O-77-74ORDINANCE NO. 0 -77- 74
AN ORDINANCE REVISING AND SUPPLEMENTING THE ANNUAL
BUDGET FOR THE VILLAGE OF DEERFIELD FOR THE FISCAL
YEAR MAY 1, 1977 TO APRIL 30, 1978
WHEREAS, by Ordinance No. 0- 77 -23, adopted on April 18, 1977, the
President and Board of Trustees of the Village of Deerfield did adopt an
Annual Budget for the fiscal year from May 1, 1977 to April 30, 1978; and
WHEREAS, in order to advance its future street construction program,
the Village of Deerfield has found it necessary to engage in a land
acquisition program; and
WHEREAS, the above described unanticipated expenditure from the
General Fund was not provided for in the said Annual Budget; and
WHEREAS, it, therefore, becomes necessary to revise and supplement
said Annual Budget to provide for expenditures in addition to those pro-
vided for in said Annual Budget,
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 that portion of the Annual Budget for the Village
ONE: of Deerfield for the fiscal year beginning May 1, 1977
and ending April 30, 1978, pertaining to the General Fund
is hereby revised and supplemented by substituting the attached Budget
Summary and Account pages in lieu of the corresponding pages in the Annual
Budget heretofore adopted in accordance with the revised Revenue and Ex-
penditures sheets of said Budget, which pages are made a part of this
Ordinance.
SECTION That this ordinance shall be in full force and effect
TWO: from and after its passage and approval as provided by law.
AYES: Gavin, Heik'gr,.Marty, Swanson (4)
NAYS: None (0)
ABSENT: Blumenthal, Seidman (2)
PASSED this 21st day of November A.D., 1977.
APPROVED this 21st day of November A.D., 1977.
ATTEST:
VILLAGE CLERK
VILLAGE PRESIDE T
s
COMMUTER PARKING LOTS
1977 -78*
REVENUE:
General Fund Advance $10,000
Parking Lot Revenue:
Metered Parking 3,100
Permits 3,000
Total Available Revenue $16,100
EXPENDITURES:
Salaries
Insurance
Utility Services
Repairs and Maintenance
Supplies
Aggregates
Total Operating Expenditures
Parking Lot Construction
Total Expenditures
Return of General Fund Advance
*Six Months
$ 1,500
-0-
1,000
-0-
200
200
$ 2,900
10,000
$12,900
2,000
1978 -79
-0-
$6,100
5,900
$12,000
$ 3,400
500
1,800
500
500
500
$ 7,200
-0-
$7,200
4,000
1979 -80
-0-
$6,100
5,900
$12,000
$ 3,400
500
2,000
500
500
500
$ 7,400
-0-
$ 7,400
4,000
2
-• .,
q '
COMMUTER PARKING LOTS
1977 -78*
REVENUE:
General Fund Advance $10,000
Parking Lot Revenue:
Metered Parking 3,100
Permits 3,000
Total Available Revenue $16,100
EXPENDITURES:
Salaries
Insurance
Utility Services
Repairs and Maintenance
Supplies
Aggregates
Total Operating Expenditures
Parking Lot Construction
Total Expenditures
Return of General Fund Advance
*Six Months
$ 1,500
-0-
1,000
-0-
200
200
$ 2,900
10,000
$12,900
2,000
1978 -79
-0-
$6,100
5,900
$12,000
$ 3,400
500
1,800
500
500
500
$ 7,200
-0-
$7,200
4,000
1979 -80
-0-
$6,100
5,900
$12,000
$ 3,400
500
2,000
500
500
500
$ 7,400
-0-
$ 7,400
4,000
2