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? <br />? <br />AO*k <br />1900? <br />CITY OF NORTH OLMSTED <br />ORDINANCE N0. 69 - 7 <br />Page 5. <br />Section 6. That there be appropriated from the STATE <br />HIGHWAY FUND the following: <br />STATE HIGHWAY FUND <br />Labor ............................... $ 3,000 <br />Material ............................ 2,000 <br />Repair by Contract .................. 2,975 <br />Trucks & Equipment .................. 16,500 <br />PERS & Workmen's Comp ............... 525 <br />Total State Highway Fund....... $25,000 <br />Section 7. That there be appropriated from the RECREATION <br />FUND the following: <br />RECREATION FUND <br />Salaries ............................ $32,000 <br />Car Altowance ....................... 3,000 <br />Supplies ............................ 91000 <br />Rental .............................. 1,500 <br />Capital Improvements ................ 15,376 <br />PERS & Workmen's Comp ............... 600 <br />Miscellaneous ....................... 400 <br />Total Recreation Fund.......,., $61,876 <br />Section 8. That there be appropriated from the SEWER <br />REVENUE FUND the following: <br />SEIWER REVENUE FUND <br />Plant Labor ......................... $ 68,000 <br />Systems Labor ....................... 24,000 <br />Maintenance ......................... 10,000 <br />Chemicals ........................... 10,000 <br />Utilities ........................... 37,000 <br />Trustee Services .................... 700 <br />PERS & Workmen"s Comp ............... 9,000 <br />Miscellaneous ....................... 1,500 <br />Supplies ............................ 500 <br />Hospitalization ..................... 2,500 <br />Bonds & Interest .................... 227,395 <br />Insurance ........................... 2,000 <br />Systems Material .................... 5,000 <br />Administrative Salaries ............. 8,500 <br />Syistems Equipment ................... 5,000 <br />Consultant .......................... 6,000 <br />Engineering Services ................ 5,000 <br />Total Sewer Revenue Fund....... $422,095 <br />Section g. That there be appropriated from the MUNICIPAL <br />BUS FUND the following: <br />MUNICIPAL BUS FUND <br />Employees Payroll ................... $384,000 <br />4iospitalization'&'{.ift ansurance.... 8,000 <br />Liability Insurance ................. 40,000 <br />Repair of Equipment ................. 48,000 <br />Tires ............................... 8,000 <br />Equipment ........................... 100 <br />Gas & Oil ........................... 51,000 <br />Printing ............................ 2,500 <br />Terminal Rent ....................... 3,000 <br />Bus Garage Expense .................. 3,000 <br />Legal Expense ....................... 200