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HomeMy WebLinkAboutORD 112811 5 6 9 10 11 12 13 oil c 14 0 15 { ^ w 16 ® 17 16 19 23 0 • BILL NO. 8 ORDINANCE NO. 1128 BY COUNCILMAN MARTIN AN ORDINANCE TERMED THE ANNUAL 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, FOR THE FISCAL YEAR BEGINNING THE FIRST DAY OF JANUARY, 1968, PURSUANT TO THE PROVISIONS OF SECTION 50 -1003, IDAHO CODE. Be it ordained by the Mayor and Council of the City of Caldwell, Idaho: Section 1. That there is appropriated out of any money in the City Treasury, for the purpose of defraying the necessary expenses and liabilities of the City or Caldwell, Idaho, for the fiscal year beginning the first day of January, 1968, the sum and sums of money or so much thereof as may be necessary for the follow- ing amount, to -wit: GENERAL FUND Mayor and Council City Attorney City Clerk City Treasurer Police Health & Welfare Police Court Parking Meters Engineer Spraying City Office Building Building Department Park Swimming Pool Recreation Golf 30,662.14 4,550.00 8,270.00 7,631.11 129,695.93 2,950.00 7,194.14 17,163.44 42,717.00 2,780.00 4,395.00 7,367.87 22,243.00 30,295.00 9,695.00 79,316.00 1 2 3, 1 41 10 11 12 z 13 Aar 14 �<Q 15 16 � � U 17 c 18 19 20 21 25 26 27 26 • 0 Airport 9,752.00 Fire Station Building 3,940.46 Advertising 600.00 Insurance 8,810.00 Taxes 43.00 Audit & CPA Consultation 1,180.00 Gasoline 13,719.00 Interest 1,200.00 Telephone 3,560.50 Election 70.00 Recodif ication 762.50 County -City Cooperative Civil Defense 1,350.00 Appraisal of Property 50.00 TOTAL GENERAL FUND $451,963.09 Dater and Sewer 179,228.53 Treatment Plant 66,542.00 Water (General Office) 30,185.00 Bonds and Interest 46,745,50 TOTAL WATER AND SEWER $322,701.03 Fire Department 107,340.34 Bonds and Interest 14,361.39 TOTAL FIRE DEPARTMENT $121,701.73 Cemetery Department 28,225.00 Library 41,365,65 Street Department 272,366.00 Sanitation Department 84,744.00 Armory 6,485.27 L.I.D. Guarantee Fund 9,390.59 TOTAL ALL FUNDS $1,338,942.36 Section 2. This ordinance shall be in force and effect from and after its passage, approval and publication. PASSED By the City Council this 18th day of March, 1968 0 L-A APPROVED By the Mayor this 18th day of March, 1968. Mayor 1011 11' 12 w 13, A a 1411, 15 16 � � U � 17 w 18 21 29