O-77-51ORDINANCE 0 -77 -51
AN ORDINANCE LEVYING TAXES FOR CORPORATE PURPOSES FOR THE CURRENT FISCAL YEAR,
COMMENCING ON THE FIRST DAY OF MAY 1977 AND ENDING ON THE THIRTIETH DAY OF
APRIL 1978, FOR THE VILLAGE OF DEERFIELD, LAKE AND COOK COUNTIES, ILLINOIS
BE IT ORDAINED by the President and Board of Trustees of the Village of
Deerfield, Lake and Cook Counties, Illinois that:
Section 1. A tax for the following sums of money, or as much thereof as
may be authorized by law, to defray all expenses and liabilities of the
Village, be and the same is hereby levied for the purposes specified against
all taxable property in the Village for the fiscal year commencing on the
first day of May 1977 and ending on the thirtieth day of April 1978.
BUDGETED TO BE
AMOUNT LEVIED
I. GENERAL CORPORATE FUND
A. ADMINISTRATIVE DEPARTMENT
Account No. 10 -301
.01
Salaries $313,300
.04
Part Time
48,460
.05
Benefits
Health and Hospitalization
13,800
College Tuitition Reimbursement
1,000
.06
Professional Services
Medical Services
11000
Consultant Services
12,750
Legal Services
38,000
.07
Apparel
100
.11
Travel and Dues
Travel Expense
4,000
Dues
1,500
Registration Fees
500
Training Expense
2,200
.12
Printing, Subscriptions, Advertis-
ing
Printing
3,000
Advertising, Legals
1,400
Periodicals
100
.13
Communi.cations.
Postage
5,200
Telephone
5,600
Radio Service
11000
.14
Insurance
13,500
.15
Contractual Services
Copying and Duplication
6,000
Action Avenue Study
10,000
Equipment Maintenance and Repair
3,000
Other
800
ADMINISTRATIVE DEPARTMENT (Continued)
BUDGETED TO BE
AMOUNT LEVIED
.16
Utility Services
2,000
.21
Motor Vehicle Maintenance
3,500
.22
Motor Vehicle Supplies
1,500
.23
Repairs and Maintenance
7,000
.31
Supplies
16,000
.51
Motor Vehicles
3,800
.52
Equipment
Disk Packs
1,000
Disk Pack Cabinet
500
Calculator
150
Filing Cabinet
130
Measuring Wheel
100
Calculator
60
Filing Cabinet -- Engineering
130
Filing Cabinets -- Planning & Zoning 260
Drafting Table
400
Dictating Equipment
125
.53
Land Acquisition -- Peterson Property 5,000
.81
Election Board
1,500
.82
Advisory Boards
8,500
.83
Dog Pound
5,000
.99
Miscellaneous
2,000
TOTAL ADMINISTRATIVE DEPARTMENT
$544,865 - 0 -
B. POLICE
DEPARTMENT
$390,000
Account
Numbers 10 -351 through 356
.01
Salaries
$760,943
.02
Overtime
60,760
.04
Part Time
42,589
.05
Benefits
Health and Hospitalization
29,946
College Tuition Reimbursements
11,911
.06
Professional
Medical
1,200
Data Processing
2,700
.07
Apparel
11,075
.11
Travel.and Dues
Travel
2,000
Dues
1,050
Training
9,243
.12
Printing, Advertising, Subscrip-
tions
Printing
6,575
Advertising
1,500
.13
Communications
Postage
1,460
Radio Service
2,500
Telephone
4,670
LEADS
5,640
.14
Insurance
38,000
Page 2
POLICE DEPARTMENT (Continued) BUDGETED
AMOUNT
.15
Contractual Services
13,559
.21
Motor Vehicle Maintenance
20,060
.22
Motor Vehicle Supplies
16,000
.23
Repairs and Maintenance
3,000
.31
Supplies
11,500
.51
Motor Vehicles
26,393
.52
Equipment
100
Clerk's Desk
300
.07
Slide Projector
150
Tape Recorders (2) and Accessories 300
360
Portable Radios
5,000
Recorder Tapes (24 hour)
1,000
225
Car Shield
200
225
Battery Charger (12 Bay)
1,000
Light Bar Assembly
510
.82
Advisory
2,000
100
TOTAL POLICE DEPARTMENT
$1,094,734
C. WATER DEPARTMENT
Account Numbers 22 -451 through 454
.01
Salaries
$ 69,190
.02
Overtime
10,000
.04
Part Time
4,500
.05
Benefits
Health and Hospitalization
4,515
.06
Professional Services
Medical
100
Consultant
1,500
.07
Apparel
Uniforms
360
.11
Travel and Dues
Dues
225
Registration Fees
225
.12
Printing and Advertising
Printing
2,200
Advertising, Legal
100
.13
Communications
Postage
1,450
Telephone
750
Radio Service
75
.14
Insurance
9,000
.15
Contractual Services
Water Control Maintenance
3,000
Leak Survey,
5,000
Gate Valve Repairs
650
Valve Repairs
1,800
.16
Utility Services
21,000
.21
Motor Vehicle Maintenance
5,800
.22
Motor Vehicle Supplies
2,500
.23
Repairs and Maintenance
6,650
.31
Supplies
1,200
.33
Chlorine
700
TO BE
LEVIED
$390,000
Page 3
D. SEWER DEPARTMENT
Account Numbers 21 -441 through 444
.01
i
t
BUDGETED TO BE
WATER DEPARTMENT (Continued)
AMOUNT LEVIED
.34
Aggregates
5,000
.35
Materials
14,100
.37
Water Purchases
355,000
.51
Motor Vehicles
- 0 -
.52
Equipment
Medical
300
Water Meter Replacement
10,500
3,000
Backhoe (2)
4,250
Concrete Saw
960
800
Jack Hammer
1,200
200
Abrasive Saw
700
Acetylene Torches
300
200
Generator
.800
700
Radios
1,000
.61
Equipment Rental
1,000
.62
Occupancy
6,000
.71
Bond Principal
25,000
.72
Bond Interest
18,900
.99
Miscellaneous (Safety Fund)
11100
.14
TOTAL.WATER.DEPARTMENT
$598,300 - 0 -
D. SEWER DEPARTMENT
Account Numbers 21 -441 through 444
.01
Salaries
$224,325
.02
Overtime
11,000
.04
Part Time
3,000
.05
Benefits
Health and Hospitalization
11,100
.06
Professional Services
Medical
300
Consultant
3,000
.07
Apparel
Uniforms
800
Protective Gear
200
.11
Travel and Dues
Registration Fees
200
Training Expense
700
.12
Printing, Advertising, Subscriptions
Printing
1,400
Advertising, Legal
200
.13
Communications
Postage
2,000
Telephone
200
.14
Insurance
24,900
.15
Contractual Services
T. V. Sewers
51000
Sewer Construction
7,000
.16
Utility Services
53,500
.21
Motor Vehicle Maintenance
4,400
.22
Motor Vehicle Supplies
2,750
.23
Repairs and Maintenance
9,000
.31
Supplies
5,900
Page 4
E. VILLAGE GARAGE
Account No. 23 -4.7.1
.01
Salaries
BUDGETED TO BE
SEWER DEPARTMENT
(Continued)
AMOUNT LEVIED
.33
Chlorine
15,000
.34
Aggregates
6,000
.35
Materials
19,000
.36
Street Signs
600
.51
Motor Vehicles
6,500
.52
Equipment
50.
.14
Waste Treatment Plant- -Misc.
7,500
.15
Backhoe (2)
4,250
.16
Concrete Saw
960
.22
Radios
1,000
.23
Root Cutter
11000
.61
Equipment Rental
1,500
.62
Occupancy
6,000
.74
Depreciation
27,000
.99
Miscellaneous (Safety Fund)
500
TOTAL SEWER DEPARTMENT
$467,685 - 0 -
E. VILLAGE GARAGE
Account No. 23 -4.7.1
.01
Salaries
31,628
.02
Overtime
3,000
.05
Benefits
1,933
.11
Health and Hospitalization
1,600
.06
Professional Services
50
.07
Apparel
140
.11
Travel and Dues
200
.12
Printing, Subscriptions, Advertising
50.
.14
Insurance
2,000
.15
Contractual Services
100
.16
Utility Services
1,470
.22
Motor Vehicle Supplies
250
.23
Repairs and Maintenance
3,000
.31
Supplies
35,000
.35
Materials
500
.52
Equipment
1,500
.99
Miscellaneous (Safety Fund)
200
TOTAL GARAGE
$80,688 - 0 -
F. YOUTHBOUND
Account Number 16
.01
Salaries
$11,605
.05
Benefits
Health and Hospitalization
1,933
.11
Travel, Training, Dues
3,140
.12
Printing, Subscriptions, Advertising
300
.14
Insurance
750
.21
Motor Vehicle Maintenance
1,500
.22
Motor Vehicle Supplies
2,583
.23
Repairs and Maintenance
400
Page 5
YOUTHBOUND (Continued)
.31 Supplies
.52 Equipment
TOTAL YOUTHBOUND
BUDGETED TO BE
AMOUNT LEVIED
$ 6,440
1,500
$ 30;151 - 0 -
Page 6
BUDGETED
AMOUNT
II. SPECIAL TAX FUNDS
A. STREET AND BRIDGE
Account Numbers 20 -411 through 419
.01
Salaries
$104,758
.02
Overtime
12,650
.04
Part Time
7,500
.05
Benefits
Health and Hospitalization
6,476
.06
Professional Services
Medical Services
300
.07
Apparel
Uniforms
400
Foul Weather Gear
100
.11
Travel and Dues
Travel Expense
250
Dues
600
.12
Printing, Advertising, Subscript-
ions
Printing
1,000
Advertising, Legal
300
Periodicals
100
.13
Communications
Postage
11000
Radio Service
300
.14
Insurance
26,250
.15
Contractual Services
Street Cleaning
175
Drainage Structures
4,000
Street Lights & Traffic
Signals
5,125
Curb Replacement
5,475
Safety Sidewalks
5,000
50/50 Sidewalk Replacement
4,000
Tree Removal
9,000
Tree Planting
3,275
.16
Utility Services
28,000
.21
Motor Vehicle Maintenance
Truck Maintenance
15,000
Street Sweeper Maintenance
4,500
.22
Motor Vehicle Supplies
5,200
.23
Repairs and Maintenance
26,116
.31
Supplies
4,050
.32
Salt
14,000
.34
Aggregates
25,900
.35
Materials
26,091
.36
Street Signs
6,500
.51
Motor Vehicles
6,500
.52
Equipment
Concrete Saw
960
Snow Plow Hitches
1,750
Hydraulic Kit for Paver
1,500
Highlift Working Bucket
7,000
TO BE
LEVIED
$ 95,000
10,000
15,000
9,000
15,000
Page 7
� r
BUDGETED
AMOUNT
STREET AND BRIDGE (Continued)
.61 Equipment Rental 575
.99 Miscellaneous (Safety Fund) 3,000
TOTAL STREET AND BRIDGE $374,676
B. EMERGENCY SERVICES AND DISASTER AGENCY
Account Number 13
.11
Travel and Dues
300
.13
Communications
500
.14
Insurance
550
.15
Contractual Services
300
.21
Motor Vehicle Maintenance
300
.23
Repairs and Maintenance
300
.31
Supplies
200
.52
Equipment
5,000
Principal and Interest,
TOTAL EMERGENCY SERVICES AND
142,125
Miscellaneous Bond Fees
DISASTER AGENCY
$ 7,450
C. ILLINOIS MUNICIPAL RETIREMENT FUND
Account Number 12
Village's Contribution $125,000
TOTAL I. M. R. F. $125,000
D. BOND AND INTEREST FUND
Account Number 79
General Obligation - -Sewer Improvement
Principal and Interest,
1960
$ 48,600
Principal and Interest,
1973
73,313
General Obligation -- Sewage
Treatment
Plant
Principal and Interest,
1973
162,625
Village.Library Bonds, 1969
Issue
Principal and Interest
103,000
General Obligation - -Land Acquisition
Principal and Interest,
1974
142,125
Miscellaneous Bond Fees
2,000
TOTAL BOND AND INTEREST FUND $531,663
E. POLICE PENSION FUND
Account Number 42
Village's Contribution $124,000
TOTAL POLICE PENSION FUND $124,000
TO BE
LEVIED
$144,000
200
300
400
200
200
200
100
3,400
$5,000
$125,000
$125,000
$ 48,600
73,313
162,625
103,000
142,125
- 0 -
$529,663
$ 85,000
$ 85,000
Page 8
BUDGETED TO BE
AMOUNT LEVIED
F. PUBLIC BENEFIT FUND
Account Number 14
Payment of Public Benefits $ 19,000 $ 81000
TOTAL PUBLIC BENEFIT FUND $ 19,000 $ 8,000
G. INSTALLMENT PURCHASE CONTRACT
Account Number 27
Yous Property Installment Payment
$
3,281
$
3,281
TOTAL INSTALLMENT PURCHASE CONTRACT
$
3,281
$
3,281
H. VILLAGE LIBRARY FUND
Account Number 60 -601
.01 -1
Salaries, Professional
$81,080
80,000
.01 -2
Salaries, Non - Professional 99,477
99,000
.05
Benefits
3,000
- 0 -
.06
Professional Services
3,000
- 0 -
.11
Travel and Dues
4,000
- 0 -
.12
Printing, Subscriptions,
Advertising 1,000
- 0 -
.13
Communications
3,400
- 0 -
.14
Insurance
4,790
- 0 -
.15
Contractual Services
5,803
- 0 -
.16
Utility Services
250
- 0 -
.23
Repairs and Maintenance
22,000
20,000
.31
Supplies
11,000
10,000
.40
Books
76,000
75,000
.41
Periodicals
12,000
10,000
.42
Audio - Visual
15,000
11,000
.43
Binding
2,000
- 0 -
.99
Miscellaneous
21,000
20,000
.99 -A
Computer Service
1,500
.99 -B
Working Cash Fund
11000
TOTAL
LIBRARY FUND
$367,300
$325,000
I. MUNICIPAL AUDIT TAX FUND
Account Number 11
Village
CPA Services
$
8,000
$
8,000
Library
Audit
$
1,500
$
1,500
TOTAL
MUNICIPAL AUDIT TAX FUND
$
9,500
$
9,500
Page 9
MOTOR FUEL TAX EXPENDITURES FOR YEAR $344,500 - 0 -
K. SCAVENGER SERVICE
Account Number 26 -481
.14 Insurance $ 3,500
.15 Contractual Services 380,000 $245,000
.62 Interdepartmental Charges 6,000
.99 Miscellaneous 2,500
TOTAL SCAVENGER SERVICE $392,000 $245,000
L. REVENUE SHARING
Account Number 41
Underpass Renovation 8,500.. 0
TOTAL REVENUE SHARING $ 8,500 - 0
Page 10
BUDGETED TO BE
AMOUNT LEVIED
J. MOTOR FUEL TAX.PROJECTS
Account Number 40
MFT Street Maintenance Program
$104,000
Resurfacing Program
40,000
Street Overlayment -- Waukegan Road,
Orchard to Central
45,000
Street and Bridge Connection Between
Carlisle and Carriage Way
43,500
Hoffman Lane Relocation -- Property
Acquisition (Total.Estimated Price,
$85,000; $20,000 to Come From Com-
munity Development Funds)
65,000
Deerfield Road /Chestnut Street Inter-
section Widening
40,000
Deceleration Lane on Waukegan Road
South of North Avenue
7,000
MOTOR FUEL TAX EXPENDITURES FOR YEAR $344,500 - 0 -
K. SCAVENGER SERVICE
Account Number 26 -481
.14 Insurance $ 3,500
.15 Contractual Services 380,000 $245,000
.62 Interdepartmental Charges 6,000
.99 Miscellaneous 2,500
TOTAL SCAVENGER SERVICE $392,000 $245,000
L. REVENUE SHARING
Account Number 41
Underpass Renovation 8,500.. 0
TOTAL REVENUE SHARING $ 8,500 - 0
Page 10
SUMMARY OF TAX LEVIES
Section 2. That the Village Clerk is hereby directed to file with the
County Clerks of Lake and Cook Counties, Illinois, on or before the second
Tuesday in September, A. D., 1977, a copy of this ordinance duly certified
by said Village Clerk.
Section 3. That this ordinance shall be in full force and effect from
and after its passage and approval.
PASSED: This 15th day of August 1977.
AYES: SIX (6) NAYES: NONE (0) ABSENT: NONE (0)
APPROVED:
/""' 0-04
VILLAGE PRESIDENT pro tem
ATTEST:
VILLAGE CLERK
Page 11
BUDGETED
TO BE
AMOUNT
LEVIED
I. GENERAL CORPORATE FUND
A.
Administrative Department
$544,865
- 0 -
B.
Police Department
1,094,734
$390,000
C.
Water Department
598,300
- 0 -
D.
Sewer Department
467,685
- 0 -
E.
Village Garage
80,688
- 0 -
F.
Youthbound
30,151
- 0 -
Sub Total
$2,816,423
$390,000
II. SPECIAL
TAX FUNDS
A.
Street and Bridge
$ 374,676
$144,000
B.
Emergency Services and Disaster Agency
7,450
5,000
C.
Illinois Municipal Retirement Fund
125,000
125,000
D.
Bond and Interest Fund
531,663
529,663
E.
Police Pension Fund
124,000
85,000
F.
Public Benefit Fund
19,000
8,000
G.
Installment Purchase Contract
3,281
3,281
H.
Village Library Fund
367,300
325,000
I.
Municipal Audit Tax Fund
9,500
9,500
J.
Motor Fuel Tax Projects
344,500
- 0 -
K.
Scavenger Service
392,000
245,000
L.
Revenue Sharing
8,500
- 0 -
Sub Total
$2,306,870
$1,479,444
TOTAL
$5,123,293
$1,869,444
TOTAL AMOUNT LEVIED
$1,869,444
Section 2. That the Village Clerk is hereby directed to file with the
County Clerks of Lake and Cook Counties, Illinois, on or before the second
Tuesday in September, A. D., 1977, a copy of this ordinance duly certified
by said Village Clerk.
Section 3. That this ordinance shall be in full force and effect from
and after its passage and approval.
PASSED: This 15th day of August 1977.
AYES: SIX (6) NAYES: NONE (0) ABSENT: NONE (0)
APPROVED:
/""' 0-04
VILLAGE PRESIDENT pro tem
ATTEST:
VILLAGE CLERK
Page 11
STATE OF ILLINOIS )
COUNTIES OF LAKE AND COOK ) SS
VILLAGE OF DEERFIELD )
The undersigned hereby certifies that she is the duly
elected and acting Village Clerk of the Village of Deerfield,
Lake and Cook Counties, State of Illinois, and that the.fore-
going is a true and correct copy of the ordinance entitled "AN
ORDINANCE LEVYING TAXES FOR CORPORATE PURPOSES FOR THE CURRENT
FISCAL YEAR, COMMENCING ON THE FIRST DAY OF MAY 1977 AND ENDING
ON THE THIRTIETH DAY OF APRIL 1978; FOR THE VILLAGE OF DEERFIELD,
LAKE AND COOK COUNTIES, ILLINOIS ", passed by the Board of Trustees
of the said Village at a regular meeting thereof on the 15th day
of August, 1977, and now in full force and effect, all as appears
on the records and files of my office.
DATED: This 17th day of August, 1977.
n
Catherine B. Price
Village Clerk
SEAL