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HomeMy WebLinkAboutORD 11211 8 9 I q 0 il F 01; � 4 0 • BILL NO. 1 ORDINANCE NO. 1121 BY COUNCILMAN MARTIN AN ORDINANCE TERMED THE INTERIM APPROPRIATION BILL, APPROPRIATING MONEY IN SUCH SUM AND SUMS AS ARE DEEMED NECESSARY TO DEFRAY ALL PROPER EXPENSES AND LIABILITIES OF THE CITY OF CALDWELL, IDAHO, NOT OTHERWISE PROVIDED FOR, FROM THE INTERIM PERIOD FROM JANUARY 1, 1968 UNTIL THE ANNUAL APPROPRIATION ORDINANCE IS APPROVED, PURSUANT TO THE PROVISIONS OF 50 -1005, IDAHO CODE. 7 Be it ordained by the Mayor and Council of the City of Caldwell, Idaho: 10' Section 1. That there is appropriated out of any money 11 in the City Treasury, for the purpose of defraying the necessary 12I expenses and liabilities of the City of Caldwell, Idaho, for the 13 I interim period beginning January 1, 1968 until annual appropria- I 14 tion ordinance is approved, the sum and sums of money or so much 15 as may be necessary for the following amount, to -wit: 16! GENERAL FUND 17 1 1 Mayor and Council $ 11,000.00 `I . City Attorney 1,100.00 1911 City Clerk 3,300.00 20. City Treasurer 2 ,390-00 21if Police 45,100.00 22 Health & Welfare 1,000.00 23 Police Court 2,300.00 24I1I Parking Meters 5,805.00 25 N Engineer 13,885.00 26 Spraying 590.00 27 City Office Building 1,500.00 28 Building Department 2,450.00 29 Park Department 9,400.00 30 Swimming Pool 13,400.00 31 Recreation 2,000.00 32, Golf 31, 600, oo 1 6 81� 9 10 11 i z 12i� 13 14111 m a l Ji w oa 16' U 17, 18 111 19 21 23 26 27 3 0 • Airport $ 3,300.00 Fire Station Building 2,000.00 Advertising 200.00 Insurance 5,500.00 Taxes 24.00 Audit 1,180.00 Gasoline 4,200.00 Interest 1,700.00 Telephone 1,200.00 Recodification 282.50 County -City Cooperative Civil Defense 1,350.00 Appraisal of Property 50 .00 TOTAL GENERAL FUND $ 167 ,806.50 Water & Sewer 83,800.00 Treatment Plant 21,200.00 Water (General Office) 10,150.00 Revenue Bonds and Interest 8,402.50 TOTAL WATER AND SEWER $ 1 2 3 ,552.50 Fire Department 33,300.00 General Obligation Bonds & Interest 2,404.00 $ 35,704.00 Cemetery Department 9,600.00 Library 35,000.00 Street Department 86,821.00 Sanitation Department 27,950.00 Armory 850.00 L. I. D. Guarantee Fund 2,500.00 TOTAL ALL FUNDS $ 489,784.00 Section 2. This ordinance shall be in force and effect 2 from and after its passage, approval and publication. 3 PASSED By the City Council this 2nd day of January, 1968. 41� APPROVED By the Mayor this 2nd day of January, 1968. 6 ATTEST: Wayor' 10 1 a - k 121 Cler 13 0 14 N 15 0A 16 17� 19 21 28