O-73-27ORDINANCE NO. 0 -73 -27
AN ORDINANCE APPROVING AND ADOPTING AN ANNUAL
BUDGET FOR THE VILLAGE OF DEERFIELD FOR THE
FISCAL YEAR, MAY 1, 1973 TO APRIL 30, 1974
WHEREAS, the Tentative Annual Budget for the Village of
Deerfield for the fiscal year, beginning May 1, 1973 and ending
April 30, 1974, as prepared by the Budget Officer for the Village
and submitted to the President and Board of Trustees, was placed
on file in the office of the Village Manager on April 13, 1973
for public inspection, as provided by statute and ordinance; and
WHEREAS, pursuant to notice duly published, a public
hearing was held by the President and Board of Trustees on said
Tentative Annual Budget on April 23, 1973, as provided by statute
and ordinance; and
WHEREAS, following said public hearing, said Tentative
Annual Budget was revised by the President and Board of Trustees
and a copy of said Tentative Annual Budget, as so revised, is
attached hereto and made a part hereof and is before the President
and Board of Trustees for consideration and adoption.
NOW, THEREFORE, BE IT ORDAINED BY THE PRESIDENT AND BOARD
OF TRUSTEES OF THE VILLAGE OF DEERFIELD, LAKE AND COOK COUNTIES,
ILLINOIS, AS FOLLOWS:
SECTION That the Tentative Annual Budget for the Village
ONE: of Deerfield beginning May 1, 1973 and ending
April 30, 1974, as revised, a copy of which is attached hereto and
made a part hereof, is hereby approved and adopted as the Annual
Budget for the Village of Deerfield for said fiscal year.
SECTION That this Ordinance shall be in full force and
TWO: effect from and after its passage and approval,
as provided-by law.
AYES: FIVE (5)
NAYS: ONE (1)
ABSENT: NONE (0)
PASSED this 30th day of April A.D. 1973.
APPROVED this 3nrh day of A.D. 1973.
ATTEST:
VILLAGE CLERK
0
TABLE OF CONTENTS
Title Page Number
Budget Message from Mayor Forrest. . as 1, 2
Budget Summaries, Revenue and Expenditure ....... 0 0 0 . • 0 0 3
Administration Summary 0 s eo••0.0 ..............0•o••s0000 4
Police Department Summary...... 0#0 go .. 0 0 016..0 # 0000 • • 0 0 0 6 5, 6
Public Works Summary .............. • 0000... 0 .. • . • 0000.. MP %10
Chart of General Fund Expenditures be .. 0 0 0 0 . • 6 • . • s e e 000 . • 11
Summary of Budget ...... ....• .......................... 12,13,14
General Fund Revenue. .......•.. see 90 *0.•....006 *0...*go 15
Administrative Department ............................... 16
Police Department ..... e .•.0 .......................•... 17 -21
Civil Defense....600.0004000000000000000000000.......... 22,23
Street and Bri. dge.. oe19••• o•eso..19.19..se•so0..••19.00 *so a0 24 -37
Sewer Department ... • 0 19 • • • 0 6 0 0 0 .... • . . 0 0 . . 0 • • 0 • .. • . *a 00 38 -42
Water Department •.••... ••••••oo••o.s•s..o.s19•o..•000•e 43 -47
Village Garage (Self Supporting Account).. • . 0 0 .. 0 & 0 190.6 • . 0 48, 49
Scavenger Operations0000 •ooeoeo•.....o.o..o..•.o...eas* 50, 51
Fund Summary Sheets:
Municipal Audit... ...s...oe0000000000••19••••e.... 52
Illinois Municipal Retirement Fund....... 0 0 .. • 6 .. 0 6 53
Public Benefit ....... 0 0 0 0 0 0. 0 0 0 6660606000#046466 54
Special Tax . • • • • . • .. • • • .. • . • • 6 • . 6 • • • • • 0 • • . • • • • 0 55
Revenue Sharing* . .......60.•....•e...•..0 *06•••• 56
Police Pension ... ..................•............ 57
Municipal Building Bonds .•. ♦•e••••...•..•...••••• 58
General Obligation Sewer Bonds, 19541ssue.. 0 . q . • . 59
General Obligation Sewer Bonds, 1960 Issue, . o ... 19 . 60
General Obligation Bonds, Public Library . 6.0 .. s • 0 • 61
Special Funds ........... e...........•.s..•....•.......s 629 63
Appendix I, Proposed Capital Improvements... 0 019. s . • 0 0 0 0 0 0 64-71
Appendix 11, Library Expenditures. .0.0•..•0 .............. 72
Appendix III, Motor Fuel Tax 0 .... • e .. 0.0.0.6 ..19...0.6... 73, 74 , 75
Ordinance Regarding Public Hearing ...... 0 0 0 0 • • 0.0 • .. 0.0 0 769 77
i
850 WAUKEGAN ROAD DEERFIELD, ILLINOIS 60015
April 2, 1973
BUDGET MESSAGS
Presented herewith is the proposed budget for Fiscal Year 1973 -74 for study
and consideration. We are somewhat late this year due to two studies that
had major impact on our financial and salary administration system.
The development of a new chart of accounts resulted from a desire to be
able to obtain cost figures on our municipal operations without undue diffi-
culty and expense. The implementation of a new chart of accounts is time
consuming in the extreme, however once installed it will be amenable to use
with a data processing system in the years ahead.
The preparation of a new Salary Administration Program was also undertaken
with the information being made available that would permit calculation of
salaries only a few days ago. This Salary Administration Program is designed
to provide a fair and equitable level of compensation for all employees of
the Village. While it was not inexpensive, I look upon this as an invest-
ment that will save the Village money over the years.
The budget itself has been prepared in a revised format that is designed to
provide quickly available information summaries as well as the detailed
information that is required. Also added is a Capital Budget (Appendix 1)
that provides information on a variety of programs that should be carried
out this year. These will of course have to be financed with the decision
on how this is to be done the concern of'the Board of Trustees. The
Library Budget is to be found as Appendix II but is not included in the
budget figures of the Village.
With but one exception this is a balanced budget that projects expenditures
that are within our estimated income. The one exception is the Sewer Fund
where increased personnel costs have created a projected deficit of some
$40,000. These funds can be provided from General Fund Surplus or from some
rate adjustment in the weeks ahead.
Due to the fact that negotiations with the Combined Counties Police Associa-
tion have not as yet been completed it is impossible to provide firm figures
regarding salaries. Suffice it to say that the Salary Program prepared by
Hewitt':Associates has been followed for all other personnel and provision
has been made in the budget for Police Patrolmen's salaries. .
During the past year we have made substantial investment in improving the
skills of our municipal employees. Indeed this investment has exceeded that
of any previous year in the history of the community. This effort has been
continued in this budget and is the one sure means of providing better and
effective services while avoiding skyrocketing costs.
-1-
Windsor
5 -5000
EID,
ILLINOIS
850 WAUKEGAN ROAD DEERFIELD, ILLINOIS 60015
April 2, 1973
BUDGET MESSAGS
Presented herewith is the proposed budget for Fiscal Year 1973 -74 for study
and consideration. We are somewhat late this year due to two studies that
had major impact on our financial and salary administration system.
The development of a new chart of accounts resulted from a desire to be
able to obtain cost figures on our municipal operations without undue diffi-
culty and expense. The implementation of a new chart of accounts is time
consuming in the extreme, however once installed it will be amenable to use
with a data processing system in the years ahead.
The preparation of a new Salary Administration Program was also undertaken
with the information being made available that would permit calculation of
salaries only a few days ago. This Salary Administration Program is designed
to provide a fair and equitable level of compensation for all employees of
the Village. While it was not inexpensive, I look upon this as an invest-
ment that will save the Village money over the years.
The budget itself has been prepared in a revised format that is designed to
provide quickly available information summaries as well as the detailed
information that is required. Also added is a Capital Budget (Appendix 1)
that provides information on a variety of programs that should be carried
out this year. These will of course have to be financed with the decision
on how this is to be done the concern of'the Board of Trustees. The
Library Budget is to be found as Appendix II but is not included in the
budget figures of the Village.
With but one exception this is a balanced budget that projects expenditures
that are within our estimated income. The one exception is the Sewer Fund
where increased personnel costs have created a projected deficit of some
$40,000. These funds can be provided from General Fund Surplus or from some
rate adjustment in the weeks ahead.
Due to the fact that negotiations with the Combined Counties Police Associa-
tion have not as yet been completed it is impossible to provide firm figures
regarding salaries. Suffice it to say that the Salary Program prepared by
Hewitt':Associates has been followed for all other personnel and provision
has been made in the budget for Police Patrolmen's salaries. .
During the past year we have made substantial investment in improving the
skills of our municipal employees. Indeed this investment has exceeded that
of any previous year in the history of the community. This effort has been
continued in this budget and is the one sure means of providing better and
effective services while avoiding skyrocketing costs.
-1-
While few additional personnel have been added, we have geared our operation
to the needs of our upcoming storm and sanitary improvement program of const-
ruction. Our newly hired Village Engineer will provide the inspection and
supervision of our construction effort Ito assure that work is up to standard,
goes forward on schedule, and creates as little inconvenience for the public
as possible. Provision has been made for a half time planning aide to better
assist the Plan Commission in their work as well as to provide better service
to the public. Finally we have incorporated into this budget the necessary
funds for an expanded Police Community Relations Officer who would devote his
efforts to crime prevention. Application has been made for a Federal Grant
for this program and as a consequence it would have little cost impact during
its first year of operation. Certainly the time has come to devote some of
our resources to the prevention of crime through new techniques rather than
to continue adding manpower in a deterrance effort that has not been an
outstanding success. I am delighted that Deerfield is in the forefront of
this new approach to the solution of one of societies major problems.
Investment has also been made in this budget in the provision of funds for
Safety Training and installation of safety devices throughout our municipal
operation. The impact of the requirements of the Occupational Safety and
Health Act on local government will be great. Thus it is prudent to begin
to prepare our personnel and operations now so that conformance with Federal
Law will be a relatively painless process. This would be an excellent invest-
ment even though the OSHA provisions were not applied to local government as
the accident rate that exists today is far too high.
The Village of Deerfield remains in strong financial condition despite the
fact that we have spent considerable sums during the past year in acquisition
of property to implement our Comprehensive Plan. We can look forward to the
increase in Sales Tax Revenues as our Commercial areas continue to expand.
I do not see the need for any increase in our General Corporate rate nor do
I feel that we will need to go to the Utility Tax for additional revenue as
many of our neighboring communities have done. As the cost of living moves
upward it may be necessary to make some revision to our Sewer rate, however
this should not have appreciable impact on the homeowner. We have a number
of efforts underway to provide solutions to our problems and I am confident
that the year ahead will see Deerfield become an ever finer community.
Bernard Forrest
Mayor
IVA9
VILLAGE OF DEERFIELD
1973 - 1974
BUDGET SUMMARIES
Account Number
Estimated
Estimated
and Classification
Revenue
Expenditure Contingency
10
General
9691900
974,773 12,347
20
Street and Bridge
267,500
275,698 23,000
21
Sewer
182P600
22215$9 9, 900
39,989
22
Water
438Y200
464,211 25,000
70)
72)
Bonds and Interest
259,400
259,400
73)
$29207,589
$29196,671
Augmentation of $39,989 from Increased Rates
or General Fund.S.urplus
Account Number
2evenues or Funds
Estimated
and Classification
on hand in Treasury Expenditures
11
Municipal Audit Reserve
8,000
8,000
12
IMRF
64,000
64,000
13
Civil Defense
17,000
17,000
14
Public Benefit
27,000
27,000
26
Scavenger Account
297,000
294,780
27
Special Tax Fund (Yous)
3,281
3,281
40
Motor Fuel Tax
456M3 *
368,130
41
Federal Revenue Sharing
64,414
64,414
42
Police Pension Fund
43t570 *
28, 500
54
Village Garage
53,930
539950
$1,034,298
$929,055
Grand Totals All Funds
$3,241,887
$3,125,726
The excess in these accounts, or $].03,023, is not available other than. for
purposes established by State Statute.
9911
FUND s General
ACCOUNT NUMBER 10 -301
sU,,ktMARY OF PROGR IM AnTIV ITY
DEPARTMENTS Administration
Included in this activity are operations of the Village Board attd Clerk,
General Office, finance Department, Engineering, Building and Zoning and the
Village Hall. These provide the Legislative, Executive, Administrative and
Staff functions of the Village Government of Deerfiela4
Funds are provided for the personnel to carry out the decisions and policies
established by the Mayor and Board of Trustees, provide for professional and
consulting services as required, and purchase the supplies equipment and
services necessary to operate Village 11all activities.
The spectrum of activities ranges from the receipt and accounting of all funds,
purchase of supplies, billing for utility services, enforcement of building
and zoning codes and ordinances, planning and zoning, engineering of village
improvements, and day to day coimunication with residents of the community to
respond to their needs.
Administration
-4--
1970 -71
1971 -72
1972 -73
1973 -74
Actual
Actual
Projected
Proposed
.dl, .04
Personal Services
959121
1121,725
1530767
192,771
.051 .069 .14,.15
Contractual
37,498
62,846
57,683
54,2O3'
• 922 • 9 • 2'9 • , • bs •
8s19 .82, •83'
22, •Go1n$�l
430310
ei
370116
29w451
45,315
.519 .522 .71., .72
Capital Outlay
8,560
62,109
240978
221,688
Total
178,295
257,131
281,743
3129977
Per Capita Cost
9.45,
13.57
14.92
16.58
-4--
FUMS cenerel
AcuM.'r WMMR 10 -351
DU#A1t'i`KZNTt Mice
The Police are responsible for the madintenence of ardor within ethical and
Constitutional limitations. Their Mission includcss
Protection of Life and Property.
Preservation of the Paece.
Enforcement of Federal& State, and Local laws.
Apprehension and arrest of law violators.
Recovery of Stolen P'ropertys
Providing miscellaneous peripheral and rotated earv3wes.
Tis mission to accompliabed by the adoption of sound naw"Sxatnt principles
and the effective and efficient application of odalnistrative and operetionol
policies and procedures.
.
1970 -71
1971 -T2
1972.73
1973 - 74
'#.ctual
actual
Fo jected
P:.oposad
.019 .02, .03, a04
Personal Services
362,552
4360214
517,788
538,483
.0519 .069 .14,.15
Contractual
14,200
2Sv816
369300
42,094
° ► 7ly *12p •. , 0219
.22, ' nd1haa -619 •$2
360025
429801
449435
. 63,519
.51, .52
capital outlay
10,911
24,439
22,500
179700
'total
428,691
15.28,480
6210023
661.,796
Per Capita Cost
22.71
27.99
32.90
35006
-5-
POLICE DEPARTMENT - BUDGET SUMMARIES
EXPENDITURES
ACCOUNT NUMBER
ACCOUPJT N'JMUER 1970 -71 1971 -72 1972-73 1972 -.73 1973 -74 � Inc.
AND CLASSIFICATION E ended E ended 8 Months Budget Proposed (Dec.)
351
Administrative Services
17 , 4,37
25t645
199151
349001
35,919
5.6
352
Supporting Services
419659
462957
47090
69 :446
74j696
7w.5
353
Operational Services
354,972
4419385
291,109
472, 336
4969167
5.0
354
Youth Ser- .►ices
14, 623
14, 492
259363
35t240
359014
(0.6)
355
Special Services
-
-
71496
10,000
20 000
100 00 s 0 _
428,691
5281480
390,511
621,023
'6619796
6.6
98 Contingent
Per Capita Cost
rn
32.90 35.06
tUNDa Public Works (Water - Sewer - Street and Bride)
ACCOUNT NUMEEeR 20 thru 23 -401
SUHMARY OF PROGRAM ACTIVITY
This account contains the funds for the operation of the Street; and Bridge
Department, the Water Department, the Sewage Treatment Plant avid Sewer Line
Maintenance Departments.
F., t
Provided for are the labor and materials for maintenance of highways, storm
and sanitary sewers, parkway tree planting, electricity for street lighting,
and the installation and operation of all safety devices from Traffic tights to
pavement marking. Reconstruction of old facilities is a never ending effort to
keep the infra structure and capital investment functioning.
Funds for the operation of the sewage treatment plaint are also included in this
account although these, together with operation of the water department, come
from the revenues derived from water and sewer billings.
In many ways the programs carried out under the Public Works Department make
the community liveable. No community could function without pure water, adequate
waste removal and treatment, and passable streets.
_7_
Actual
Actual
Projected
Proposed
Bxpenditur
'xpenditure
&xpenditure
Budget
1970-21 -
.1271-72
1972-7-3
7 -
.01, .02, .04
283,254
Personnel Services
217,327
229,437
283,706
.05,.06,9149 .15
Contractual
68,701
800921
1209975
997305
.07, .11- .13,.16,.21 -.23
.31- °3 &r61$tj% .9�
394,527
4069183
476,285
AM ZEQ
.51, .529 .71, .72, -.73, -7
Capital Outla y
320731
47,233
102,125
91,179
Total
713,286
7630774
983,091
962,498
Per Capita Cost
37.64
40.31
51.88
50.99
_7_
STREET AND BRIDGE - BUDGET SUMMARIES
EXPENDITURES
ACCOUNT Ivi;.MBER
AC c7LT�Z. i��,' „1BR
1970 -71
1971 -7
1972-73
1972 -73
197
144.2
AND CLASSIFICATION
Exnended
E2mended
8 Morahs
3- ud,get
Pro oged
(Dec. i
416 Tree Removal
22f460.
19,556
411 Admini'strption and Supen-isory
30,878
321178
211309
34.,34-8
36t469
6.1
412 Street, Curb, Sidewalk
74, 767
75s,724,
74,445
104948
124,933
190L
413 Snow and Ice Control
34,147
36, 603
23, 496
44, 450
60,168
35.4
414 Weed Control
930
11195
11036
19036
2,530
144.2
415 Leaf Removal
12,900
14v-97-4
13,816
14v980
16, 354
9.2
416 Tree Removal
22f460.
19,556
12,414
17v814
17,553
(2.5)
417 Tree Planting
31410'
3t282
39605
3v890
4.9339
11.5
418 Spring Clean Up
10, 28L,,'
112620
12. 028
�0?
13, 302
189J72
195,132
1621146
233t494
275t698
IS.1
98 Contingent
23, 000
PER Capita Cost
a�
12.37
14.61
SEWER DEPARTMENT - BUDGET SUMMARIES
EXPENDITURES
ACCOUNT NUMBER 21
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended E ended 8 Months Budget Pro osed (Dec.)
441 Administration and
Supervisory
12,807
132888
10,457
1.4,794
19,390
31.1
442 Treatment Plant
112,255-
105,533
629584
117,607
110,020
(6T)
443 Cleaning and Maintenance
41,772
41,607
32,907
51,776
569824
9.7
444 Construction
25, 406
25,444
242189
303884
36 � X55
17.7
192,240
1861472
130,137
215,061
2222589
3.5
98 Contingent
91900
Per Capita Cost
11.39 11.79
WATER DEPARTMENT - BUDGET SUMMARIES.
EXPENDITURES
ACCO'JVT NUMMER 22
ra ira'srr+r� +•ter r.
ACCOUNT NUMBER 1970.71 1971 -7' 2972 3 1972 -73 1973 -74 Inc.
AND CLASSIFFICATION _ Emended Enanded � -8 Months Bud&e Proposed — (Dec.)
451 Administration and
Supervisory
452 Distribution
453 Main and Fire Hydrant
Maintenance
454 Meter Maintenance
98 Contingent
Per Capita Cost
0
i
65,900
709974
15,040
8696QO
79,363
(8.QM
277,217
302,490
191,802
299,304
306,325
2.3
33,379
42,986
32,035
472487
14,163
(6.9)
40,096
29,543
31,216
46,354
34,360
(25.9)
416,592
4459993
270,093
479,745
464,211
(3.2)
-
25,000
25.42 24.59
CL Z)UU
X
L j 400
j
i
300
200
100 L
66
FIS( ai YR
VILLAGE OF DEERFIELD
OPERATING BUDGET - ADMINISTRATIVE DEPARTMENT
1973- 1974
ACCOUNT
NUMBER Description
1973 -74 1972-73 . %
Lud get Raket (Dec) Ch.
10- 301.01
Salaries
192,771
175, 299
17 , 472
9.9
.02
10- 301.05
Employee Benefits
70653
5v4-93
2,160
39.3
.06
Professional Services
;1; 9980
33,400
2, 580
7.8
.07
Apparel
100
95
5
5.3
.11
Travel. and Dues
6p890
8,725
(1j8 35) (21.0)
012
Printing, etc.
20600
2, 4CX)
200
8.3
.13
Telephone, etc.
53,550
61275
(725)
(11.5)
.14
Insurance
4,175
3,225
950
29.5
.15
Contractual Services
694-00
151565
(9,165) (58.9)
.16
Utility Services
1.,300
675
625
92.6
.21
Motor Vehicles Mi a-Intenance
1.1 300
350
950
271.4
.23
Repairs & Maintenanc.e
2,125
29725
(600)
(22.0)
.22,.31
Supplies
89245
61500
875
13.5
.51
New Mator Vehicles
/-.,4()0
3, 000
(600)
(20.0)
.52
Equipment
41 295
51635
(1, 540X26.4)
.53
Land Acquisition
5t393
5,393
--
-
.71
Bond Principal
102000
109000
- -
-
.72
Bona Interest
600
900
(300)
(33.3)
.81
Election Board Expense
11500
2,000
(500)
(25.0)
.82
Advisory Boards
4P400
8, 200
(39800)(46.3)
.83
Dog Pound
59000
29000
3,000
150.0
.99
1%ftiscellaneous
4; 300
5� 225
(925)-(17.7)
1201206
127,931
(7,775)
(6•3)
Total Administrative
3,12, 977
3030280
90697
3.2
POLICE DEPARTMENT
Account
1973 -74
1972 -73
Inc.
%
.Number
D� esscri tion
Beset
Buffet
(Dec)
Ch.'
351 -355, inclusive
.01, .02,
.03,
.04
Salaries
5389483
507,788
A695
6.0
-12-
f
Account
Number Description
.05
Employee Benefits
.06
Professional Services
.07
Apparel
.11
Travel and Dues
.12
Printing, etc.
.13
Communications
.14
Insurance
.15
Contractual Services
.21.
Motor Vehicle Maintenance
.22
Motor Vehicle Supplies
.23
Repairs and Maintenance
.31
Supplies
.51
Motor Vehicles
.52
Equipment
.82
Advisory Boards
1973 -74
Budget
22,894
700
8,349
11,500
1,1.00
9,120
13,000
59500
14,500
8,000
700
8,000
119200
6,500
2.250
123, 313
1972 -73 Inc @ %
Budget ec) Ch,
13,500
2,400
7,835
6,450
1,100
4,900
10,000
15,500
8, O,io
6,500
700
7,000
14,500
8,200
1.750
108,335
Total Police Department 661, 796 6169123
PUBLIC WORKS DEPARTMENT
401.01,.02,
.04 Salaries
9s394 69.6
(1, 700) (70.8)
514 6.5
51050 78.2
r r
4,220 86.1
3, (?i)0 30.0
(10, 000) (64.5)
6,500 81.2
1,500 23.0
� r
1,000 14.22
(3, 300) (22.8)
(1,700) (20.7)
500. 28.6)
14,978 13.8
45,673 6.9
283,254 283,706 (452) (.16)
.05
Employee Benefits
11, 305
8, 465
2,870
33.9
.06
Professional Services
2,500
7:,.225
(4,725)
(65.3)
.07
Apparel
1,250
825
425
51.5
.11
Travel and Dues
850
1, 050
(200)
(19.0)
.12
Printing, etc.
19425
4,150
(2p725)
(65.6)
.13
Communications
29675
400
29275
568.7
.14
Insurance
13,500
11, 700
1,800
15..4
.15
Contractual Services
72, 000
71t275
725.
1.0
.16
Utility Services
419300
409400
900
2.2
.21
Motor Vehicle Maint.
199209
6, 700
12,509
186.7
.22
Motor Vehicle Supplies
4, 500
3o025,
1o475
48.7
.23
Repairs & Maintenance
279000
34, 000
(7, 000)
(20.5)
.31
Supplies
5, 500
29450
° � • 39050
124.5
.32
Salt
15, 000
159000
-
-
..33
Chlorine
71750
10,100
(21,350)
(23.2)
.34
Aggregates
282500
289000
500
1.7
.35
Materials
35,000
49, 700
(14, 700) (29.6)
-13-
Account I 1973-74
Nun Description Budget
.36
Street Signs
5,200
.37
Purchased Water
280,000
.51
Motor Vehicles
20,800
.52
Equipment
16, 800
.61
Equipment Rental
4,100
.62
Occupancy
6,000
.71
Bond Principal
309,000
072
Bond Interest
24, 210
.73
Bond Reserve
1,000
.74
Depreciation
110
.99
Miscellaneous
1,760
679,244
Total Public Works .962, 498
—14—
1972 -73 Inc. %
Bum e0 Che
3,000
29200 73.3
2759000
5,000 .02
-
20, 800 inf. .
44,050
(27, 250) (61:.8)
2, 6()0
1, 500 57.6
219 OOt)
(15, 000) (71.4)
55947/44)
(.03)
. )
(1v264)
10210
(110) (9.9)
-
110
2, 985
(1,225)(41-0)
699,664
(20, 410) (2.2)
983,390. (20,892) (2.1)
GENERAL FUND
REVENUE
ACCOUNT NUMBER 10
AC(AUNT NUMBER 1970-71 1971 -72 1972 -73 1972 -73 1972 -73 1973 -74 9' =C.
AND rLASSIFICATION Received Received 8 ?Months Buc1 et Antici ated Pro'ected (Dec.
201
Tex Levy
199,713
192,776
99,966
120,000
120,000
127,200
1:5.0
202
State Income Tax
124,62-0
138, 097
104,297
155,000
155,000
1609000
3.2
203
Municipal Sales Tax
389, 654.
389, 744
2709888
476, 000
410,000
495, 000
4'.",r
211
Beer, Liquor
7,350
7,458
31250
91-250
9,250
11)250
21.6
212
Contractors
1v300
11200
925
1, 500
1,200
1, 200
(20.0)
213
Food.
1,172
1,148
600
1,300
11300
1,300
--
21.9
Other Business Licenses
1, 643
3v681
565
1., 600
1,971
57000
212.5
221
3uilding Permits
18, 452
23p989
20, 403
209000.
23, 000
23,000
(15, 0)
222
Animal Licenses
4, 407
4, 342
1,383
4,500
4,500
4,600
2.2
229
Non - Business Licenses
and Permits
7t220
109558
11,856
.89450
12, 500
13, 000
(53.8)
233
ITB Reimburs ement
-�
-
12, 958
22,889'
i 8, oo0
11,500,
50.0
241
Special Police Services
11200
8t583
7,66o
10,000
102000
17,000
70.0
242
`sale of Maps & Publications 1,589
1, 513
941
10500
12500
19500
245
Defuse Charges
-
10,OOrJ
-
10,000
10,000
107000
--
249
Other Charges for Services 71219
9059
4038
7, 050
7, 050
87550
21.3
251
Ordinance Violations
39,928
52,772
29,914
559000
55,000
62,000
12 '
252
Interest Earnings
9s716
101208
21290
10, oo0
:51000
4, 500
(55 .
254
Rental Income
39075
6t310
4, 920
211000
6, 700
13 ,200
(37.4)
259
Other Miscellaneous
Revenue
333
W.
85
50
125
100
100.0
818,591
871v738
5Ylj, 239
9359089
852,096
9699900
3.5
uz
ADAGI, lSTRATIVE DEPARTMENT
EXPENDITURES /�
ACCOUNT NUMBER _ O- Q
ACCOUNT NUMBER
1970 -71
1971 -72
1972-73
1972 -73
1973-7-Z
% Inc.
AND CLASSIFICATION
Exve zed
E ended
8 Months
Budget
Pro osed
(Dec.)
01
Salaries
892816
106,267
86,949
141,775
182,246
28.8
04
Part Time
51305
6t458
49424
11,992
10, 525
(12.2)
05
Benefits
11787
39578
31209
59493
7,653
3".
06
Professional Services
33,824
43,190
18,670
33, 400
3500 980
7.2
_07
Apparel
32
-
69
95
100
5.2
11
Travel and Dues
2,780
2,536
2,434
89725
61890
(21.0)
12
Printing, Subscriptions,
Advertising
11796
21441
779
2j400
2,9600
8.3
13
Communications
4,194
22326
2Y781
6t275
5t550
(11.5)
14
insurance
1,795
4881
19642
32225
4,175
29.5
15
Contractual Services
92
4,197
8,663
15,565
6t400
(58.9)
16
Utility Services
'4098
1, 291
357
675
4300
92.6
21
Motor Vehicle Maintenance
436
234
86
350
1, 300
271.4
22
Motor Vehicle Supplies
426
4.20
213
345
. 870
152.1
23
Repairs and Maintenance
2, 074
1, 500
1,693
2t725
29125
(22.0)
31
Supplies
6,475
69515
6,128
6,300
7,375
17.1
51
52
Motor Vehicles
Equipment
1, 000
2,167
4000
2t439
2102
3, 000
29400
(20 0)
2t,300
5t665
4t295
(2 �.
53
Land Acquisition
51393
58p670
31595
5093
5093
- -
71
Bond Principal
-
-
101000
10P000
10P000
'72
Bond Interest
-
_
900
900
600
(33.3)
81
Election Board
44,16
_
_
2, 000
1t500
(25.0)
82
Advisory Boards
14J33
10t033
41391
80200
4, 400
(46.3)
83
Dog Pound
1,656
4709
2,095
2.000
5,000
150.0
98
Contingent
..
..
_
_
--
99
Miscellaneous
-
446
7.168
5t225
_
4.300
(17.7)
178,295
257,131
174028
284743
312,977
11.2
98
Contingent
4t347
I
4. rll�
' Per Capita
Cost
14.92
1F,58
POLICE DEPARTMENT - SPECIAL SERVICES
EXPENDITURES
ACCOUNT NUMBER 1.0 -355
ACCOUNT NUMBER 1970 -71 1971 -72 1972 M 1972 -73 1973 -74 3a Inc,
AND CLASSIFICATION E ended Expended 8 Months Bud et Proposed (Dec.)
02 Overtime - - 71,496 10,000 200000 100."
Per Capita Cost 1, 06
v
POLICE DEPARTMENT- ADMINISTRATIVE SERVICES
EXPENDITURES
ACCOUNT NUMBER j o-3c;]
ACCOUNT NUMBER
AND CLASSIFICATION
1970 -71
E ended
1971 -72
E ended
1972 -73
8 Months
1972 -73
Budget
1973 -74
Proposed
% Inc.
(Dec.)
01
Salaries
12,396
19,300
13,574
27,536
289879
4.8
02
Overtime
-
-
-
250
250
-
05
Benefits
130
261
216
840
940
.11: �
07
Apparel
200
200
159
200
300
50.0
11
Travel , Dues , Training
600
21967
21025
29000
11500
(25.0)
13
Communications
100
338
119
400
600
50.0
14
Insurance
200
350
426
500
450
(10.0)
21
Motor Vehicle Maintenance
300
250
35
250
500
100..0
22
Motor Vehicle Supplies
225
325
148
275
250
(9.1)
51
Motor Vehicles
29328
-
499
-
-
-
82
Advisory Boards
958
1, 653
13,949
1,750
22250
28.6
179437
25,645
19,151
349001
35,919
5.6
,! , Per Capita Cost 1.80 1.90
POLICE DEPARTMENT - SUPPORTING SERVICES
EXPENDITURES
ACCOUNT NUMBER 10 -352
ACCOUNT NUMBER
1970 -71
1971 -72
1972 -73
1972 -73
1973 -74
% Inc.
AND CLASSIFICATION
Ex ended
Expended
8 Months
Budget
Proposed
(Dec.)
01
Salaries
22,632
22,000
26,515
39,774
43,167
8.5
02
Overtime
-
500
48
500
250
(50.0)
03
Incentive
-
680
579
1, 200
1.000
(16,x,,,
04
Part Time
-
-
21426
21922
--
(100.0)
05
Benefits
346
522
1,145
2,100
21484
18.6
06
Professional
2,106
974
1,170
2, 400
700
(70.8)
07
Apparel
250
277
328
500
975
95.0
11
Travel, Dues, Training
270
416
41
500
2,500
400.0
12
Printing, Advertising,
Subscriptions
658
1,569
390
1,100
11100
13
Communications
3,129
4.318
3.551
4.300
7 920
84 2
14
Insurance
635
850
15
Contractual Service
59161
5p228
23
Repairs and Maintenance
617
824
31
Supplies
52252
6v994
52
Equipment
350
17625
61
Equipment Rent
253
176
�o
452
5,500
1,306
3,933
750
5,500
700
7,000
200
41,659 46,957 47,390 69,446
Per Capita Cost 3.58
400
5,500
700
8,000
74„596
3.96
.
(46.7)
14.3
7.4
POLICE DEPARTMENT - OPERATIONAL SERVICES
EXPENDITURES
ACCOUNT NUMBER 10 -353
'.C=OUNT Nt7,'�IrD. ER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION FxgerAed En ended 8 Months Budget. Pry Bed (Dec.)
01
Salaries
2839130
340,624
221,382
351,694
3549337
.8
02
Overtime
19t514
18,926
14t277
23v250
23,500
1'; �'
03
Incentive
-
4, 748
4724
.59320
4.020
(24.4)
04
Part Time
129000
16,580
169552
17,842
34,256
23.1
05
Benefits
4,549.
7t579
99437
149620
189030
23,5
07
Apparel
59456
59282
4,601
6,995
6,674
(4.6)
11
Travel, Dues, Training
29777
2t211-
3,953'
39150
. 6t000
90.5
14
Insurance
5,700
8,641
7,762
8,250
119400
38.2
:Z3.
Motor Vehicle Maintenance
7,915
7t731
5, 675
7Y350
13 , 000
76.8
22
Motor Vehicle Supplies
59698
6t245
23,036
5,815
7t250
24.7
51
Motor Vehicles
6t984
10,457
-
11, C50
119200'
1.4
52
- Equipment
1 fl 249
12,357
32 700
7, 000
6.500
7.1
354,982
4419385
291,109
4629336
496,167
7.3
Per Capita Cost
e
N
t
25.02 26.28
POLICE DEPARTMENT - YOUTH SERVICES
EXPENDITURES
ACCOUNT NUMBER 10 -354
ACCOUNT NUMBER 1.970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended Expended 8 Months Budget Pra osed (Dec.)
01
Salaries
117880
119856
179666
26,500
02
Overtime
1,000.
19000
711
19000
05
Benefits
173
261
432
840
07
Apparel
175
200
510
400
11
Travel, Dues, Training
270
300
395
500
13
Communications
-
-
200
200
1.4
Insurance
200
350
652
500
21
Motor Vehicle Maintenance
700
250
35
400
22
Motor Vehicle Supplies
225
275
148
450
51
Motor Vehicles
-
-
31873
3j450
52
Equipment
-
-
738.
1,000
149623
. . 14, 492
25t363
35t240
Per Capita Cost
1
N
F-+
1
1.87
27,82-4
4.3
1,000
-
11440
+.4
400
--
1,500
200.0
600
200.0
750
50.0
12000
150.0
500
11.1
359014
(0 .6)
1.85 4�
CIVIL DEF ENS E
REVENUE
ACCOUNT NUMBER 13
ACCOUNT NUMBER
AND CLASSIFICATION
1970 -71
Received
1971 -72
Received
1972 -73
8 Months
197273
Budget
1972 -73
Antici ated
1973 -74
Projected
% Inc.
(Dec.)
201 Tax Levy
4,000
21018
19055
11060
11060
-
--
252 Interest Earnings
406
645
279
600
600
700
1
42406
22663
12334
1,660
1,660
700
(57.8)
E
CIVIL DEFENSE
EXPENDITURES
ACCOUNT NUMBER 13
Account Balance $17,277
ACCOUNT NUMBER
AND CLASSIFICATION
1970 -71
Ex ended
1971 -72
Expended
1972 -73
8 Months
1 °72 -74
Budget
1973 -74
Prorosed
% Inc.
(Dec.)
11 Travel and Dues
22
.8
23
700
500
(28.6)
31 Supplies - 2
52 Equipment 300 160
322 1'70
Per Capita Cost
- 300 19500 400.0
77.5 25 82 000 1.5, 000
48 91000 171,000 88.8
0.48 0.90
STREET AND BRIDGE
REVENUE
ACCOUNT NUMBER 20
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Received Received 8 Months Budget Antici aced Projected (Dec.)
201
Tax Levy
53,653
103,229
929247
105,000
105,000
106,000
0.9
204
Motor Fuel Tax
39,110
629429
55, 305
65,000
65,000
65,000
-
223
Motor Vehicle Licenses
76,669
809523
23, 371
809000
809000
83, 000
3.r
234
State Highway Maintenance
4,934
6,753
81100
7,000
81100
71500
C7.1)
246
SSI'ey Sidewalk
-
11102
-
2,000
-
2,000
-
247
50/50 Sidewalk
11098
1,.842
49465
2,000
41465
2, 500
(25.0)
252
Interest Earned
-
108
394
.400
400
500
25.0
259
Other Miscellaneous
Revenue
12042
12365
315
I O L42O
15,900
1, 000
(90.4)
176,506
257,353
184,198
271,800
278,865
2679500
(1.6)
N
STREET DEPARTMENT - ADMINISTRATION
EXPENDITURES
ACCOUNT NUMBER - :(11..�
ACCOUNT NUMBER 1970 -71 1971-72 1972 -73 1972 -73 1973.74 % Inc
AND CLASSIFICATION E Proposed (Dec.
01
Salaries
1 1,872
129720
9, 002
139503
149179
5.1
05
Employee Benefits
300
300
325
490
610
..2?.2
,06
Professional Service
160
15
40
100
200
100.0
07
Apparel
218
217
223
'250
350
40.0
11
Travel and Dues
246
81
92
250
200
(20.0)
12
Printing, Subscriptions
751
359
481
750
850
13.3
13
Communications
308
377
257
650
300
(53.8)
14
Insurance
902
4093
620
930
980
.5.4
16
Utilities
14,586
15,426
91337
161000
16, 000
--
21
Motor Vehicle Maintenance
300
250
165
200
700
250.0
22
Motor Vehicle Supplies
175
190
75
125
200
60.0
31
Supplies
120.
150
90
100
500
400.0
62
Occupancy
11000
1,000
665
1,000
12000
-_
99
Miscellaneous
--
--
0
inf.
30,878
322178
21,309
34048
36,469
6.6
Per Capita Cost
1.82
193
STREET DEPARTMENT - STREET CLEANING
EXPENDITURES
ACCOUNT NUMBER 20 -Q2 -A
ACCOUNT NUMBER 1970 -71 197172 --T,0-72-73 1-51-2-a: 73 1973 -74 Inc.
AND CLASSIFICATION Expended Expended 8 Months Budget Proposed (Dec.)
01
Salaries
3, 900
39 300
2s000
32000
3,892
02
Overtime
850
300
12000
19500
1, 500
05
Employee Benefits
135
140
100
140
170
14
Insurance
240
255
180
270
270
15
Contractual Services
390
450
300
500
500
21
Motor Vehicle Mainte -m -trice
500
11100
200
300
400
22
Motor Vehicle Supplies
275
275
200
300
300
23
Repairs and Maintenance
800
1 1X70
483
700
2 y 000
7,090
61920
4,463
62710
99032
Per Capita Cost
t
N
t
0.36
0.48
29.2
arms
21..4
33.3
183.7
34.6
STREET DEPARTMENT - TRAFFIC MARKING
EXPENDITURES
ACCOUNT NUMBER 20_ 12 -B
ACCOUNT NUMBER 1970-71 1971 - 72 197273 3972 -73 1973 -74 1Inc.
AND CLASSIFICATION E ended Ex ended 8 Months Budget-, Pro osed (Dec.)
01
Salaries
12100
12200
12300
1,300
2,192
05
Employeee Benefits
30
30
35
35
65
14
Insurance
110
120
128
128
128
21
Motor Vehicle Maintenance
75
50
100
100
100
22
Motor Vehicle Supplies
28
30
25
25
25
23
Repairs and Maintenance
5o
40
100
2z)
25
.35
Materials
12500
19500
19700
1, 800
22000
36
Street Signs
11723
41820
3,000
51000
41616
71790
4,345
6,413
91535
Per Capita Cost
P
N
v
0.34
0.51
68.6
85'.T
11.1
66.7
48.7
STREET DEPARTMENT - PRE -MIX PATCHING
EXPENDITURES
ACCOUNT NUMBER 20_ ,"
ACCOUNT NUMBED. 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74
ARID CLASSIFICATION Expended Expended 8 Months BudSet ProRosed � (Dec.)
01.
Salaries
101000
92000
10$000
1.09000
10,894
8.9
02
Overtime
900
1, f�UO
500
11000
1, 000
•�
04
Part Time
2,000
2,000
21000
21000
2,000
--
05
Employee Benefits
279
320
325
490
520
6.1
14
Insurance
800
800
660
980
980
--
21
Motor Vehicle Maintenance
950
600
800
11000
2,800
180.0
22
Motor Vehicle Supplies
425
350
405
400
500
25.0
23
Repairs and Maintenance
500
200
600
700
21000
185.7
34
Aggregates
10,200
10,781
10,000
15,000
151000
>
35
Materials
4, 480
4, 044
, 5, 735
5;,000
5, 000
301534
29,095
31.,425
35,570
40,694
11.3
Per Capita Cost 1.94 2.15 �
CJ
STREET DEPARTMENT ° TARRING CRACKS
EXPENDITURES
ACCOUNT NUMBER
ACCOUNT?' N�: A� B LI-M 1970 -71 1971 -72 1972 -73 1972-73 1913° � °o Inc.
AND CLASSIFICATION E ended E ended 8 Months Budget Proposed (Dec.)
01
Salaries
2, 000
2,000
2, 667
4,000
4,894
22.4
02
Overtime
400
400
325
500
500
04
Part Time
49000
42000
41500
41500
4,500
05
Employee Benefits
280
280
300
300
330
10.0
14
Insurance
700
700
740
740
740
21
Motor Vehicle Maintenance
225
.350
400
600
11500
150.0
22
Motor Vehicle Supplies
215
340
200
300
300
-23
Repairs and Maintenance
220
160
.85
200
800
300.0
34
Aggregates
90
100
155
200
200
35
Materials.
900
22500
22500
49000
60.0
9,130
9,230
112372
139840
17,764
28,4
Per Capita Cost
0.73
0.94
n;
��
r
STREET DEPARTMENT - DRAINAGE STRUCTURES
EXPENDITURES
ACCOUNT NUMBER 20 -412 -E
ACCOUNT NUIz BER
1970 -71
19
IQ72
N7 -973
1972 »73
19i' �7&
% Inc.
AND CLASSIFICATION
90
E. .ended
200
8 Months
Budget
Propose �
ec.2
31
Salaries
29800
3,000
39125
3,125
39394
35
Employee Benefits
90
90
200
100
230
32
Overtime
—
550
5.50
550
14
Insurance
160
1160
190
190
190
15
Contractual Services
4,000
4,000
49000
41000
4, 000
21
Motor Vehicle Maintenance
125
7.80
200
200
.
900
22
Motor Vehicle Supplies
190
150
200
200
200
23
Repairs and Maintenance
75
139
175
750
1,500
35
Materials
_ 1�000
900
1 000
1, 000
31 900
82440
8 s 669
92540
7 0,1,.5
14,764
Per Capita Cost
1
W
0.54
0.78
8.6
30.0 ano x,
350.0
100.0
2.-.90 ^0
45.9
STk: E DEPARTMENT - MISCELLANEOUS MAINTENANCE
EXPENDITURES
ACCOUNT NUMBER
ACC Ur-IT FUMBER 1970 -71 1971.72 1.72-73 1972 -73 1973-74 % Inc.
AND CLASSIFICATION Expended Expended 8 Months Budget . Proj2osed (Dec.)
01 Salaries
15 Contractual Services
Curb Replacement
Safety Sidewalk
50/50 Sidewalk
Street Maintenance
34 Aggregates
35 Materials
Per Capita Cost
W
--
--
500
1,000,
11894 89.4
5,000
--
--
59000
61,000 2
29009
2,402
39300
5,000
5,000 --
31448
61618
4,000
5,000
59000 --
42500
5,000
--
7,000
7,000 --
--
--
2,0/00
3,300
3,300 --
rr
r
39500
59000
5,000 --
14,957
14,020
12,800
319300
3.3,194 6.1
1.66 1.76
- , SIN41 AND ICE CON 1ROL
EXPENDITURES
ACCOUNT DUMBER 20
ACCOUNT NUNILBE"R 19170 -71 1971 -72 1912 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Ex -oendea E , endue 8 Months Budget Pro sed (Dec.)
O1
Salaries
4,00
5,000
6,000
61000
61879
02
Overtime
2V,500
2, 0O?
41000
49000
49000
05
Employee Bene€its
350
350
400
400
430
13
Communications
50
50
100
100
100
14.
insurance
540
540
600
600
600
21
aviator Vehicle Maintenance
800
700
600
1, 000
21259
22
1-,Iotor Vehicle Supplies
300
325
400
500
700
23
Repairs and Maintenance
700
11000
11200
1, 000
59,000
32
Salt
24,102
11,594
99346
15, 000
15V000
34
Aggregates
300
500
850
850
1,500
51
Motor Vehicles
--
11, 473
--
--
20, 800
52
Equipment
--
3107 1
®���
_
15,000
2,900
Per Capita Lost
w
N
34,142 36,603
23,496 44,L50
2.35
60,168
3.19
14.6
70%1
125.
4.
400.0
76.5
inf.
C80.7)
35.4
STREET DEPARTMENT - WEE D CON."ROL
EXPENDITURES
ACCOUNT NUMBER 20-Al-/,
ACCOUt`tT ?:UMBER 1970 -71 1971 -72 1972 -73 1972 -73 1913 -74 % Inc.
AND CLASSIFICATION E ended ELc2end,ed 8 Months Budget Proposed (Dec.)
01
Salaries
800
800
861
861
1,455
68.9
05
Employee Benefits
30
30
35
35
65
85.7
14
Insurance
50
50
60
'60
60
.._
21
Motor Vehicle Maintenance
20
150
25
25
25
.._
22
Motor Vehicle Supplies
30
25
25
25
25
52
Equipment
-
-
--
--
900
ins
930
1,195
1,036
1,036
2,530
144.2
Per Captta Cost
0.05
0.13
w
W
STREET DEPARTMENT - LEAF REMOVAL
EXPENDITURES
ACCOUNT NUMBER
ACCOUNT NUMBER 1970 -71 1971 -72 1972073 1.972 -73 1 tnc,
AND CLASSIFICATION Ex ended E ended 8 Months Budget Proposed (Dec.)
01
Salaries
8,100
9t472
6t336
81000
8,394
4.9
02
Overtime
500
--
19400
11400
1,400
_-
05
Employee Benefits
350
350
400
400
430
7.
14
Insurance
550
550
680
680
680
--
15
Contractual Services
2.0600
2,1 +50
2t450
21,500
2v500
--
21
Motor Vehicle Maintenance
75
400
60
100
100
4-
22
i iotor Vehicle Supplies
425
400
240
400
4,00
--
23
Repairs and Maintanence
300
11352
450
500
450
(10.0)
61
Equipment Rental ntal
- -
• -
C100
.Q. 1 0100
]. ,000
21000
100.0
12,9oo
14,974
13,816
14,980
16,354
9.2
Per Capita Cost 0.79 0.87
3
STREET DEPARTMENT - TREE REMOVAL
EXPENDITURES
ACCOUNT NUMBER 22-Z,1.6_
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended E ended 8 Months Bud et Proposed (Dec.)
01
Salaries
4,500
4, 000
31000
1, 500
39594
139.6
02
Overtime
900
200
--
50()
500
--
05
Employee Benefits
120
120
140
140
170
21.4
14
Insurance
230
230
264
264
264
r
15
Contractual Services
16,000
14,371
82600
159000
127000
(20.0)
21
Motor Vehicle Maintenance
270
325
125
125
700
420.0
22
Motor Vehicle Supplies
140
130
85
85
125
47.0
23
Repairs and Maintenance
300
180
200
200
200
-_
22,460
19,556
12,414
17,514
17.1553
Per Capita Cost
0.94
0.93
vii
Per Capita Cost 0.21 0.23
STREET DEPARTMENT - TREE PLANTING
EXPENDITURES
ACCOUNT
NUMBER
ACCOUNT NUMBER
1970 -71
1971 -72
1972 -73
1972 -73
19/3 -74
% Inc.
AND CLASSIFICATION
Expended
Exvend.ed
8 Months
Budget,
Pm osed
(bec.)
01
Salaries
4200
1,100
11300
1,500
1,894
26.2
02
Overtime
--
--
--
50
50
05
Employee Benefits
65
65
70
70
100
42.8
14
Insurance
110
110
120
120
120
--
15
Contractual Services
1,965
1, 936
2, 000
2, 000
2, Q00
_-
21
Motor Vehicle Maintenance
--
--
25
25
25
22
Motor Vehicle Supplies
25
29
25
25
25
--
23
Repairs and Maintenance
--
_-
25
25
25
--
35
Materials
45
40
40
100
1010
q_
3,410
3,282
3,505
3,915
49339
11.5
Per Capita Cost 0.21 0.23
STREET DEPARTMENT - SPRING CLEANUP
EXPENDITURES
ACCOUNT NUMBER 20 -_/, .
ACCOUNT NUMBER
AND CLASSIFICATION
1970 -71
Expended
1971 -72
Ex ended
1972 -73
8 Months
1 972 -73
Budget
1973 - 74
_Proposed
°o Inc.
(Dec.)
01
Salaries
72200
715-00
71000
71000
7, 094
1.3
t02
Overtixae
--
800
-500
500
500
�.
05
Employee Benefits
370
370
390
390
420
7.7
14
Insurance
475
475
488
488
488
--
15
Contractual Services
21000
27000
12800
12800
32000
66.7
21
Motor Vehicle Maintenance
--
200
300
300
300
--
22
Motor Vehicle Supplies
240
275
300
300
300
--
23
Repairs and Maintenance
--
--
200
200
200
-�
61
Equipment Rental
11050
1,050
12000
(
10,285
112620
12,028
12,028
13,302
10.6
Per Capita Cost 0.64 0.70
� s
i
SEWER DEPARTMENT
REVENUE
ACCOUNT NUMBER 21
.i,CCOUNT MJMBER 1970 -71 1971 -72 1972 -73 1972 -73 1972 -73 1973 -74 % Inc.
A?-;D CLAD ;SI-�ICATION Received Received 8 Months Budget Antici ated Projected (Dec.)
243 Sewer Charges 149,866
249 Other Charges for
Services 50t481
252 Intere.t Earned
253 Penaltes ; �2
256 Trans'er from Other Funds -
259 OtherMiscellaneous Revenue 2,391,
204,112
166,355
117,060
176,000
176,000
178,000
1.1
7,541
965
21100
11350
1,100
777.6)
-
103
-
200
200
--
1,272
938
11500
12250
12300
(13.3)
-
-
27,329
149000
-
--
1,955
9,564
1,600
99565
2,000
25.0.
1 77,123
128,630
208,529
2029365
182,600
(12.4)
SEWER DEPARTMENT - ADM.INISTRATION AND SUPERVISORY
EXPENDITURES
ACCOUNT NUMBER 2j
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972-73 1973 -74 % Inc.
AND CLASSIFICATION Expended E ended. 8 Months Budget Proposed (Dec.)
O1 Salaries
02 Overtime
0.1; Benefits
06 Professional Services
11 Travel and Dues
12 Printing, Subscriptions,
Advertising
13 Communications
14 Insurance
31 Supplies
99 Safety Fund
Per Capita Cost
0
w
11,632
12,500
8,904
13,360
16,615
24.4
225
211
210
234
625
167.1
27
13
-
25
25
-
62
15
44
100
100
_
-
-
43
25
25
_
308
395
345
550
500
(9.1)
553
754
888
500
1,000
100.0
-
-
23
-
100
-
400
129807
13,888
10,457
14,794
19,390
31.1
0.78
1 03
SEWER DEPARTMENT - TREATMENT PLANT
EXPENDITURES
ACCOUNT DUMBER 21 -442
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc,
AND CLASSIFICATION Ex ended _Expended 8 Months Budget Pro osed (Dec.)
01
Salaries
352827
399107
32,314
43,157
45,315
5.0
02
Overtime
10,136
61161
41039
79000
59000
(28.6)
05
Benefits
701
963
745
890
11780
1001.
06
Professional Services
281863-
19, 778
-
1, 200
1,000
(16.7)
07
Apparel
173
94
166
150
240
60.0
11
Travel and Dues
160
223
22
350
300
(14.3)
12
Printing, Subscriptions,
Advertising
29
92
26
115
100
(13.0)
13
Communications
228
324
27116
425
375
(11 b 8)
14
Insurance
19217
803
1,738
11300
21000
53.8
15
Contractual Services
-
- -
75
110000
109000
(9.1)
16
Utility Services
12,742
14,115
9, 045
149900
14,300
(4.0)
21
Motor Vehicle Maintenance
154
866
552
200
1, 600
700.0
22
Motor Vehicle Supplies
12 3
75
50
210
. 200
23
Repairs and Maintenance
39549
51858
79543
5,600
39300
31.
Supplies
-
-
200
500
22000
300.0
33
Chlorine
79865
121157
4,676
10,000
71500
(25.0)
34
Aggregates
-
-
-
2,000
12500
(25.TT
35
Materials
21919
3,130
12113
29500
1,000
(60.6)
52
Equipment
71370
1Y687
64
3, 700
-
_
61
Equipment Rental
199
100
-
600
300
(50.0)
71
Bond Principal
-
-
-
10,000
10, 000
_
72
Bond Interest
-
-
-
700
700
-
73
Bond Reserve
-
-
-
1,000
1,000
_
74
Depreciation
-
-
-
110
110
_
99
Safety Iy and
-
400
1121255
105,533
62,584
1177607
110,020
(6.5)
0
1 -
Per Capita Cost
6,,23
5.83
SEWER DEPARTMENT - CLEANING AND MAINTENANCE
EXPENDITURES
ACCOUNT NUMBER
ACCOUNT NUMBER 1970 -71 1971 -72 1.972 -73 � x.972 -73 197374 % Inc.
AND CLA-S-SIFICATION Expended ET,pended 8 Months Budget Proposed (Dec.)
01 Salaries
02 Overtime
05 B enefits
06 Professional Services
07 Apparel
12 Printing, Subscriptions,
.Advertising
14 Insurance
15 Contractual Services
16 Utility Services
21 Motor Vehicle Maintenance
22 Motor Vehicle Supplies
28 Repairs and Maintenance
31 Supplies
34 Aggregates
35 Materials
36. Streezz Signs
Per Capita Cost
I
Z,
I
281652
261000
17,936
26,909
30,534
13.5
5,798
81000
52000
67000
61000
.�
GAO
832
828
932
12700
82.4
1,662
11000
15
5,000
100
(98.0)
100
100
2 ?.3
100
240
140.0
398
75
m
325
150
(53.8)
553
752
886
1,000
11000
-
-
-
?,637
59000
51000
-
-
-
-
-
500
-
.341
772
758
500
31000.
500.0
98
107
101
110
400
263,6
22
4000
21000
LOCO
31000
200.0
2,83,
500
400
400
22000
400.0
-
-
139
1,500
1,000
(33.3)
33280
22469
2,994
3,000
22000
(33.3)
-
- w
-
200
.�
411772
41,607
32,907
51,776
56,824
9.7
2.74 3.01
SEWER DEPARTMENT - CONSTRUCTION
EXPENDITURES
ACCOUNT NUMBER
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -7!+ % Inc.
AND CLASSIFICATION E ended Ex ended 8 Months Budget Proposed (Dec.)
01
Salaries
139632
16,000
163664
23,500
02
Overtirae
59799
1,1637
556
1,000
05
Benefits
400
624
621
699
06
Professional Services
11000
11000
-
375
07
Apparel
44
78
200
100
14
Insurance
553
752
886
13,000
21
Motor Vehicle Maintenance
522
772
758
500
22
Motor Vehicle Supplies
100
107
100
110
23
Repairs and Maintenance
-
960
730
600
31
Supplies
-
523
400
300
34
Aggregates
-
-
100
500
35
Materials
31281
2,469
21994
1, 000
61
Equipment Rental.
75
-
-
300
52
Equipment
-
522
X180
900
25,000
1, 000
17300
75
180
1,000
1,500
100
1f500
400
2,000
2,000
300
252406 259444 24,189 30,884 361355
Per Capita Cost 1.64 1.93
6.4
(80.0)
80.0
200.00
(9.1)
150.0
33.3
300.0
100,0
17.7
WATER DEPARTMENT
REVENUE
ACCOUNT NUMBER 22
ACCOUNT NUMBER
AND CLASSIFICATION
1970 -71
Received
1971 -72
Received
1972 -73
8 Months
1972 -73
Budget
1972 -73
Anticipated
1973 -74
Projected
% Inc.
(Dec.)
244 Water Charges
381,862
430,019
2982510
470,000
435,082
4752000
1.1
249 Acreage Fees
12150
31325
11875
500
11875
1,200
140,0
252 Interest
4,071
39049
-
2,200
12200
11000
(54.1)
253 Penalties
32774
37565
21404
42000
31500
49000
�-
259 Miscellaneous
6,758
10 3 .
8,644
7,000
910:00
71000
-
397,617
450052
311,433
483,700
450,657
488,200
10.9
�v
WATER DEPARTMENT - ADMINISTRATION AND SUPERVISORY
EXPENDITURES
ACCOUNT NUMBER 22 -451
ACCOUNT NUMBER 1970 -71 1971-72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended_ E ended 8 Months Budget Proposed (Uec.)
01 Salaries
05 Benefits
06 Professional Services
11 Travel and Dues
12 Printing, Subscriptions,
Advertising
13 Communications
14 Insurance
31 Supplies
62 Occupancy
71 Bond Principal
72 Bond Interest
99 Miscellaneous
Per Capita Cost
17,836
19,350
13,592
20,393
28,303
38.8
-
-
277
300
565
88.3
119
93
-
25
25
30
15
-
87
50
(42.5)
175
33
120
110
100
(9.1
309
519
277
650
700
7.7
367
359
61.4
400
750
87.5
-
-
-
-
100
500
5,000
..
20,000
5,000
(75.0)
46,412
4594.4,
-
209000
209000
--
-
-
-
24,475
23,510
(3.9)
152
160
160
160
260
62.5
65,900
709,974
15, 0z-'.0
86, 600
79,363
(8.4)
4.59 4.20
WA;"Eic DEPARTMENT - DISTRILUTION
EXPENDITURES
ACCOUNT NUMBER 22-Q2
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % LIZ.
AND CLASSIFICATION E ended E ended $Months Budget Pro osed (Dec.)
01
Salaries
8t628
91750
9P480
10,222
9,850
3.6
02
Overtime
4992
22.252
845
1J50
500
(71.4
04
Part Time
-
-
376
500
500
--
05
Benefits
-
-
277
320
465
451.mow
06
Professional Services
19000
10000
-
200
11000
400.0
07
Apparel
52
41
49
60
60
--
11
Travel and Dues
30
15
25
87
50
(42.5)
13
Communications
308
519
277
650
600
C7.7?
14
Insurance
367
359
614
400
750
87.5
16
Utility Services
9, 354
M40
8,623
8, 800
10,500
19.3
21
Motor Vehicle Maintenance
513
828
491
500
4100
120.0
22
Motor Vehicle Supplies
100
100
57
115
200
73.9
23
Repairs and Maintenance
720
925
272
600
200
(66.77)
31
Supplies
-
-
-
-
200
--
33
Chlorine
213
475
-
100
250
150.0
37
water Purchases
253,940
2769386
1709416
275,000
280,000
1.8
99
Safety Fund
-
-
100
277,217
302,490
1915,802
2999304
306,325
IMI
Per Capita Cost
�i.
15.86 16.20
WATER DEPARTMENT -MAIN AND FIRE HYDRANT MAINTENANCE
EXPENDITURES
ACCOUNT NUh4B ER
ACCQUNT NUtvtBER 1970 -71 1971 -72 1972-73 1972 -73 1973-74' % Inc.
AND CLASSIFICATION Expended, Expended 8 Months Budget Pro osed (Dec.)
01
Salaries
1 a j 972
17, 600
12 9 544
18 t 820
8.988
(52.2)
02
Overtime
3,984
41504
19690
3,500
49500
28.5
04
part Time
-
-
22000
2,000
29000
!�!
05
Benefits
-
-
277
640
855
38.3
06
Professional Services
119
95
-
-
50
-_
07
Apparel.
104
83
96
105
120
14.3
11
Travel and Dues
31
15
25
87
50
042.5)
12
Printing, Subscriptions,
Advertising
174
32
118
110
100
(9.1)
13
Communications
50
56
50
50
50
�..
14
Insurance
367
359
614
400
750
87.5
15
Contractual Services
4, 518
5, 405
7, 405
/14-75
10:000
33.8
21
Motor Vehicle Maintenance
: -1.3
828
.491
500
1,100
120.0
22
Motor Vehicle Supplies
200
200.
100
100
200
10010
23
Repairs and Maintenance
3, 000
101000.
2, 000
2, 000
31800
90.0
34
Aggregates
-
-
411
49000
4,000
_-
35
Materials
4,123
3y750
4,193
7, 500
7, 000
(6.7)
61
E quipxzi ent Rental
224
65
21
200
500
1507'
99
Safety Fund
-
-
-
100
33079
42t986
32, 035
47,487
44,163
(6.9)
Per Capita Cost
2.52 2.34
WATER DEPARTMENT - METER MAINTENANCE
EXPENDITURES
ACCOUNT NUMBER
ACCOUNT NUMBER 1970 -71 1971 - 72 1972-73 1972 -73 1973 -74 Inc.
AND CLASSIFICATION Expended Expended 8 Months Budget Proposed (Dec-s')..
01 Salaries
02 Overtime
,04 Part Time
`05 Benefits
.06 -,Professional Services
':07 Apparel
11 Travel and Dues
12 Printing, Subscriptions
Advertising
13 Communications
14 Insurance
21 Motor Vehicle Maintenance
22 Motor Vehicle Supplies
23 Repairs and Maintenance
31 Supplies
35 Materials
52 Equipment
99 Safety Fund
Per Capita Cost
71440
8,000
52000
77500
8,Soo
13.3
11992
2,253
847
1,750
29000
"3
-
_
11000
19500
1,500
-_
277
320
575
79.7
119
93
22
300
25
(91,7)
52
42
50
60
60
31
15
25
89
100
12.4
174
32
118
110
100
50
50
50
50
50
368
161
615
400
750-
87.5
515
829
491
500
1,100
120..0
152
118
100
125
. 300•
140.0
12,000
149000
4,000
51000
32000
(4000)
-
-
-
-
200
--
41123
32750
29000
31500
39000
(14.3)
13,080
-
169621
259150
139000
100
409096
29,543
311216
469354
34,360
2.46
1.82
VILLAGE GARAGE
REVENUE
ACCOUNT NUMBER 2,� ,a6
(Previously carried in General Fund)
ACCOUNT .DUMBER 1970-71 1971-72 1972 -73 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Received Recehed 8 Month-9 Budget Antici ated Prp'ected (Dec.)
Administration
Police
Sewer Maintenance
Sewage Treatment
Street and Bridge
Water
1,300 100.0
14,500 100.0
91000 100.0
1,600 10010
23,750 100.0
3,800 100.0
53,950 100.0
VILLAGE GARAGE
EXPENDITURES
ACCOUNT NUMBER 23 -A71
Self Supporting Account
ACCOUr.'.r NU1,413ER 1970 -71 1971 -7 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended E-xpendaO - -3 Months_ -- Budget -- -- Proposed._- - - - - -- (Deco) - --
01 Salaries
02 Overtime
05 B enefits
06 Professional Services
07
Apparel
-
11
Travel and Dues
-
12
Printing, Subscriptions,
29000
.
Advertising
-
14
Insurance
522
16
Utility Services
920
21
Motor Vehicle Maintenance
-
23
Repairs and Maintenance
29266
31
Supplies
807
35
Materials
-
52
Equipment
590
99
Safety Fund
-
638
80o
5,105
w
* Now must include all of salaries.
3,999
21059
4,200
20,521
388.6
-
-
-
29000
.
-
70
200
875
337.5
-
-
-
25.
--
-
166
60
100
66.7
r
-
-
50
--
..
r
w
1255
--
634
638
80o
19000
25.0
687.
400
1,400
900
X35.7)
4,593 .
2,039
31600
-
122
840
10250
26.,400
--
-
-
-
400
--
4,539
763
700
1,154
64.9
-
-
400
14,574
61975
12,210
j 53,950
341 9
Per Capita Cost 0.65 2.86
SCAVENGER SERVICE
REVENUE
ACCOUNT NUMBER 245
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Received Received 8 Months Budget Antici ated Pro'ected (Dec.
Refuse Billing 145,913
290,856
1942 299
290, 000
290,000
2979000 2.4
Penalties 725
2,767
352
21800
2,800
- 3 6
1462638
2939623
194,651
292,800
292,800
2972000 2.7
0
SCAVENGER SERVICE
EXPENDITURES
ACCOUNT NUMBER.
ACCOUNT NUMBER 1970 -71 1971 -72 1972- 3 ? 72 -73 x973 -74 Inc.
AND CLASSIFICATION Expended Enend.ed 8 Months Budget, Fro osed (Dec.)
01
Salaries
2,045
2,615
21045
31600
31780
5.0
12
Advertising, Printing
154
-
-
200
225
12"
13
Postage
152
238
256
250
150
(60.0)
62
Occupancy ( Billing Charge)
-
109000
6$666
109000
10,000
23
Equipment Maintenance
200
233
472
300
300
--
31
Supplies
77
26
103
200
250
25.0
52 _Ngw Equipment
21526
748
150
150
.75
(50.0)
15
Contractual Work
140, 091
—2791222
1814 887
275,000
2801000
1..8
i.45, 248
..293, 083
191, 579.
289, 700
294, 780.
1.8
Per Capita Cost
15.35
15.62
H
FUND: Municipal Audit
ACCOUNT NUMBER 11-201
S%R4ARY OF PROGRAM ACTIVITY
The Municipal Audit is an independent, outside audit conducted by a firm
engaged by the Mayor and )Board of 'trustees on an annual basis as required
ty State law.
These are earmarked funds that can only be expended for audit purposes.
The amount levied is designed to be the exact cost of the audit.
The increased charges are due to a change in audit firms.
r
Actual
Expenditure
-1920-71
Actual
Expenditure
Projected
Expenditure
1972-73
Proposed
Budget
(Contractual. Services
3,595
3,985
8,000
8,000
Total
3,595
3,985
8,000
8,000
'Per Ca.pft L Cost
-52-
0.42
FUND: Illinois Municipal Retirement Fund
ACCOUNT DUMBER 12 -201
SUMMARY OF PROGRAM ACTIVITY
Retirement fund payments by the Village of Deerfield for all municipal employees
(except Police) are made-through this special fund.
The level of payments is directly related to total personnel costs and to the
F.I.C.A. payment level.
Per Capita Cost
-53-
3.39
Actually
Received
197n.2i
Actually
Received
1471-7-2
Projected
Receipts
1972-21
Proposed
Budget
1973-74---
Contractual Services
37,747
64,269
549000
640000
Per Capita Cost
-53-
3.39
FUND: Public Benefit
ACCOUNT NUMBER 14 -201
SUl1MARY OF PROGRM ACTIVITY
The Public Benefit portion of local improvements installed under the special
Assessment procedure of financing is paid from this fund.
There is no levy proposed for the second year in a row as the accumulated
funds are adequate to maintain the account. These funds accumulated when the
projected spacial assessment projects they were designed to finance were
deferred.
-54-
Actually
Received
Q
Actually
Received
1971-72
Projected
Receipts*
Proposed
Budget
Contractual Services
230961
,210414
- 0 -
27.000
Total
23,961
21,414
- 0 -
27,000
-54-
FUND: Special Tax
ACCOUNT NUMBER 27 -201
The purchase of the "Fixit Shopo' property on Park Avenue is financed from
this fund.
Purchased in 1971 it will be completely paid for on November 30th 1983.
The property has been converted into commuter paicking and is being used
for this purpose at the present time. A Federal Grant for the improvement
of commuter parking in the entire area has been applied for and is pending
at this time.
The property cost $30,000 which will be applied toward the Villages share
of the improvement under the Federal Grant when the parking area is re-
constructed.
Per Capita Cost
-55-
0.17
Actual
xp@nditure
- 2.._ _
Actual
xpend-iture
1972-7-3
Proposed
Budget
- 7
Capital Outlay
$4,130
3,280
3,280
Total
4,130
3,280
3,280
Per Capita Cost
-55-
0.17
FUND : Revenue Sharing
ACCOUNT NUMBER 41-232
SUMMARY OF PROGRAM! ACTIVITY
Revenue Sharing was enacted into law last year and is at once a source of
financial succor for hard pressed municipalities and a challenge to use these
funds effectively for the benefit of our community and our country. It is
designed to place the decisions as to use at the local level where the elected
representatives understand local needs.
The list of areas where Revenue Sharing Funds may be used are as follows:
1. Maintenarce and operating expenses for Public Safety including Police
and Building Code enforcement.
2. Environmental Protection including sewage disposal, sanitation and
pollution abatement.
3. Public Transportation including transit systems and street and highway
construction and maintenance.
4. Health areas and programs.
5. Recreation area and programs.
6. Libraries.
7. Social Services for the poor or aged.
8. Financial Administration.
9. Ordinary and necessary capital expenditures authorized by law.
10. Excluded usage is where Revenue Sharing funds are to be used for'
education or as "matching.` funds in Federal programs.
Any expenditures must be certified by the Mayor as being within legal requiremeiv
* This actually covers 5 quarters due to the timing of the start of Revenue
sharing and our May 1st to April 30th fiscal year.
-56-
Program not
ance in previous
in exist-
years
Actually
Received
1CJ72-7-4
Projected
Receipts
1921.71-
Revenue
$76.146*--
Total
$76,146
$64,414
* This actually covers 5 quarters due to the timing of the start of Revenue
sharing and our May 1st to April 30th fiscal year.
-56-
FUND: Police Pension
ACCOUNT NUMBER 42 -201
� � -'M R V OF PROGRAM AC'T'IVITY
The Police Pension Fund is required by Stag• raa for all communities of over
5,000 population. The fund is administered by a Police Pension Board made up
of five members. Two are active members of the department, two are from the
citizens of the community and one is a retired officer. They are charged with
the investment of the funds collected from the active personnel and by this
special tax as the contribution of the community.
As required under Section 3 -125 of the'Illinois Pension Code the amount to
be levied has been certified by the Pension Board as being $43,570. This is
the amount necessary to amortize the unfunded accrued liability as determined
by the State of Illinois Department of Insurance over the period contemplated
by Section 3 -127 of the Illinois Pension Code.
Y
Actual
Received
Actual
Received
Projected
Receipts
Proposed
Budget
___197n,-e71
Tax
Payments to Pension Fund
22,962
23,449
30,199
43,570
Total
22,962
23,449
300199
43,570
Per Capita Cost
-57-
2.31
FUND: Municipal Building Bonds
ACCOUNT NUMBER 70 -201
SUMMARY OF PROGRAM ACTIVITY
These monies are used to amortize the bond issue that financed the construct-
ion of the Village Hall. Despite the fact that this is set up as a levy to
come from taxes it is always abated and paid from General Fund Revenues.
This derives from the promise made by the Mayor and Board of Trustees in 1956,
when the bond issue referendum was passed, that the entire cost of the new
building would be paid from Sales Tax Revenue. This promise has been kept
throughout the years.
Year
Payable
Bond Numbers
Interest
Rate
Interest Due
January I IMLIZ 1
Principal Due
January I
1973
146 to 155, inclusive
3
$450.00
300.00
3101.000,00
Contractual
11,500
1974
156 to 165, inclusive
3
300.00
150.00
1.01000.00
1975
166 to 175, inclusive
3
150,00
110200
10r 000.00
10,600
$900.00
450.00
r>0,000.00
r
Actual
Receipts
1970-71
Actual
Receipts
2 ._
Projected
Receipts
,
Proposed
Budget
Contractual
11,500
11,200
10,900
10,600
Total
11,500
110200
10,900
10,600
Per Capita Cost
WO
o.56
FUND: General Obligation Sewer Bonds, 1954 Issue
ACCOUNT NUMBER 71 -201
SUMMARY OF PROGRAM ACTIVITY
These bonds were issued in 1954 for the purpose of constructing the new
Sewage Treatment Plant to replace the Imhoff Tanks that for years had been
the treatment facilities of the Village. They carry a 2�% interest rate and
have but $0,000 outstanding. Retiranent will be in fiscal 73 -74.
�.�
Actually
Received
1220-71
Actually
Received
1921-7-1—
Projected
Receipts
1972-23
Proposed
Budget
1933m24—
Capital Outlay
39,875
43,000
42,000
41,000
Total
39,875
439000
42,000
41,000
Per Capita Cost
-59-
2.17
FUND: General Obligation Sewer Bonds, 1960 Issue
ACCOUNT NUMBER 72 -201
SUMMARY OF PROGRAM ACTIVITY
These bonds were issued in 1960 for the expansion and improvement of the
Sewage Treatment Plant. They carry a 47. interest rate and will be retired
in 1980. There remains $325,000 outstanding out of a $525,000 issue.
_ -- - :[Received
Actually
ACtually
'Received
Projected
Receipts
-
Proposed
Budget
19 73-74
Capital Outla3
41,856
39,631
43,600
42,400
Total
41,356
39,631
43,600
42,400
Per Capita Cost
-60-
2.25
FUND: General Obligation Bonds - Public Library
ACCOUNT NUMBER 73 -201
SUMMARY OF PROGRAM ACTIVITY
These bonds were sold in 1969 in the total amount of $1,035,000 for the
purpose of constructing the new Library. They run for nine years until
1978.
The amounts to be raised by taxation are governed by the Bond Ordinance and
payment schedule.
Per Capita Cast 9.32
-61-
Actually
Received
Actually
2:eceived
l97 +.z
A.CtUally
Receipts
Proposed.
Budget
t
Capital outlay
Total-93,010
93,010
146,473
� 146,473
165,238
165,238
176,000
1769000
Per Capita Cast 9.32
-61-
GENERAL OBLIGATION SEWER BONDS
71 1954 Issue:
Principal and Interest, 1973 -74 41,000
72 1960 Issue:
Principal and Interest, 1973 -74 42, 400
GENERAL OBLIGATION BONDS - PUBLIC LIBRARY
73 1969 Issue:
Principal and Interest, 197:3 -74 176,000
MUNICIPAL BUILDING BONDS
70 Principal and Interest, 1973 -74 10,600
(To be abated at the time the Tax Levy is passed)
-62-
r r.
ILLINOIS MUNICIPAL RETIREMENT FUND
12 .Revenue - Tax Levy 64,000
Expenditures 64, 000
PUBLIC BENEFIT
14 Revenue - Tax Levy ..
Expenditure -
POLICE PENSION FUND
42 Revenue - Tax Levy 43p570
Expenditures 289500
SPECIAL TAX FUND
27 Revenue - Tax Levy 31.281
Expenditure 39281
MUNICIPAL AUDIT FUND
11 Revenue -Tax Levy 81000
Expenditure 89000
-63-
I I
APPENDIX l
Pj1O.PQSED CAPITAL IMPROVEMENTS
PROJECT TITLE: Sewage Treatment Plant Expansion Program
FUNDING SOURCE: Bond Issue
OVERALL COST: $3,300,000.00, Village Share: N/A
DESCRIPTION: Basically, this is the project being designed by Baxter
and Woodman for the updating and expansion of our Sewage Treatment Plant.
This is a top priority project which is tentatively scheduled for construction
in January of 1974, and to be completed prior to the end of 1975. Thus it is
to be included as a top priority item in Fiscal Years 1973 -1974 through 1975-
1976. Due to the fact that exact expenditure figures depend on the contracting
firm's regpirements, no year -by -year breakdown of cost is given. As an over-
all goal statement, taken from the guidelines of the Comprehensive Plan, this
project should enable the Village to come up to EPA standards and provide
adequate sewage service for the citizenry. In addition, this includes work
on the East Lift Station, and the Force Main, thus also accruing additional
benefits to large areas of the Village.
PROJECT TITLE: Storm Sewer Improvement and Storm Water Retention
Progra m
FUNDING SOURCE: Bond Issue
OVERALL COST: $1,080,000.00, Village Share: N/A
DESCRIPTION: This project is the planned improvement of areas of
the Village's storm sewer lines in an effort to alleviate the more exceptional
problems of flooding during storm periods. Likewise, this project seeks to
accrue benefits to the Village's citizenry in the form of improved service.
The financial information for this project is essentially the same as for the
Sewage Treatment Plant. The overall goal of the project is to update storm
sewer lines in areas which have experienced flooding problems, as well as
to alleviate some of the burden placed upon the entire storm sewer stystem.
Also to replace portions of the east trunk sewer and provide $100,00.00 to
be used in land acquisitioh for storm water detention in cooperation with
other communities.
-64-
PROJECT TITLE: Park Avenue Relocation Program
FUNDING SOURCE: Option of Motor Fuel Tax, or General Obligation Bonds
or Revenue Sharing
OVERALL COST: $174,000.00 *, Village Share: Entirety, unless by
General Obligation Bonds
DESCRIPTION: This project is Phase 1 of the larger program called
Peterson -Park Avenues and Hoffman Lane, Street Re-- alignment and Commuter
Parking Development Program. In connection with the Park District, Phase 1,
the development of an east /west roadway between Park Avenue and Peterson
Lane, will accomplish the closing off of the hazardous intersection now exist-
ing between Park and Deerfield Road. Also, this will be the predecessor to
the overall development of this area of the Village. Phase 1 will cost approx-
imately $37,000.00, and two alternative funding methods are suggested above.
Phase 11 of this larger project, projected for Fiscal Year 1974 -1975, will
accomplish two main items: (1) The development of a new north /south road-
way between the new Park Avenue roadway and Deerfield Road through the
Knit -Wit Shop property and the simultaneous closing of the present Peterson
Avenue route next to Lindemann's Pharmacy. The cost of this item will be
approximately $39,000.00., (2) The development of parking on the Fix -It Shop
property and the north corner of Union Oil land. This element will cost
approximately $19,000.00. Phase III of this overall project will consist of
the development of Park Avenue . improvements for commuter pickup and dropoff
operation adjacent to the railroad station, and parking facilities associated
with it. This element will cost approximately $75,000.00 and is projected
for Fiscal Year 1975 -1976. Phase IV of this project, for .which no cost data
are available, will consist of the relocation of the present Hoffman Lane onto
a path corresponding with the new Park Avenue connection to Deerfield Road,
and tentatively might be planned for Fiscal Year 1976 -1977. In general,
this entire project satisfies Recommendation Numbers 19b and 19d of the Paul
Box Study. (Note please that the cost figures listed at the beginning are for
Phase I through III only.) This project also includes the fulfillment of one
of the largest items for attention brought out by the Comprehensive Plan in
terms of traffic flow and parking developments.
PROJECT TITLE: Acquisition of Property on the South-Side of Hazel
Adjacent to Jewett Park
FUNDING SOURCE: General Fund Surplus, or other alternatives
OVERALL COST: $57,600.00, Village Share :' (Same)
DESCRIPTION: This project, hinging upon the action of not only the
Village but also the Park District, will provide land for the park in replace-
ment of lands lost to other purposes, such as the Park Avenue relocation.
Likewise, this proposes improvement will accomplish the formation-of Jewett
Park into the configuration shown on the Comprehensi "ve Plan Map. Thus this
-65-
i i
PROJECT TITLE: Acquisition of Property on the South Side of Hazel
Adjacent to Jewett Park (Continued)
project is considered worthy of immediate consideration, and one perhaps best
considered now rather than in years hence, primarily due to rising land costs.
PROJECT TITLE: Extension of Carlisle Avenue and Carriage Way Drive
FUNDING SOURCE: Motor Fuel Tax Funds, General Fund Surplus, Blietz
Contribution*
OVERALL COST: $160,000.00, Village Share: $140,000.00
DESCRIPTION: This project consists of the purchase of property from
Mr. Blietz in order to connect the two separate sections of Carlisle Avenue
and to make a connection of Carriage Way to Waukegan Road possible. The
project may be divided into three separate elements, the first of which is the
purchase of property for a right -of -way for the new roadway, at an approximate
cost of $45,000.00. This project in general meets one of the priority require-
ments of the Comprehensive Plan's design, and therefore this first stage is
suggested for Fiscal Year 1973 -1974. The second element of this project is
the construction of a bridge on Carriage Way Drive. For this item, at a
total cost of about $65,000.00, ($20,000.00 of which will come from Mr.
Blietz) , the funds may either be entirely from Motor Fuel Tax Funds or there
is a possibility of z the amount coming from Lake County in the form of a
contribution. The third element of this project is the street and sidewalk
improvements of the new roadway, at a cost of $50,000.00, which is probably
to come from Motor Fuel Tax due to the fact that the Park District will
condition the sale of the right -of -way on such a stipulation. The ( *)
above indicates that an option is available to use such other funds as the
General Fund Surplus for part of the funding of this project. The last two
elements of this project are suggested to be included in the Fiscal Year
1974 -1975 Capital Budget. Overall, the goal of this project is the improve-
ment: of. Deerfield's roadway system in accord with the intentions of the
Comprehensive Plan, arid. q.ererally the up- grading of traffic patterns in the
eastern. portion of the Village.
PROJECT TITLE: Commuter Parking Lot Program (DOT Grant)
FUNDING SOURCE: Federal Department of Transportation Commuter
Parking Grant, State of Illinois Department of
Transportation .Grant, and Village Contribution
OVERALL COST: $152,000.00, Village Share: $18,600.00 (See below)
DESCRIPTION: This project is part of the State of Illinois Commuter
Parking Grant Program, Project CAP -72 -023 -Fed. (II -03 -0031) which is aimed
.,
PROJECT TITLE: Commuter Parking Lot Program (DOT Grant)
(Continued)
at, improvement of the parking facilities utilized for mass - transit systems.
Since this same goal is part of the Comprehensive Plan for Deerfield, and
since the contribution of the Village will be in the form of property already
purchased for just this purpose, it is ranked high in priority among the
several capital improvements. The cost breakdown for the project will be
2/3 share by the Federal D.O.T., (approximately $101,600,00), and 2/9.
State, (approximately $32,000.00), and the remaining $18,600.00 taken
care of by the Village's direct contribution of the land required. The
property involved is described as follows: Lot 1: "Directly East of the
Deerfield (railroad) Station, being South of Jewett Park, East of Park Avenue
(as now exists), North of Deerfield Road, and West of business zoned real
estate. ", Lot 2: "Directly South of the Deerfield (railroad) Station parking
lot, being South of Deerfield Road, East of Chestnut Street, North of Sunset
Court, and West of the railroad tracks." Hence not only will an eyesore,
of the Village be converted to a highly viable use, but one vital phase of
the Park - Peterson - Hoffman Lane project will be completed without.resort to
further Village expense. At this time it looks as if the starting date for
this project may be anywhere from the latter part of Fiscal Year 1973 -1974
or early Fiscal Year 1974 -1975. In any event, it has been included in
order to ensure its consideration along with other high- priority capital
improvement projects.
PROJECT TITLE: North -East Quadrant Parking and Traffic Flow Program
FUNDING SOURCE: Public Contribution, General Fund Surplus
OVERALL COST: $134,000.00, Village Share: $60,000.00
DESCRIPTION: This project is part of the Comprehensive Plan's
general design for improvement of the traffic flow apd pa k.40 g facilities
offered in the Village's Central Business District, Also #kiis, meets the
general guidelines for traffic patterns Qi RQrotrmoiRdatJon Number 17 of the
Paul Box 9,afqty ► Study, ar}d ad0s to this the benefit of aid iXional parking
facilitis, In t(rms of post, the Villager}qineeT has detQnfned that
S1 4, Q.RO, 0,0, is a gpod estimate of the over�ll cost, with 00, 00.00 to
comp frA, th,e Village and the rer�ainder from contxibutions cif affected
huln�e.ss.ds,. Thus this shapes up a d �ignifiaant iing pva.man to the
Village, 'aid gopsists of, perhaps the first step in the purs,uanca of the
Cwprehensive P n's, general design for upgrading all of ,ttie pa'rk'ing and
traffic facilities of the. Central Bn,sine$,s District. Its in�:usior in the
Fiscal Y,�ax 19;73,- ri9,74 ' Ca,pit�l ' Bydge.t, would he an indication of this impor-
tant' role, can lead, to p.onsicieratio.n of ather leveiopment of the C:eritraI
Business District ip singer manne'.for_ year's hence, .the next area, the
South -East Quadrant, is proposed for Fiscaly Year 1976 -1977.
-67-
PROJECT TITLE: Deerfield Road Railroad Underpass Improvement Program
Planning Phase
FUNDING SOURCE: TOPICS Grant, State Grant, Village Motor Fuel Tax
Funs, General Fund Surplus
OVERALL COST: $1,500,000.00 (Very Approximate), Village Share:
$376,700.00 (See below)
DESCRIPTION: This project is a major undertaking involving one of the
highest priority items under the Comprehensive Plan, and also a high- ranking
item in Paul Box's Study, Recommendation Number 19c. its cost is of such
a nature that it was not projected to be part of this Fiscal Year's Capital
Budget until it was noted that immediate concern was warranted. It has been
learned that the TOPICS Grant program may end in 1975, and such projects
must be at least in the planning stages by that time, (and funds committed).
The cost figure of $376,700.00 for the Village share of the project reflects
two facets of the project, $1,700.00 for a required study to be conducted by
Mr. Box in an effort to produce a TOPICS Grant application, (funding provided
in the Street and Bridge Budget), and 25% of the approximate overall cost of
the project, presumably to come from Village Motor Fuel 'Tax Funds. This
would be the Village's share after 50% was taken care of by the TOPICS
Grant, and 25% was taken care of by the State of Illinois. This would all
mean that the planning stages of this project would start in Fiscal Year 1973-
1974, and that actual work might begin in Fiscal Year 1975 -1976. This project
reflects one of the great needs of the community expressed in both the Com-
prehensive Plan and the Box Study, and therefore rate high consideration.
PROJECT TITLE: Wilmot and Berkley Court Sidewalk Program
FUNDING SOURCE: Special Assessment and General Fund Surplus
OVERALL COST: $38,630.00, Village .Share: $8,000.00
DESCRIPTION: This project is a much delayed one, in need of attention,
as it now receiving. Originally requested by the Woodland Park Parent's Teachers
Association, it was scheduled for construction in Fiscal Year 1972 -1973 but
right -of -way acquisition needs led to abandonment of the original special
assessment and the establishment of a second one. This is now moving forward
and may be cleared in time for Fall construction in Fiscal Year 1973 -1974.
.:
PROJECT TITLE: Surface Improvements to Gordon. Terrace
FUNDING SOURCE: Special Assessment plus 15 -20% Village Contribution,
Motor Fuel Tax
"bVERALL COST: $117,000.00, Village Share: Approximately $23,000.00
DESCRIPTION: This project is one of the priority items in the list for
implementation of the Comprehensive Plan. It consists of the overall improve
ment of the surface of Gordon Terrace, and is the first step in the larger proy"'
ject of resurfacing the Hovland Subdivision streets, which is included in the'
Capital Improvements Program. This project is included in this year's Capit0li..
Budget in order to begin this process in an orderly and high - priority manner,
indicating the importance of such street improvement programs.
PROJECT TITLE: Surface Improvements on Remaining Hovland Streets
DESCRIPTION: This project, which has been assigned an approximate
cost of $250,000.00, is an extension of the project described as the surface
improvement of Gordon Terrace for Fiscal Year 1973 -1974.
PROJECT TITLE:
FUNDING SOURCE:
OVERALL COST:
Chemical Grouting, TV Inspection, and Rennovation of
Existing Sewers
Revenues, or other possible sources such as Revenue
Sharing
$47,000.00, Village Share: (Same)
DESCRIPTION: This project, proposed by the Public Works Director, is
an adjunct to the Bond Issue improvements of both the storm sewer network and
the LSewage Treatment Plant. This additional project, carried out on a yearly
basis, (the amount offered above represents approximately the coverage of 2
miles of sanitary sewer grouted, 2 miles of TV inspection, and rennovation of
existing lines as necessary), would assure the constant surveilance of the
Village's sewers for infiltration, soon to be prohibited under EPA standards.
Hence, this project goes along with the Comprehensive Plan's intent of overall
improvement of the sewer system and prevention of problems associated with
dilapidated lines.
-69-
PROJECT TITLE: Village Garage Security Fence Program
FUNDING SOURCE: Street and Bridge Budget
OVERALL COST: $5,000.00, Village Share: (Same)
DESCRIPTION: This project, set up to span five years, at a cost of
$1,000.00 per year, is intended to reduce the potential of vandalism on
Village equipment, and the Garage in general. This may be. considered part
of the total upgrading of Village service facilities, as it contributes to
lessening costs and problems involved in equipment maintenance.
PROJECT TITLE: Civil Defense Warning System
FUNDING SOURCE: Possible Civil Defense Grant plus Village Civil Defense
Funds on Hand
OVERALL COST: $17,000.00, Village Share: $8,500.00
DESCRIPTION: This project is part of the development of an adequate syste:
for emergency warning for Village and area residents in the form of a siren to
be placed at a high point. This would fit the design for proper Civil Defense
preparedness equipment, in addition to providing a means of warning citizens -
of imminent danger to themselves. The cost could be drawn from Civil Defense
Funds on hand in its entirety, or an application for a Federal Civil Defense
Grant could be made, sharing the cost 50/50 % with the Federal Government.
PROJECT TITLE: Right -Turn Lanes at Lake -Cook Road and Waukegan Road
FUNDING SOURCE: 33 -CS Motor Fuel Tax Funds
OVERALL COST: $36,000.00, Village Share: (Same)
DESCRIPTION: This project is ranked low in priority in terms of projects
to be considered for Fiscal Year 1973 -1974 due to current circumstances con-
cerning the development of Lake -Cook Road by the County. These circumstances
are the uncertainty of the exact number of lanes into which Lake -Cook Road will
be transformed. Likewise, the delays currently being encountered in this
basically county - oriented project might mean that any work done by the Village
in this regard would be a waste of valuable Motor Fuel Tax funds. Therefore,
unless some overriding circumstances dictate that the Village must install right -
turn lanes at this intersection, the entire project listing might be reconsidered
and held in abeyance pending the outcome of the County investigation of re-
quirements for the expanded roadway.
-70-
PROJ -ECT TITLE: Renovation of Village Hall Annex
FUNDING SOURCE: Revenue Sharing
OVERALL COST: $12,000.00
DESCRIPTION: This project covers the installation of- partitions, new,
ceiling, lighting fitures and minor structual and heating .system changes to
enable the old library building to be utilized for Village offices and con-
ference facilities. It also would provide for restructing of the space
utilization in the Village Hall to enable provision for a larger office for
the Village Clerk, additional office space for, the Police Departmelit; and
a private office for the Youth Worker.
-71-
L\
APPENDIX II
LIBRARY
EXPENDITURES
ACCOUNT NUMBER 60 -601
(Not included in Municipal Budget)
ACCOUNT NUMBER 1970 -71 1971 -72 1972 -73 1972 -73 1973 -74 % Inc.
AND CLASSIFICATION Expended ELc2ended 8 Months Bud et Pro osed (Dec,)
01 -1
Salaries, Professional
459194
01 -2
Salaries, Non Professional
64,131
05
Benefits
1,251 ,...
06
Professional Services
2,000
11
Travel and Dues
2, 000
12
Printing, subscriptions,
advertising
700
13
Communications
3, 300
14
Insurance
5,000
15
Contractual Services
89400
16
Utility Services
250
23
Repairs and Maintenance
12, 800
31
Supplies
61000
40
Books
83,000
41
Periodicals
4, 805
42
Audio- visual
31500
43
Binding
21000
'98
Contingency Fund
1, 000 r„
99
Miscellaneous
10,400
ACCOUNT NUMBER 61 -601
61 Completion of Children's Room, etc.
Completion of Construction
V
N
255,731
4, 000
4, 900
8,900
r r
FUND: Motor Fuel Tax
ACCOUNT NUMBER 40 -204 Revenue 40 -412 (Maintenance)
SUMMARY OF PROGRAM ACTIVITY Expended for 1972 -73
Motor Fuel Tax Funds are collected by the State of Illinois are apportioned in
accordance with a rather complex formula where, after certain deductions, 327. of
the remainder is allocated to the municipalities of the State on a population
basis. This past year it was slightly over $10.00 per capita. Motor fuel -tax
funds may be utilized, according to State regulations, for the following purposes
Street construction or reconstruction to improve traffic capacity
Installation of Traffic signs, signals, and controls.
Transfer of up•.to 35% of the receipts to finance Police operations.
Sidewalk repair and replacement.
The public benefit share of new street improvements when certain criteria are
met in connection with a special assessment project.
This past year $65,000 was utilized for general maintenance, sweeping, traffic line
painting, sign installation, catch basin cleaning, crack filling, snow plowing and
the like on our streets and highways.
Street Paving was carried out on Hackberry, Kenton, Linden, Beverly, and Wilmot
Road at a total cost of $37,099.
Traffic signal installation at the High School Drive and Waukegan Road was completed
and a final payment of $4,882 made bringing the total expenditure to $57,000 over a
two year period.
Subsidy to the North Suburban Mass Transit District was approved for $6,552p and paid
* Includes the above mentioned subsidy.
Per Capita Cost
-73-
6.03
1972 -73
Estimated
x
1973 -74
Proposed
Contractual Services
$113,742*
Total
$113,742*
* Includes the above mentioned subsidy.
Per Capita Cost
-73-
6.03
FIM: Motor Fuel Tax
ACCOUNT NUMBER 40 -204 (Revenue) 40 -412 (Maintenance)
SUMMARY OF PROGRAM ACTIVITY Proposed for 1973 -74
Paving repairs and general maintenance will be made to the same level of
activity of last year with $65,000 budgeted for this work.
Street paving overlay a rork..en-4isions work on.the following streets:
Wilmot from School Strut north to the Bannockburn line.
Elmwood from Stratford to Chestnut.
Central from the Bridge to Wilmot Road.
Dartmouth from Mallard to Wilmot Road.
Portions of Kenmore and Birchwood from Dartmouth to Hackberry.
Central from Wavarly to Waukegan Road.
Kingston from Warrington to Beverly.
The above would be on a contract basis put out for bid as MFT work.
The following will be done with Village equipment and.personnel.
Osterman Avenue from the RR tracks to the dead end on the West.
Portions of Jonquill and Grove from Osterman to Central.
Park Avenue from Deerfield Road to Hazel Avenue.
Elder Lane from Wa+nksgan koad to the end.
Elmwood from Stratford to the concrete paring (new) at the cul -de -sac.
Berkley from Sr.ratford to the new concrete street.
Subsidy to North Suburban Musa Transit Dist:tct estim9.ted at $7,000
__..
1973 -74
Proposed
Obligated Funds
251,538
Contractual Services
$109,592
'Hass Transit Subsidy
7,000
Total
$3681130
Per Capita Cost
-74-
19.50
SUMMARY OF MOTOR FUEL TAX REVENUES AND EXPENDITURES
Carryover funds from fiscal 1971 -72 $1599035
Revenue to March 31st 1973 1850863
Interest on Investments 926
Total
Expenditures:
Maintenance Costs $1029099.
High School Traffic
Lights ' 4,883
Lake Cook - Waukegan Rd.
Right turn lanes 208
North Suburban Mass
Transit District Subsidy 6,552
March 31st balance
Obligated Funds:
$345,825
113,742
$232,083
Waukegan Road widening by Deerbrook MFT 32 CS $150,000
Traffic Safety Study 29CS 1,538
Maintenance 1973 -74 (Street and Bridge revenue) 659000
Waukegan -Lake Cook Right turn lanes 35,000
Transit District Subsidy (estimate) 7,000
Revenue Projection 1973 -74
Carryover funds from fiscal 1972 -73 $232,083
Revenue for April 1973 19,000
Revenue anticipated fiscal 1973 -74 205,000
Total Available $456,083
Anticipated Expenditures Fiscal 1973 -74
Maintenance costs $65,000
Other maintenance 44,592
$109,592
$258,538
Total Available $4560083
Expenditures 109,592
Net Available $346,491 Net Available $346,491
Obligated 258,53$
Unobligated, unexpended funds $87,953
-75-
ORDINANCE NO. 0 -73 -22
AN ORDINANCE PROVIDING FOR THE FILING OF
THE TENTATIVE ANNUAL BUDGET OF THE
VILLAGE OF DEERFIELD AND FOR PUBLIC
INSPECTION AND HEARING THEREON
BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES
OF THE VILLAGE OF DEERFIELD, LAKE AND COOK COUNTIES, ILLINOIS,
AS FOLLOWS:
SECTION • That the tentative annual budget of the Village of
ONE: Deerfield for the fiscal year beginning May 1, 1973
and ending April 30, .1974, as prepared by the Budget
Officer and submitted to the President and Board of Trustees in pamphlet form,
shall be placed on file in the office of the Village Manager on or before April 13,
1973, and shall remain on file and be made conveniently available for public
inspection during normal business hours from 8 :00 A.M. to 4 :30 P.M. of any
business day for a period of ten days after the initial filing thereof and there-
after until further order of this Board..
SECTION That a public hearing shall be held on said tentative
TWO: annual budget at 8 :00 P.M. on April 23, 1973, in the
Board Room of the Village Hall, 850 Waukegan Abad,
Deerfield, Illinois.
SECTION That the Village Clerk is hereby directed to publish
THREE: in the April 12, 1973 edition of the Deerfield Life, a
newspaper of general circulation in this Village, the
following notice:
"OFFICIAL PUBLICATION
VILLAGE OF DEERFIELD
NOTICE OF PUBLIC INSPECTION AND HEARING
ON THE
ANNUAL BUDGET OF THE VILLAGE OF DEERFIELD
"TO THE PUBLIC:
"Notice is hereby given that on April 13, 1973, there will
be Placed on file in the office of the Village Manager at the Village
Hall, 850 Waukegan Road, Deerfield, Illinois, a tentative annual
budget for the Village of Deerfield for the fiscal year beginning
May 1, 1973, and ending April 30, 1974 as prepared by the Budget
Officer in pamphlet form and proposed for adoption by the President
and Board of Trustees. Said budget shall be available for public
inspection during the hours from 8 :00 A.M. to 4:30 P.M. on any
-76-
normal business day for a period of ten days and thereafter until
further order of the corporate authorities of the Village.
"Notice is further given that on April 23, 1973, a public hearing
will. be held on the tentative annual budget by the President and
Board of Trustees of the Village of Deerfield at 8 :00 P.M. in
the Board Room of the Village Hall, 850 Waukegan Road, Deerfield,
Illinois, at which time and place any persons interested may attend
and be heard.
"Following the said public hearing and any continuation thereof,
the tentative annual budget may be revised and adopted by the said
corporate authorities of the Village without further inspection,
notice or hearing.
"Dated: April 12, 1973
Catherine B. Price
Village Clerk"
SECTION That all ordinances or parts of ordinances in conflict
FOUR: herewith are, to the extent of such conflict, hereby
repealed.
SECTION That this ordinance shall be in full force and. effect
FIVE t from and after its passage and approval as provided
by law.
AYES:
NAYS:
ABSENT:
PASSED this 2nd day of April X.D. 1973
APPROVED this 2ndday of April A`D'; 1973.
14.1 DERNA&D.EORRES1
ATTEST: VILLAGE PRESIDENT
1sl CATHERINE B. PRICE
-77-