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62-001 Ordinance
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62-001 Ordinance
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Last modified
2/3/2014 10:12:20 AM
Creation date
1/28/2014 10:53:29 AM
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North Olmsted Legislation
Legislation Number
62-001
Legislation Date
1/2/1962
Year
1962
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PAGE - 4 - ORDINANCE N0. 62 - <br />Section 8. That there be appropriated from the MUNICIPAL <br />BUS FUND the following: <br />MUNICIPAL BUS FUND <br />Employees ........................100,000.00 <br />Insurance ........................ 10,000.00 <br />Equipment ........................ 3,000.00 <br />Gas ~ Oil ........................ 15,000.00 <br />Repairs .......................... 10,000.00 <br />Tires ............................ 4,000.00 <br />Printing ......................... 1,000.00 <br />Terminal Rent .................... 2,000.00 <br />Bus Garage Expense ............... 2,000.00 <br />Legal Expense .................... 200.00 <br />Legal Advertising ................ 200.00 <br />Miscellaneous .................... 1,000.00 <br />Licenses ......................... 1,000.00 <br />PERS ............................. 15,000.00 <br />Bond Retirement .................. 10,000.00 <br />Workmen's Compensation........... 3,000.00 <br />Uniforms ......................... 2,000.00 <br />Utilities ........................ 2,400.00 <br />$181,800.00 <br />Section 9. That there be appropriated from the SEWER REVENUE <br />FUND the following: <br />SEWER REVENUE FUND <br />Supervisor ....................... 3,000.00 <br />Employees ........................ 10,000.00 <br />Insurance ........................ 1,000.00 <br />Equipment ........................ 500.00 <br />Gas & Oil ........................ 500.00 <br />Repair & Maintenance ............. 500.00 <br />Office Supplies .................. 100.00 <br />Plant Supplies ................... 200.00 <br />Utilities ........................ 4,000.00 <br />Telephone ........................ 500.00 <br />Chemicals ........................ 2,000.00 <br />Testing Services ................. 500.00 <br />Miscellaneous .................... 4,000.00 <br />$26,800.00 <br />Section 10. That there be appropriated from the BOND <br />RETIREMENT FUND .......................................10,000.00 <br />Section 11. That there be appropriated from the SPECIAL <br />ASSESSMENT BOND RETIREMENT FUND .......................18,000.00 <br />Section 12. That there be appropriated from the <br />RECREATION FUND ....................................... 7,500.00 <br />., Section 13. That there be appropriated from the <br />STREET OPENING FUND ................................... 5,000.00 <br />Section 14. That there be appropriated from the <br />POLICE RELIEF AND PENSION FUND ........................10,000.00 <br />Section 15. That there be appropriated from the <br />FIREMEN"S RELIEF AND PENSION FUND .....................10,000.00 <br />Section 16. That there be appropriated from the <br />TRUST FUND ............................................ 6,000.00 <br />Section 17. That there be appropriated from the <br />FIRE HYDRANTS FUND .................................... 100.00 <br />Section 18. That there be appropriated from th000.00 <br />WATER LINE CONSTRUCTION FUND .......................... 5, <br /> <br />
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