. SPECIAL ASSESSMENT SINKING FUND
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~ 22 A 1 Redemption of Bonds...................................................... ......................................................$....................................
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22 A 2 Redemption of Notes......................................................... ......................................................$....................................
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i 22 A 3 Interest on Bonds..................................................................,......................................................$....................................
I 22 A 4 Interest on Notes..................................................................,......................................................$....................................
I Total Special Assessment Sinking Fund... .............................................................................................$....................................
I Sec. 18. That there be appropriated from the SPECIAL ASSESSMENT BOND RETIREMENT FUND:
. 23 A. SPECIAL ASSESSMENT BOND RETIREMENT FUND
23 A 1 Redemption of Bonds......................................................,......................................................$....................................
23 A 2 Redemption of Notes................................................................................................................$....................................
23 A 3 Interest on Bonds.........................................................................................................................$....................................
23 A 4 Interest on Notes.................................................................. ......................................................$....................................
Total Special Assessment Bond Retirement Fund ...............................................................$..........................................
Sec. 19. That there be appropriated from the...... .................................................................. Fund............$....................................
..................................................................................................................................................................................................................................$....................................
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GRAND TOTAL APPROPRlA TIONS.............................._.........................................................................................$...l~..e."@.~~.~~
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Sec. 20. And the Village Clerk is hereby authorized to draw his warrants on the Village Treasurer for
payments from any of the foregoing appropriations upon receiving proper certificates and vouchers therefor, ap-
proved by the board or officers authorized by law to approve the same, or an ordinance or resolution of council
I to make the expenditures; provided that no warrants shall be drawn or paid for salaries or wages except to
persons employed by authority of and in accordance with law or ordinance. Provided further that the ap-
propriations for contingencies can only be expended up on appeal of two-thirds vote of Council for items of
expense constituting a legal obligation against the village, and for purposes other than those covered by the
other specific appropriations herein made.
::~~.=.&:=~~~::::.~.ff7;::3tb. ea, L~t{.'~m
~ G ~~ President of Council.
Attest :......................................................................................... ................ ...........
Clerk of Council.
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I. Strike out this paragraph if appropriations are to be made from the General Fund. only, and Safety, Service and Cemetery Funds are
not to be established. '
2. Do not appropriate for these items if Water and Light Funds are established.
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