O-92-50ORDINANCE 0 -92 -50
AN ORDINANCE LEVYING TAXES FOR CORPORATE PURPOSES FOR THE CURRENT FISCAL YEAR,
COMMENCING ON THE FIRST DAY OF MAY, 1992, AND ENDING ON THE THIRTIETH DAY OF
APRIL, 1993, 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, 1992, and ending on the thirtieth day of April, 1993..
BUDGETED TO BE
I. GENERAL CORPORATE FUND AMOUNT LEVIED
A. ADMINISTRATIVE DEPARTMENT
Account No. 10 -1001
51111
Salaries $
806,100 $ - 0-
51130
Overtime
7,590
51141
Part Time
90,480
Benefits
51151
Health and Hospitalization
130,410
51153
College Tuition Reimbursement
2,200
51160
Apparel
600
52110
Repairs '& Maintenance
24,200
Travel, Training, Dues
52121
Travel Expense
8,100
52122
Dues
4,800
52123
Publications
5,800
52124
_ Training Expense
2,550
Printing, Advertising, Subscription
52131
Detales
9,000
52132
Legal Notices
3,300
52134
Printing
4,300
52135
Other
4,000
Communications
52141
Telephone
9,300
52142
Postage
16,200
52143
Other
1,150
52156
Rental Property Repairs
4,000
52166
Utility Services
4,300
5231
Motor Vehicle Maintenance
8,100
5315
Insurance
61,000
Professional Services
53161
Prosecution Services
43,000
53162
Traffic Engineering
3,000
53163
Engineering Services
14,000
ORDINANCE NO. 0 -92 -50
BUDGETED TO BE
AMOUNT LEVIED
A. ADMINISTRATIVE DEPARTMENT (Cont.)
53164
Appraisal
5,000
53167
Corporate Counsel
90,000
53168
Medical Exams
2,500
53169
Other
22,500
5115
Contractual
292,500
53173
Equipment Maintenance & Repair
15,100
53178
Computer Services
26,000
53179
Other
33,000
531890
Housing Assistance
15,000
531891
Senior Assistance, Park District
18,000
54190
Petroleum Products
2,800
5424
Miscellaneous
30,800
54243
Dog Pound
.4,000
5428
Materials
1,000
5431
Small Tools & Equipment
1,000
5434
Supplies
37,600
61110
Equipment
52141
Two Computers and Printers
3,200
Video Recorder and VCR
1,500
Printer
1,000
Miscellaneous Office Equipment
5,800
6212
Motor Vehicles
9,000
6415
Improvements Other Than Buildings
-0-
TOTAL ADMINISTRATIVE DEPARTMENT $1,592,280
B. POLICE DEPARTMENT
Account Number 10 -6040 through 10 -6048
51111
Salaries
$2,190,610
51130
Overtime
96,960
51141
Part Time
69,060
Benefits
5115
Health & Hospitalization
292,500
51153
College Tuition Reimbursements
13,910
51160
Apparel
33,100
5211
Repairs and Maintenance
19,000
Travel, Training, Dues
52121
Travel
10,600
52122
Dues
2,120
52123
Publications
1,575
52124
Training
23,380
Printing, Advertising
52134
Printing
6,000
52135
Advertising
400
Communications
52141
Telephone
16,000
S 0
$ - 0
ORDINANCE NO. 0 -92 -50
BUDGETED TO BE
AMOUNT LEVIED
B. POLICE
DEPARTMENT (Cont.)
52142
Postage
$ 1,600
52143
Communication, Other
2,500
5231
Motor Vehicle Maintenance
39,300
5315
Insurance
128,000
Professional
5316
Legal and Other
3,000
5316
Medical
4,000
5317
Contractual Services
68,520
54190
Petroleum Products
40,800
5424
Advisory Boards
9,800
5434
Supplies
31,900
61110
Equipment
Photocopier
6,000
Computer Printers
1,500
Computer Workstations
9,000
Laser Speed Detection, Device
4,500
Office Chairs
1,000
Camera Equipment
750
621200
Motor Vehicles
24,000
TOTAL POLICE DEPARTMENT
$3,151,385 $ - 0 -
C. WATER
DEPARTMENT
Account
Number 30 -2224 through 30 -2227
51111
Salaries
291,940
51130
Overtime
35,160
51141
Part Time
9,420
Benefits
5115
Health and Hospitalization
39,460
Apparel
51160
Uniforms
1,800
5210
Equipment Rental
1,000
5211
Repairs and Maintenance
16,300
Travel, Training and Dues
5212
Travel, Training
1,000
52122
Dues
100
52123
Publications
200
Printing and Advertising
52134
Printing
1,700
Communications
52141
Telephone
6,500
52142
Postage
2,000
52143
Other
900
5216
Utility Services
76,400
5221
Occupancy
18,000
ORDINANCE NO. 0 -92 -50
BUDGETED
AMOUNT
C. WATER DEPARTMENT (Cont.)
5231
Motor Vehicle Maintenance
15,900
5315
Insurance
45,500
Salaries
Professional Services
51130
53163
Engineering Services
26,500
53168
Medical Exams
200
53169
Other
5,500
Health and Hospitalization
Contractual Services
5317
Equipment Maintenance
51160
Uniforms
Valve.Exercising Program
20,000
Equipment Rental
Leak Survey
8,000
Repairs and Maintenance
Repairing Valves
2,000
Repair Fire Hydrants
7,500
Air Pump and Intake Fill Valve
2,200
Repair Broken Mains
5,000
Controls
2,000
Repairing Meters
2,200
Alarm Stations
2,500
Cathodic Protection
1,500
Miscellaneous
2,200
5419
Petroleum Products
5,600
5424
Miscellaneous
4,600
5426
Chlorine
1,000
5427
Aggregates
14,000
5428
Materials
51,000
5431
Small Tools & Equipment
400
5432
Purchase of Water
1,610,000
5434
Supplies
1,800
61110
Equipment
2 Soft Start Motor Controls
9,000
Water Meters
16,500
7317
Vehicle & Equipment Replacement
33,750
TOTAL WATER DEPARTMENT $2,398,230
D. SEWER
DEPARTMENT
Account Number 21 -2328 through 21 -2331
51111
Salaries
$562,180
51130
Overtime
19,920
51141
Part Time
9,970
Benefits
5115
Health and Hospitalization
88,680
Apparel
51160
Uniforms
3,200
5210
Equipment Rental
6,500
5211
Repairs and Maintenance
229,100
TO BE
LEVIED
$ - 0 -
$ - 0 -
i
ORDINANCE NO. 0 -92 -50
BUDGETED
AMOUNT
D. SEWER DEPARTMENT (Cont.)
E. VILLAGE GARAGE
Account Number 23 -2732
51111
Travel, Training and Dues
$ 89,930
5212
Travel, Training
2,000
52122
Dues
50
52123
Publications
400
51160
Printing and Advertising
500
52134
Printing
600
5214
Communications
11,100
5216
Utility Services
179,500
5221
Occupancy
18,000
5231
Motor Vehicle Maintenance
15,100
5315
Insurance
86,000
53169
Professional Services
50
53163
Engineering Services
12,000
53168
Medical Exams
200
5317
Contractual Services
Sludge Removal
34,500
TV Sewers
5,000
Emergency Repairs
5,000
Miscellaneous
3,600
5419
Petroleum Products
12,400
5424
Miscellaneous
5,500
5426
Chlorine
8,000
5427
Aggregates
13,000
5428
Materials
26,000
5429
Street Signs
-0-
5431•
Small Tools and Equipment
1,500
5434
Supplies
35,500
6111
Equipment
Two Root Cutters
3,000
Upgrade Pump Control System
25,000
Welder /Generator
1,800
7316
Depreciation
68,500
7317
Vehicle and Equipment Replacement
32,980
TOTAL SEWER DEPARTMENT
$1,525,780
E. VILLAGE GARAGE
Account Number 23 -2732
51111
Salaries
$ 89,930
51130
Overtime
7,280
Benefits
5115
Health and Hospitalization
13,940
51160
Apparel
500
5211
Repairs and Maintenance
4,000
5212
Travel, Training, Dues
700
5213
Printing and Advertising
400
5214
Communications
1,400
5315
Insurance
7,200
5216
Utility Services
1,300
53169
Professional Services
50
TO BE
LEVIED
$ - 0 -
$ - 0 -
ORDINANCE NO. 0 -92 -50
BUDGETED
TO BE
AMOUNT
LEVIED
E.
VILLAGE
GARAGE (Cont.)
5317
Contractual
50
5419
Petroleum Products
300
5424
Miscellaneous
200
5428
Materials
600
5431
Small Tools and Equipment
1,500
5434
Supplies
59,200
6111
Equipment
Miscellaneous
300
7317
Vehicle and Equipment Replacement
- 0 -
TOTAL GARAGE
$
188,850
$ - 0 -
F.
ENHANCED 911 FUND
Account
Number 17 -1439
531781
Contractual
$
29,640
$ - 0 -
6126
Equipment
E 9 -1 -1 Computer Hardware
15,000
TOTAL ENHANCED 911 FUND
S
44,640
$ - 0 -
G.
REPLACEMENT FUND
Account
Number 75 -7565
5211
Repairs and Maintenance
$
10,000
6111
Equipment
Snow Blower
$
60,000
$ - 0 -
Tar Machine
26,000
6212
Motor Vehicles
1 Ton Dump Truck
26,000
1/2 Ton Dump
24,000
5 Ton Dump Truck
53,000
TOTAL REPLACEMENT FUND
$
199,000
$ - 0 -
H.
INFRASTRUCTURE
REPLACEMENT
Account
Number 36 -3679
5316
Professional
$
119,000
$ - 0 -
5317
Contractual
1,385,000
TOTAL INFRASTRUCTURE REPLACEMENT
$ 1,504,000
$ - 0 -
ORDINANCE NO. 0 -92 -50
II. SPECIAL TAX FUNDS
A. STREET AND BRIDGE
Account Number 20 -2110 through 20 -2123
51111
Salaries $
51130
Overtime
51141
Part Time
Benefits
5115
Health and Hospitalization
51153
College Tuition Reimbursement
Apparel
5116
Uniforms
5210
Equipment Rental
5211
Repairs and Maintenance
Travel, Training, Dues
5212
Travel Expense
Printing, Advertising
52134
Printing
Communications
5214
Postage and Other
52141
Telephone
5216
Utility Services
5231
Motor Vehicle Maintenance
5315
Insurance
Professional Services
53168
Medical Exams
Contractual Services
Street Lights and Signals
Thermal Plastic Marking
Tree Removal
Tree Planting
Sidewalk & Curb Replacement (50/50)
Dumping Fees
Clean Bridge
Railroad Station Maintenance
Tree Trimming Program
Miscellaneous
5419
Petroleum Products
5424
Miscellaneous
5425
Salt
5427
Aggregates
5428
Materials
5429
Street Signs
5431
Small Tools 6 Equipment
5434
Supplies
6111
Equipment
Lawn Mower
Chain Saw
BUDGETED
AMOUNT
287,510
37,920
20,920
44,910
- 0 -
1,800
6,000
51,300
1,800
4,200
3,300
1,200
58,000
33,340
58,500
300
28,000
10,000
10,000
9,000
52,000
2,500
2,200
8,480
20,000
5,600
14,850
3,200
44,000
42,900
66,950
7,000
1,300
9,800
600
500
TO BE
LEVIED
$ 200,000
20,000
10,000
20,000
40,000
40,000
ORDINANCE NO. 0 -92 -50
C. ILLINOIS MUNICIPAL RETIREMENT FUND
Account Number 12 -1707
Pension Expenditures - Village $ 350,37.0 $350,000
Pension Expenditures- Library 79,630 75,000
TOTAL I.M.R.F $ 430,000 $425,000
D. F.I.C.A. FUND
Account Number 12 -1707
F.I.C.A. Employer Expenditures - Village $ 266,000 $266,000
F.I.C.A. Employer Expenditures- Library 59,000 59,000
TOTAL F.I.C.A. $ 325,000 $325,000
BUDGETED
TO BE
AMOUNT
LEVIED
A. STREET
AND BRIDGE (Cont.)
6212
Motor Vehicles
- 0 -
7317
Vehicle and Equipment Replacement
59,470
TOTAL STREET AND BRIDGE
$1,009,350
$330,000
B. EMERGENCY SERVICES AND DISASTER AGENCY
Account
Number 13 -5108
5211
Repairs and Maintenance
$ 1,000
$ 500
5212
Travel, Training and Dues
700
600
5214
Communications
1,800
900
5216
Utility Services
100
100
5231
Motor Vehicle Maintenance
1,300
800
5315
Insurance
600
600
5317
Contractual
300
300
5419
Petroleum Products
200
200
5434
Supplies
500
500
6111
Equipment
Miscellaneous
11000
500
TOTAL EMERGENCY SERVICES &
$ 7,500
$5,000
DISASTER AGENCY
C. ILLINOIS MUNICIPAL RETIREMENT FUND
Account Number 12 -1707
Pension Expenditures - Village $ 350,37.0 $350,000
Pension Expenditures- Library 79,630 75,000
TOTAL I.M.R.F $ 430,000 $425,000
D. F.I.C.A. FUND
Account Number 12 -1707
F.I.C.A. Employer Expenditures - Village $ 266,000 $266,000
F.I.C.A. Employer Expenditures- Library 59,000 59,000
TOTAL F.I.C.A. $ 325,000 $325,000
ORDINANCE NO. 0 -92 -50
BUDGETED
AMOUNT
E. DEBT SERVICE (Bond & Interest Fund)
Account Number 79 -7968
General Obligation- Corporate Purpose (T.I.F.)
TO BE
LEVIED
F. POLICE PENSION FUND
Account Number 42 -6851
Pension Expenditures $ 296,000 $ 175,000
TOTAL POLICE PENSION FUND $ 296,000 $ 175,000
G. VILLAGE LIBRARY FUND
Account Number 60 -9090
5111
Principal and Interest, 9/30/82
89,250
89,250
General
Obligation- Corporate Purpose
5115
Benefits
48,625
Principal and Interest, 12/30/82
54,250
54,250
General
Obligation- Corporate Purpose
7,500
5214
Communication
Series 1986
1,124,512
1,124,512
General
Obligation- Corporate Purpose
Professional Services
5,000
5217
Series 1988
319,462
319,462
General
Obligation- Series 1991
367,500
367,500
Miscellaneous Bond Fees
5,000
-0-
2,300
TOTAL DEBT SERVICE FUND
$1,959,974
$1,954,974
F. POLICE PENSION FUND
Account Number 42 -6851
Pension Expenditures $ 296,000 $ 175,000
TOTAL POLICE PENSION FUND $ 296,000 $ 175,000
G. VILLAGE LIBRARY FUND
Account Number 60 -9090
5111
Salaries, Professional $
273,866
5114
Salaries, Non - Professional
387,565
5115
Benefits
48,625
5212
Education, Travel, Dues, etc.
5,500
5213
Printing
7,500
5214
Communication
11,700
5215
Insurance
19,400
5216
Professional Services
5,000
5217
Contractual
Equipment Rental, Maintenance & Xerox
13,000
Special Library Programs
3,500
Data Base
2,300
Cataloging Service
6,500
5218
Utilities
1,900
5221
Repairs, Maintenance of Buildings
and Equipment, Building Supplies
115,000
5221
Binding
2,500
5224
Miscellaneous
1,000
5324
Supplies (Library and Office)
22,000
5324
Periodicals
35,000
$ 235,694
325,000
30,000
0 -
0 -
0 -
16,000
- 0 -
9,000
3,000
1,500
0 -
0 -
50,000
0 -
0 -
20,000
15,000
ORDINANCE NO. 0 -92 -50
G. VILLAGE LIBRARY FUND (Cont.)
5324 Books
5324 Audio - Visual
5411 New Equipment
5415 Improvements -Other Than Bldgs.
Sub Total
Automation Project
TOTAL LIBRARY FUND
H. MUNICIPAL AUDIT TAX FUND
Account Number 11 -1206
Village CPA Services
Library Audit
TOTAL MUNICIPAL AUDIT TAX FUND
I. MOTOR FUEL TAX PROJECTS
Account Number 40 -4050
MFT Street Maintenance Program
Street Resurfacing & Renovation Program
Rehabilitation - Bridges
Traffic Signal
TOTAL MOTOR FUEL TAX FUND
J. SCAVENGER SERVICE
Account
Number 26 -2837
5111
Salaries
5113
Overtime
5115
Benefits
5211
Repairs and Maintenance
5213
Printing and Advertising
5221
Occupancy
5231
Motor Vehicle Maintenance
5315
Insurance
5317
Contractual Services
5412
Supplies ,
5419
Petroleum Products
7232
Miscellaneous
7317
Vehicle & Equipment Replacement
TOTAL SCAVENGER SERVICE
BUDGETED TO BE
AMOUNT LEVIED
96,000
86,000
20,000
18,000
8,000
8,000
80,000
42,000
$1,165,856
$ 859,194
94,605
85,000 .
$1,260,461
$ 944,194
$ 13,000 $ 13,000
1,000 1,000
$ 14,000 $ 14,000
$ 205,000 $ - 0 -
87,000
85,000
65,000
S 442,000 $ - 0 -
$ 21,320
9,880
2,470
9,000
1,500
18,000
3,400
350
1,543,420 725,000
100
1,400
2,000
12,000
$1,624,840 $725,000
ORDINANCE NO. 0 -92 -50
BUDGETED'
TO BE
AMOUNT
LEVIED
K. TRANSPORTATION PROGRAM
Account
Number 35 -4135
5213
Other Services
$ 200
5317
Contractual Services
5.000
$ - 0 -
TOTAL TRANSPORTATION PROGRAM
$ 5.200
$ - 0 -
L. PARKING
LOTS -OPEN
Account
Number 28 -2534
51111
Salaries
$ 4,890
$ - 0 -
5115
Benefits
640
5215
Insurance
290
5218
Utilities
4,000
5221
Repairs and Maintenance
1,500
5222
Property Rental
7,500 .
5317
Contractual
7,680
5324
Supplies
550
5327
Aggregates
200
5328
Materials
800
5411
Equipment
500
Railroad Station Maintenance
35,000
TOTAL PARKING LOTS OPEN
$ 63,550
$ - 0 -
M. COMMUTER PARKING LOTS- RESIDENT
Account
Number 28 -2533
51111
Salaries
$ 4,790
$ - 0 -
5115
Benefits
620
5215
Insurance
340
5218
Utilities
4,000
5221
Repairs and Maintenance
500
53178
Contractual
7,680
5324
Supplies
400
5327
Aggregates
100
5328
Materials
1,000
5411
Equipment
100
Railroad Station Maintenance
35,000
TOTAL COMMUTER PARKING LOTS -
RESIDENT
$ 54,530
$ - 0 -
ORDINANCE NO. 0 -92 -50
1992
SUMMARY OF TAX LEVIES
I. GENERAL CORPORATE FUND
BUDGETED
AMOUNT
A.
Administration Department
$1,592,280
B.
Police Department
3,151,385
C.
Water Department
2,398,230
D.
Sewer Department
1,525,780
E.
Village Garage
188,850
F.
Enhanced 911 Fund
44,640
G.
Replacement Fund
199,000
H.
Infrastructure Replacement
1,504,000
SUBTOTAL
II. SPECIAL TAX FUNDS
$10,604,165
A.
Street and Bridge
$1,009,350
B.
Emergency Services & Disaster Agency
7,500
C.
Illinois Municipal Retirement Fund
430,000
D.
F.I.C.A. Fund
325,000
E.
Bond and Interest Fund
1,959,974
F.
Police Pension Fund
296,000
G.
Village Library Fund
1,260,461
H.
Municipal Audit Tax Fund
14,000
I.
Motor Fuel Tax Fund
442,000
J.
Scavenger Service
1,624,840
K.
Transportation Program
5,200
L.
Parking Lots -Open
63,550
M.
Commuter Parking Lots - Resident
54,530
SUBTOTAL $ 7,492,405
TOTAL $18,096,570
TOTAL AMOUNT LEVIED
TO BE
LEVIED
$ 330,000
5,000
425,000
325,000
1,954,974
175,000
944,194
14,000
725,000
$ 4,898,168
$ 4,898,168
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 last
Tuesday in December, A.D. 1992, 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 7th day of December, 1992.
AYES: Ehlers, JAYS:
Marovitz, Rosenthal
Seidman, S anson (5)
ATTEST:
Village Clerk
None (0 ABSENT: Swartz (1)
APPROVED:
Village President
Property Tax Levy Comparison 1991 vs 1992
% of
Prior Year
1991
1992
Purpose
Actual
Proposed
General
0
0
Street
330,000
330,000
Emergency Services
5,000
S,000
LM.R.F.
385,000
425,000
F.LC.A.
285,000
325,000
Police Pension
160,000
175,000
Audit
13,500
14,000
Scavenger
725,000
725,000
Debt Service
2,246,863
1,954,974
Village Levies
4,150,363
3,953,974
Less abatements and reductions
968,300 _
814,250
% of
Prior Year
Property Tax Levy Comparison 1988 vs 1992
(Proposed)
1988 1989 1990 1991 1992
Purpose
General
0
0
0
0
0
Street
330,000
330,000
330,000
330,000
330,000
Emergency Services
5,000
5,000
5,000
5,000
5,000
LM.R.F.
190,000
280,000
350,000
385,000
425,000
F.L C.A.
200,000
210,000
260,000
285,000
325,000
Police Pension
150,000
150,000
150,000
160,000
175,000
Audit
12,000
12,500
12,500
13,500
14,000
Scavenger
545,000
605,000
725,000
725,000
725,000
Debt Service
1,772,343
1,822,600
1,822,451
2,246,863
1,954,974
Village Levies
3,204,343
3,415,100
3,654,951
4,150,363
3,953,974
Less abatements and reductions
346,263
297,525
588,150
968,300
814,250
1Yel Village Levy........ .........
... . .:8 ... _.
.3,1'17: 575:.:..
..;3s -0 ' 501 :...:.........
13� 82',063'::..:.
3... 3- -24.
Public Library'
- 722,017
814 493::
855;'187
856 479
:944, I44
Total Levy
3,580,097. :;
3,932,068
3;921,988..
4,038;542.. '
4,083,918
EA V
Tax Rate (per $IUD)
Debt Service
Other Village
Total Village
Village % of Property Tax Bill
(Based on the Village's
Major Taxing Area)
377,208,775 428,039,202 489,019,552 522,438,968 530,000,000
0.470
0.426
0.373
0.430 0.369
0.288
0.303
0.254
0.179 0.224
0.758
0.728
0.627
0.609 0.592
10.10%
9.80%
9.20%
8.98%
1992 Tax Debt Service Tax Levy With Abatements and Reductions
Bond Issue Levy
Corporate
Purposes 82
89,250
Corporate
Purposes 83
54,250
Corporate
Purpose 86
1,124,512
Corporate
Purpose 88
Corporate
Purpose 91
367,500
Debt Sernce Levy ......
1. � 974..
....... . ......
.......................... ... .. ....... . ... ...... . ..
Recommended Abatements
Personal Property
Replacement Tax 40,000
TIF (Lake Cook) 89,250
TIF (VC) 367,500
Interest Income 75,000
TIF Surplus Transfer 225,000
....................... ........ ....... . I .. ................. ... . ..................
.................. ........... ..
............
Total 'Abate
........... 79 750
Net Debt Service Levy 1,158,224
(after abatements)
Personal Property Tax
(automatic reduction) 17,500
........ ... 1. 40-7
Levy: .-
. . .. ..... .
..............................