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ORDINANCE NO, 29 <br />AN ORDINANCE OF THE VILLAGE OF CHUBBUCK, BANNOCK. COUNTY, IDAHO, APPROPRIATING <br />THE SEVERAL SUMS OF MONEY DEEMED NECESSARY TO DEFRAY ALL NECESSARY EXPENSES <br />AND ALL LIABILITIES OF THE VILLAGE OF CHUBBUCK FOR THE FISCAL YEAR BEGINNING <br />MAY 1st, 1954, AND ENDING APRIL 30th, 1955; DESIGNATING THE DIFFERENT FUNDS <br />TO WHICH ALL REVENUE SHALL ACCRUE AND BE PLACED AND FROM WHICH SAID APPROPRIA- <br />TIONS SHALL BE MADE: PROVIDING FOR THE EXPENDITURES AUTHORIZED AND WARRANTS <br />DRAWN ON THE VILLAGE FOR SAID FISCAL YEAR AND THIS ORDINANCE TO BE KNOWN AS <br />THE ANNUAL APPROPRIATION ORDINANCE OF 1954; REPEALING ALL ORDINANCES AND PARTS <br />OF ORDINANCES IN CONFLICT HEREWITH AND PROVIDING A TIME OF TAKING EFFECT OF THIS <br />ORDINANCES <br />BE IT ORDAINED BY THE CHAIRMAN AND BOARD OF TRUSTEES OF THE VILLAGE OF CHUBBUCK, <br />BANNOCK COUNTY, IDAHO: <br />Section 1. The following named funds are hereby designated as the <br />proper funds into which all revenue accruing to the Village of Chubbuck from <br />all sources during the fiscal year beginning on the 1st day of May, 1954, <br />and ending on the 30th day of April, 1955, shall be paid, to -wit: <br />General Fund <br />Water Works System Revenue Special Funds for said fiscal year <br />Water System Maintenance Fund <br />Section 2. That the following sums of money are hereby appropriated <br />fiom the general fund for the payment of all general expenses of the Village <br />of Chubbuck during the aforesaid fiscal year: <br />Street Maintenance ---------------------------------- - -- - -$ 1500,00 <br />Street Lights and Power ----------------------------- - - - - -- 750,00 <br />Salaries and Wages ---------------------------------- - - - - -- 4500,00 <br />Stationery, Supplies and Printing ------------------- - - - - -- 500,00 <br />Garbage disposal ------------------------------------ - - - - -- 100,00 <br />Fire Department Expense ----------------------------- - - - - -- 200,00 <br />For all other miscellaneous and contingent purposes - - - - - -- §9ffl.00 <br />$ 13550,00 <br />That the following sums of money are hereby appropriated <br />from the Water Works System Revenue Special Funds, as follows: <br />Principal. on Water Works Bonds from special Water Works <br />Revenue Bond Fund --------------------------------- - - - - -- $ 3000.00°' <br />Interest on Water Works Revenue Bonds Special Fund - - - -- 2£00.00 <br />Expenses of operation and maintenance of municipal <br />Water Works System: <br />Salary of Supt- ---------------------------- - - - - -- 720,00 <br />Electric Power ----------------------------- - - - - -- 960,00 <br />Other expenses of operation ---------------- - - - - -- 500.00 <br />$ 7980.00 <br />TOTAL - - - - - - - - - - - - - - $21530.00 <br />Estimated income of Village for fiscal year other than <br />from Special Water Works revenue ------------------ - - - - -- 5950.00 <br />Carry -over in general fund available -------------- - - - - -- 7600,00 <br />Section 3. That all Ordinances or parts of Ordinances in conflict <br />herewith are hereby expressly repealed, and that this Ordinance shall be in full <br />force and effect from and after its passage, approval and publication, as required <br />by law, and shall be known as the "Annual Appropriation Ordinance of 1954 ". <br />PASSED AND APPROVED this 11th day of June, .1954. <br />ATTEST • EAL) <br />C I irman o the Board o rustees <br />Village clerk. <br />