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ORDINANCE NO. 258 <br /> <br />AN ORDINANCE OF THE CITY OF CHUBBUCK, BANNOCK COUNTY, IDAHO APPROPRIATING <br />THE SEVERAL SUMS OF MONEY DEEMED NECESSARY AND SUFFICIENT TO DEFRAY <br />ALL EXPENSES AND LIABILITIES OF THE CITY OF CHUBBUCK FOR THE FISCAL <br />YEAR BEGINNING ON THE 1ST DAY OF OCTOBER 1984 AND ENDING ON THE 30TH <br />DAY OF SEPTEMBER, 1985, AND DESIGNATING THE DIFFERENT FUNDS TO WHICH <br />SHALL BE DRAWN AND PAID, AND KNOW~'AS THE "ANNUAL APPROPRIATION ORDINANCE <br />OF FISCAL YEAR 1984-85" PURSUANT TO THE PROVISIONS OF SECTION 50-1003, <br />IDAHO CODE: PROVIDING FOR THIS ORDINANCE TO TAKE EFFECT AFTER ITS PASSAGE, <br />APPROVAL AND PUBLICATION ACCORDING TO LAW. <br /> <br /> NOW THEREFORE, BE IT ORDAINED BY THE MAYOR AND COUNCIL OF THE <br />CITY OF CHUBBUCK, A MUNICIPAL CORPORATION OF IDAHO AS FOLLOWS: <br /> <br /> Section 1: That the following funds are designated as the DroDer <br />funds into which all revenues accruin~ to the City of Chubbuck from <br />all sources shall be paid durinq the fiscal vear beqinninq on the 1st <br />day of October, 1984 and endinq on the 30th day of September, 1985. <br /> <br />General Fund - Internal Central Garage, Waterworks, Sanitation <br />and Sewage Fund - Sewer Revenue Bond and Ihterest Fund, Series <br />10-1-72 - Water Revenue Bond and Interest Fund, Series September <br />1, 1976 - Local Improvement Dist. #1, Burnside, Bond & Interest <br />Fund. <br /> <br /> Section 2: That the following sums of money are hereby appropriated <br />from the General Fund for the payment of all General Fund expenses of <br />the City of Chubbuck during aforesaid fiscal year: <br /> <br />410 General Government $ 316,313.00 <br />422 Law Enforcement 440,340.00 <br />423 Fire Control & Preventinn 154,643.00 <br />~24 Building Inspection 7,600.00 <br />430 T~ansportation-Hwy, Streets & Rds 250,515.00 <br />432 Engineering 8,900.00 <br />438 Parks 227,300.00 <br />453 Health & Welfare 5,833.00 <br />490 Other General Governmental Purposes 345,285.00 <br /> TOTAL GENERAL FUND <br /> <br />1,756,729.00 <br /> <br /> Section 3: That the following sums of money are hereby appropriated <br />from the Internal Central Garage, Waterworks, Sanitation and Sewer Fund <br />for the payment of all Central Garage, Waterworks, Sanitation and Sewage <br />expenses of the City of Chubbuck during aforesaid fiscal year: <br /> <br />470 <br />433 <br />434 <br />435 <br /> <br />Internal Central Garage 67,500.00 <br />Sanitation-Salaries & Administration 361,200.00 <br />Waterworks-Salaries & Administration 546,350.00 <br />Sewage-Salaries, & Administration 403,600.00 <br /> CENTRAL GARAGE, WATER, SANI.,SEWER $1,378,650.00 <br /> <br /> Section 4: That the following sums of money are hereby appropriated <br />from the Water Revenue Bond and Interest Fund, Series September 1, 1976, <br />for the payment of all bonds and interest due on water storage tank proiect <br />Of the City of Chubbuck during aforesaid fiscal year. <br /> <br />434 Water Revenue Bond & Interest Fund $ 21,815.00 <br /> <br /> Section 5: That the following sums of money are hereby appropriated <br />from the Sewer Revenue Bond and Interest Fund, Series 10-1-72, for the <br />payment of all bonds and interest due on sewer system project of the <br />City of Chubbuck during aforesaid fiscal year. <br /> <br />435 Sewer Revenue Bond & Interest, $ 64,600.00 <br /> Series 10-1-72 <br /> <br /> <br />