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~~ <br />Page 4 - ORDINANCE N0. 66 - y- <br />Section 6. That there be appropriated from the STATE HIGHWAY <br />FUND the following; <br />STATE HIGHWAY FUND <br />Labor ... ........................ 3,000.00 <br />Material ......................... 3,000.00 <br />Repairs by Contract .............. 500.00 <br />Trucks & Equipment ............... 1,000.00 <br />~ Miscellarnecws ........... ........ 250.00 <br />PERS ~ Workmen's Compensation.... 600.00 <br />Signs.. ...............y....... 1,00fl.Q0 <br />Tonal State Highway'Fund....$ 9,350.00 <br /> <br />Section 7. That there be appropriated from the MUNICIPAL BUS <br />FUND the following: <br />MUNICIPAL BUS FUND <br /> <br /> <br />Employees ....................... 100,000.Q0 <br />Insurance ....................... 10,000.00 <br />Equipment ....................... 3,000.00 <br />Gas G Oii ....................... 15,000.00 <br />Repairs ......................... 15,000.00 <br />Mires ........................... 4,000.00 <br />Printing ......................... 7$0.00 <br />Terminal Rent ................... 750.00 <br />Bus Garage Expense .............. 2,000.00 <br />Legal Expense ................... 300.00 <br />Legal Advertising,,,,,,,,,,,,,,, 200.00 <br />Miscellaneous ................... 2,000.00 <br />Licenses ........................ 2,000.00 <br />PERS.... ...................... 6,000.00 <br />Bond Retirement... ........... 16,000.00 <br />Workmen's Compensation.......... 2,000.00 <br />Uniforms ........................ 600.00 <br />Utilities ....................... 2,000.00 <br />Employees' Insurance............ 2,000.00 <br />Administrative Salaries........ 1,20A.00 <br />Total Municipal Bus Fund...$184,800.00 <br />Section 8. That there be appropriated from the SEWER REVENU E FUND <br />the following: <br />SEWER REVENUE FUND <br />• <br />Plant Labor ..................... <br />Insurance ... ................ <br />Equipment b Maintenance......... <br />Chemicals ~ Materials........... <br />Utilities ....................... <br />Bonds &. Interest ................ <br />Trustee Services ........... .... <br />PERS ~ Workmen's Compensation... <br />Miscellaneous ................... <br />Supplies ........................ <br />Debt Service Reserve............ <br />Maint. Collecting Sys. - Labor.. <br />Maint. Collecting Sys. Material. <br />Administrative Salaries......... <br />20,000.00 <br />1,000.00 <br />3,000.00 <br />3,000.00 <br />8,000.00 <br />20,000.00 <br />1,000.00 <br />2 , OOfl . 00 <br />1,000.00 <br />1,000.00 <br />3,000.00 <br />3,500.00 <br />1,000.00 <br />1.200.00 <br />Total Sewer Revenue Fund... $68,700.00 <br />Section 9. That there be appropriated from the GENERAL BOND <br />RETIREMENT FUND .....................................$100,000.00 <br />Section 10. That there be appropriated from the SPECIAL <br />ASSESSMENT BOND RETIREMENT FUND .....................$ 50,000.00 <br />