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Page 5 -ORDINANCE N0. 63 - 82 <br />Section 6. That there be appropriated from the STATE HIGHWAY FUND <br />the following: <br />STATE_HIGHWAY FUND <br />labor 4,000.00 <br />PERS 290.80 <br />Workmen's Compensation 66.80 <br />Material 4,000.00 <br />Tools ~ Equipment 1,228.40 <br />Repairs by Contract 1,000.00 <br />Total $10,586.00 <br />i <br />Section 7. That there be appropriated from the MUNICIPAL BUS FUND <br />THE FOLLOWING: <br />MUNICIPAL BUS FUND <br />Employees 255,000.00 <br />Insurance 22,000.00 <br />Equipment 5,000.00 <br />Gas F, Oil 40,000.00 <br />Repairs 38,000.00 <br />Tires 9,000.00 <br />Printing 2 000.00 <br />Terminal Rent 4,000.00 <br />Bus Garage Expense 5,000,00 <br />Legal Expense 500.00 <br />Legal Advertising 500.00 <br />Miscellaneous 2,000.00 <br />Licenses 3,000.00 <br />PERS 26,000.00 <br />Bond Retirement ~. Interest 12,560.00 <br />Workmen's Compensation 5,000.00 <br />Uniforms 2,500.00 <br />Utilities 4,800.00 <br />Total $436,860.00 <br />.Section 8. That there be appropriated from .the SEWER. REVENUE FUND <br />the following; <br />SEWER .REVENUE FUND <br />Labor 37,528.50 <br />PERS 3,124.18 <br />Insurance 1,500.00 <br />Equipment ~ Maintenance 3,500.00 <br />Chemicals ~ Other Materials 1,100.00 <br />Utilities 16,300.00 <br />Bonds ~ Interest 65,143.00 <br />Reserve Account 12,000.00 <br />Total 140,195.68 <br />~~ <br />Section 9. That there be appropriated from the GENERAL BOND <br />RETIREMENT FUND ...........................................$226,217.91 <br />Section 10. That there be appropriated from the SPECIAL ASSESSMENT <br />BOND RETIREMENT FUND ......................................$141,712.86 <br />Section 11. That there be appropriated from the RECREATION <br />FUND ..................................... ...............$ 33,530.55 <br />Section 12. That there be appropriated from the POLICE RELIEF AND <br />PENSION FUND ..............................................$119,701.94 <br />