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ORDINANCE CIO. ~ d a <br />By~~~ % ~:7LG~~r!~.G~/~ <br />... - <br />AN ORDINANCE TO MAKE APPROP~~IATIO~IS FOR <br />CURRENT EXPENSES AND OTHER BIDITtJRES <br />OF THE CITY OF P10RTH 071~LSTED, OHIO <br />DURING THE FISCAL YEAR ENDING DECEMBER 31, 1953 <br />BE IT ORDAIlVED BY THE COUNCIL OF THE CITY OF NORTH OTI~LSTED, STATE OF <br />OHIO: <br />Section 1. The City Auditor hereby certifies that the follc~+ring are <br />actual balances 3.n their respective funds as of January 1, 1953: <br />General Fund ....... .......................... X16,59$.47 <br />Municipal Bus ................................ 49.92 <br />Street Maintenance (M V L) ................... 4,360.$1 <br />n rr (Gas Tax) ................. 4,$8$•12 <br />General Sinking Fund X75,133.45 <br />Spl.Asst. Bond Retirement (67.379,_.53)O.D. <br />7,753.92 7,753.92 <br />Recreation ................................... 3,45.41 <br />Street ~g ............................... 8,491.75 <br />FlranentS Indemnity .........................• 121,60 <br />Bus Garage Cons .............................. 1,460.91 <br />Lessner Rd. Water Improvement ................ 781,26 <br />Porter Road " " ....,.:......... 498.14 <br />Dover #1 " -' ................ 373.Ob <br />Trust Funds .................................. 1,484.E <br />McKenzie #1 Water Improvement ................ $32.4$ <br />Gladland Ave. " " ................ X8.95 <br />McKenzie #2 " " ................ $61.71 <br />Walter ~l n u ................ 707-.56 <br />Dover Rd. Sidewalk Improvement ............... 211.10 <br />Walter ~2 Water ~' ............... 1b9.1z <br />Stearns Ro~.d" " ............... 1,084,b1 <br />Flehearta Rd. " " ............... 463.45 <br />Canterbury Rd.rr n ............... 2,925.0$ <br />Dover Rd. ~2 a rr ............... 32,206.22 <br />Police Pension ~. Relief ............... 34,256,$5 <br />Alexander Rd, Water Improvement ............... 2,081.08 <br />Walter Rd. #3 " " ............... 3,649.54 <br />Barton Rd. " " ............... 10,3$8.82 <br />Maple Ridge Sidewalk ?~-provement ............. 3,174.02 <br />Bailey Rd. Water " ............... 4,840.28 <br />Total ...................304,677-.84 <br />Section 2. That to provide for current ~~penses and other expenditures <br />of the said City of North Olmsted during the fiscal year ending December 31, 1953 <br />the f©llowing sums be and they are hereby set aside and appropriated as follows: <br />Section 3. That there be~appropriated from the GENERAL FUND: <br />GENERAL FUND <br />Councilmen ~ Council President ................. 2,8$O.t?0 <br />Mayor Salary ... ................................ 5,400.00 <br />" Incidentals ........ ...................... 100.00 <br />Auditor Salary ................................. 6,600.00 <br />11 Incidentals • ............................• 400.40 <br />Mayorts Secretary ...................... 3,654.00 <br />Treasurer Salary ...................... 900.00 <br />" Incidentals ...................... 300.00 <br />La~ut Director Salary ...................... 5,000.40 <br />n " Incidentals ...................... 100,00 <br />Building Gou~issioner & Inspectors ............. 9,5~.~ <br />Justice of Peace ...................... 50.00 <br />Plan Ccua. ...................... 50.E <br />