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HomeMy WebLinkAboutORD 1445BILL NO. 37 ORDINANCE NO. 1445 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 OCTOBER, 1977, 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 of Caldwell, Idaho, for the fiscal year beginning the first day of October, 1977, the sum and sums of money or so much thereof as may be necessary for the following amounts, to -wit: A. FOR GENERAL AND CORPORATE PURPOSES: TOTAL OTHER REV. APPROP REVENUE SURPLUS SHAR. TAXES General Fund 2,018,391 873,917 104,000 176,229 864,245 B. FOR SPECIAL AND CORPORATE PURPOSES: Cemetery 90,259 38,091 1,000 20,241 30,927 Library 165,002 28,495 14,000 11,257 111,250 Street 501 298,900 69,490 133,500 Shop 58,460 58,460 Armory 10,697 4,136 6,561 Airport 587,628 550,378 15,000 22,250 Recreation 66,750 66,750 Fire Bond 13,251 550 3,855 8,846 Pool Bond 16,356 2,400 2,831 11,125 Sewer Bond 178,965 51,662 127,303 Library Capital Improvement 44,500 44,500 Water 590,305 484,230 106 Sewer 863,505 588,750 274,755 Stadium 45,427 6 14,427 25,000 Golf (Purple Sage) 165,815 125,000 25,000 25,000 Golf (Fairview) 9,185 September, 1977. Mayor, City of Caldwe TOTAL OTHER REV. APPROP REVENUE SURPLUS SHAR. TAXES Irrigation 92,943 75,000 17,943 TOTAL SPECIAL FUNDS 3,500,938 2,312,052 590,807 168,931 429,148 TOTAL ALL FUNDS 5,519,329 3,185,969 694,807 345,160 1,293,393 PASSED BY THE CITY COUNCIL of the City of Caldwell this 9th day of September, 1977. APPROVED BY THE MAYOR of the City of Caldwell this 9 th day of September, 1977. Mayor, City of Caldwe