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ORDINANCE NO. 245 <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 ALL <br />EXPENSES AND LIABILITIES OF THE CITY OF CHUBBUCK FOR THE FISCAL YEAR BEGINNING <br />ON THE lST DAY OF OCTOBER 1983 AND ENDING ON THE 30TH DAY OF SEPTEMBER, 1984, <br />AND DESIGNATING THE DIFFERENT FUNDS TO WHICH SHALL BE DRAWN AND PAID, AND <br />KNOW AS THE "ANNUAL APPROPRIATION ORDIANCE OF FISCAL YEAR 198'3-84" PURSUANT <br />TO THE PROVISIONS OF SECTION 50-1003, IDAHO CODE: PROVIDING FOR THIS ORDINANCE <br />TO TAKE EFFECT AFTER ITS PASSAGE, APPROVAL AND PUBLICATION ACCORDING TO LAW. <br /> <br /> NOW THEREFORE, BE IT ORDAINED BY THE MAYOR AND COUNCIL OF THE CITY OF <br />CHUBBUCK, A MUNICIPAL CORPORATION OF IDAHO AS FOLLOWS: <br /> <br /> Section l: That the following funds are designated as the proper funds <br />into which all revenues accruing to the City of Chubbuck from all sources <br />shall be paid during the fiscal year beginning on the 1st day of October, <br />1983 and ending on the 30th day of September, 1984. <br /> <br />General Fund - Internal Central Garage, Waterworks, Sanitation and Sewage <br />Fund - Sewer R6venue Bond and I~terest Fund, Series 10-1-72 - Water <br />Revenue Bond and Interest Fund, Series September l, 1976 - Local Improvement <br />Dist. #1, Burnside, Bond & Interest Fund. <br /> <br /> Section 2: That the following sums of money are hereby appropriated <br />form the General Fund for the payment of ail General Fund expenses of the <br />City of Cubbuck during aforesaid fiscal year: <br /> <br />410 General Government <br />422 Law Enforcement <br />423 Fire Control & Prevention <br />424 Building Inspection <br />430 Transportation-Hwy, Strts & Rds <br />432 Engineering <br />438 Parks <br />453 Health & Welfare <br />490 Other General Governmental Purposes <br /> TOTAL GENERAL FUND <br /> <br />$ 279,693.00 <br />409,99O.OO <br />123,650.00 <br />ll,900.O0 <br />'199,052.00 <br />8,500.00 <br />223,900.00 <br />5,550.00 <br />359,570.00 <br />$1,621,805.00 <br /> <br />Section 3: That the following sums of money are hereby appropriated from <br />the Internal Central Garage, Waterworks, Sanitation and Sewer Fund for <br />the payment of all Central Garage, Waterworks, Sanitation and Sewage expenses <br />of the City of Chubbuck during aforesaid fiscal year: <br /> <br />470 Internal Central Garage <br />433 Sanitation- Salaries & Administration <br />434 Waterworks-Salaries & Administration <br />435 Sewage-Salaries, & Administration <br /> CENTRAL GARAGE, WATER, SANI., SEWER <br /> <br /> 61,800.00 <br />271,455.00 <br />546~141.00 <br />455,077.00 <br /> <br />$1,334,473.00 <br /> <br />Section 4: That the following sums of money are hereby appropriated from <br />the Water Revenue Bond and Interest Fund, Series September 1, 1976, for <br />the payment of all bonds and interest due on water storage tank project <br />of the City of Chubbuck during aforesaid fiscal year. <br /> <br />434 Water Revenue Bond & Interest Fund <br /> <br />$ 21,81 2.50 <br /> <br /> Section 5: That the following sums of money are hereby appropriated <br />fromthe 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 City <br />of Chubbuck during aforesaid fiscal year. <br /> <br />435 Sewer Revenue Bond & Interest, Series $ 69,300.00 <br /> 10-1-72 <br /> <br /> <br />