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