Loading...
0534 Annual Appropriation 2000CITY OF CHUBBUCK ORDINANCE #534 AN ORDINANCE OF THE CITY OF CHUBBUCK, BANNOCK COUNTY, IDAHO APPROPRIATING THE SEVERAL SUMS OF MONEY DEEMED NECESSARY AND SUFFICIENT TO DEFRAY ALL EXPENSES AND LIABILITIES OF THE CITY OF CHUBBUCK FOR THE FISCAL YEAR BEGINNING ON THE 1 ST. DAY OF OCTOBER, 2000, AND ENDING ON THE 30TH. DAY OF SEPTEMBER, 2001, AND DESIGNATING THE DIFFERENT FUNDS TO WHICH SHALL BE DRAWN AND PAID, AND KNOW AS THE "ANNUAL APPROPRIATION ORDINANCE OF FISCAL YEAR 2000-2001" PURSUANT TO THE PROVISIONS OF SECTION 50-1003, IDAHO CODE, PROVIDING FOR THIS ORDINANCE TO TAKE EFFECT AFTER ITS PASSAGE, APPROVAL AND PUBLICATION ACCORDING TO LAW. NOW THEREFORE, BE IT ORDAINED BY THE MAYOR AND COUNCIL OF THE CITY OF CHUBBUCK, A MUNICIPAL CORPORATION OF IDAHO AS FOLLOWS: Section 1: That the following funds are designated as the proper funds into which all revenues accruing to the City of Chubbuck from all sources shall be paid during the fiscal year beginning on the 1st., day of October, 2000, and ending on the 30th. day of September, 2001. General Fund- Internal Central Garage, Waterworks, Sanitation and Sewage Fund- Sewer Revenue Bond and Interest Fund, Series 10-1-72 & 10-1-95 - Water Revenue Bond and Interest Fund. Section 2: That the following sums of money are hereby appropriated from the General Fund for the payment of all General Fund Expenses of the City of Chubbuck during aforesaid fiscal year: 410 General Government $ 112,827.00 422 Law Enforcement $1,751,782.00 423 Fire Control & Prevention $ 527,554.00 424 Building Inspection $ 70,112.00 430 Transportation -Hwy, Streets and Roads $ 572,827.00 432 Engineering $ 9,650.00 438 Parks and Recreation $ 408,484.00 440 Chubbuck Development Authority $ 980,000.00 453 Health and Welfare $ 14,325.00 490 Other General Governmental Purposes $ 3,600.00 TOTAL GENERAL FUND $4,451,161.00 1 ORDINANCE #534 - (cont.) - Page 2 Section 3: That the following sums of money are hereby appropriated from Internal Central Garage, Waterworks, Sanitation and Sewer Fund for the payment of all Central Garage, Waterworks, Sanitation and Sewage expenses of the City of Chubbuck during aforesaid fiscal year: 470 Internal Central Garage $ 38,650.00 433 Sanitation - Salaries & Administration $ 675,580.00 434 Waterworks - Salaries & Administration $1,233,752.00 435 Sewage - Salaries & Administration $ 980,075.00 CENTRAL GARAGE, WATER, SANI & SEWER $ 2,928,057.00 Section 4: That the following sums of money are hereby appropriated from the Water Revenue Bond and Interest Fund, Series October 1, 1995 for the payment of all bonds and interest due on Well #5, and Air stripping of Well #4 of the City of Chubbuck during aforesaid fiscal year: 434 Water Revenue Bond & Interest Fund $ 185,398.00 Section 5: That the following sums of money are hereby appropriated from the Sewer Revenue Bond and Interest Fund, Series 10-1-72, for the payment of all bonds and interest due on sewer system project of the City of Chubbuck during aforesaid fiscal year: 435 Sewer Revenue Bond & interest Fund $ 68,900.00 Series 10-1-72 Section 6: That the following sums of money are hereby appropriated from the Special Revenue Funds for the payment of special related expenses: Special Revenue Fund $ 5,000.00 Section 7: That all ordinances, r esolutions, or parts thereof, in conflict herewith are expressly repealed: That the rule requiring ordinances to be read on three separate days is hereby dispensed with, and this ordinance shall become effective upon its approval and publication as provided by law. PASSED AND APPROVED BY THE MAYOR AND COUNCIL, of the City of Chubbuck, Idaho, this 22nd, day of August, 2000. 11�-57 " Ron C. Conlin, City Clerk/Treasurer City of Chubbuck ni ipa 090 atio of Idaho ohn O. Cotant, Mayor