O-96-46COOK
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Office of the County Cler
David Orr, Cook County Clerk
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elections fax
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There were filed in my office on this date documents pertaining to the Tax
Year 19_q_�_ TAX LEVY for the following taxing district:
Township of:
❑Town Fund ❑General Assistance ❑Road and Bridge
Municipality: Villaae 0l Peer 4W
Park District:
Library District:
Fire Protection District:
Sanitary District:
Elem. School Dist. No.:
High School Dist. No.:
Community College No.:
Miscellaneous. - District: .
DOCUMENTS FILED ON THIS DATE:
IATAX LEVY DOCUMENT
E6LEVY ORDINANCE /RESOLUTION NO.:
CERTIFICATE OF COMPLIANCE WI H TRUTH IN TAXATION ACT
SIGNED BY PRESIDING OFFICER? ®Yes DNo
[]RESOLUTION /ORDINANCE FOR P.T.E.L.A. REDUCTION OF TAX LEVY
A OUNTS (No. ) /n
ABATEMENTS / MISC. DOCUMENTS: r�
David D. Orr
per . of Cook County, Illinois
a
,'ld3_t7 i•1U15td�1X� ��1
(Tax Extension Division)
118 N. Clark, Room 434, Chicago, IL 60602
Pn ted ,�1ea oAD01 C? date stamp
312.443.4707
312.443.4720
312.443.6434
ORDINANCE 0 -96 -46
AN ORDINANCE LEVYING TAXES FOR CORPORATE PURPOSES FOR THE CURRENT FISCAL YEAR,
COMMENCING ON THE FIRST DAY OF MAY, 1996, AND ENDING ON THE THIRTIETH DAY OF
APRIL, 1997, 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, 1996, and ending on the thirtieth day of April, 1997.
I. GENERAL CORPORATE FUND
A. ADMINISTRATIVE DEPARTMENT
Account No. 10 -1001
51111 Salaries $
51130 Overtime
51141 Part Time
Benefits:
51151 Health and Hospitalization
51153 College Tuition Reimbursement
51154 Miscellaneous
51160 Apparel
52110 Repairs & Maintenance
Travel, Training, Dues:
52121 Travel Expense
52122 Dues
52123 Publications
52124 Training Expense
Printing, Advertising, Subscriptions:
52131 Detales
52132 Legal Notices
52134 Printing
52135 Other
Communications:
52141 Telephone
52142 Postage
52143 Other
52156 Rental Property Repairs
52166 Utility Services
5231 Motor Vehicle Maintenance
5315 Insurance
Professional Services:
53161 Prosecution Services
53162 Traffic Engineering
53163 Engineering Services
53164 Appraisal
53165 Corporate Counsel
53168 Medical Exams
53169 Other
Contractual:
531733 Audit Fees
53173 Equipment Maintenance & Repair
BUDGETED TO BE
AMOUNT LEVIED
922,540 $ - 0 -
11,390
156,990
156,600
300
3,100
800
96,200
17,800
10,300
7,800
3,550
9,000
4,400
5,200
7,500
11,200
17,350
1,200
3,000
5,000
4,500
53,000
45,000
3,000
6,500
7,500
125,000
1,400
46,900
15,000
15,200
BUDGETED
TO BE
AMOUNT
LEVIED
A. ADMINISTRATIVE DEPARTMENT (Cont.)
53178
Computer Services
37,000
53179
Other
52,500
531890
Housing Assistance
15,000
531891
Senior Assistance, Park District
22,000
531822
Historical Society
15,000
54190
Petroleum Products
2,550
5424
Miscellaneous
58,750
54243
Dog Pound
4,000
5428
Materials
1,000
5431
Small Tools & Equipment
1,000
5434
Supplies
33,200
61110
Equipment:
PCs
7,000
Printer
1,600
Office Furniture
8,700
Miscellaneous Office Equipment
4,000
7317
Vehicle and Equipment Replacement
35,000
TOTAL ADMINISTRATIVE DEPARTMENT
$2,072,520
$ - 0 -
B. POLICE
DEPARTMENT
Account
Number 10 -6040 through 10 -6048
51111
Salaries
$2,735,950
$ - 0 -
51130
Overtime
94,130
51141
Part Time
88,910
Benefits:
5115
Health and Hospitalization
391,600
5115,3
College Tuition Reimbursements
6,400
51154
Miscellaneous
12,000
51160
Apparel
41,500
5211
Repairs and Maintenance
24,000
Travel, Training, Dues:
52121
Travel
9,300
52122
Dues
3,000
52123
Publications
2,560
52124
Training
24,000
Printing, Advertising:
52134
Printing
7,200
Communications:
52141
Telephone
19,000
52142
Postage
1,700
52143
Communication, Other
7,000
5231
Motor Vehicle Maintenance
33,000
5315
Insurance
130,000
Professional:
5316
Legal and Other
4,900
5317
Contractual Services
59,600
54190
Petroleum Products
33,500
5424
Advisory Boards
10,000
5434
Supplies
41,500
61110
Equipment:
2 Computers, Upgrades Printer
6,200
5 Radar Units
7,600
BUDGETED
AMOUNT
B. POLICE DEPARTMENT (Cont.)
10 Token Ring Cards $ 3,800
Lapse Video Player 1,200
Miscellaneous 3,900
621200 Vehicle and Equipment Replacement 150,000
TOTAL POLICE DEPARTMENT $3,953,450
C. WATER DEPARTMENT
Account Number 30 -2224 through 30 -2227
51111
Salaries
$ 325,920
51130
Overtime
43,340
51141
Part Time
15,730
Benefits:
5115
Health and Hospitalization
51,330
Apparel:
51160
Uniforms
1,800
5210
Equipment Rental
1,000
5211
Repairs and Maintenance
17,600
Travel, Training and Dues:
5212
Travel, Training
800
52122
Dues
100
52123
Publications
200
Printing and Advertising:
52134
Printing
2,500
Communications:
52141
Telephone
6,500
52142
Postage
2,400
52143
Other
600
5216
Utility Services
71,500
5221
Occupancy
20,000
5231
Motor Vehicle Maintenance
16,400
5315
Insurance
50,000
Professional Services:
53163
Engineering Services
6,500
53168
Medical Exams
200
53169
Other
6,000
Contractual Services
531730
Equipment Maintenance:
Valve Exercising Program
20,000
Leak Survey
8,000
Repairing Valves
2,000
Paint Fire Hydrants
8,000
Air Pump and Intake Fill Valve
1,000
Repair Broken Mains
5,000
Controls
5,500
Repairing Meters
1,000
Cathodic Protection
1,500
Miscellaneous
2,600
53178
Other
1,000
5419
Petroleum Products
5,900
TO BE
LEVIED
$ - 0 -
$ - 0 -
P
C. WATER DEPARTMENT (Cont.)
5424
Miscellaneous
5426
Chlorine
5427
Aggregates
5428
Materials
5431
Small Tools & Equipment
5432
Purchase of Water
5434
Supplies
61110
Equipment:
Apparel:
Water Meters
51160
Upgrade Master Control System
3,600
Pumping Station Improvements
Equipment Rental
Motor Controllers
5211
Dewatering Pump
127,000
Miscellaneous
7317
Vehicle & Equipment Replacement
5212
TOTAL WATER DEPARTMENT
D. SEWER DEPARTMENT
Account Number 21 -2328 through 21 -2331
BUDGETED TO BE
AMOUNT LEVIED
$ 5,200
1,000
19,000
61,000
400
1,700,000
2,500
25,000
22,000
20,000
5,000
2,000
2,040
23,000
$ - 0 -
$2,590,060 $ - 0 -
51111
Salaries
$638,400 $ - 0 -
51130
Overtime
25,570
51141
Part Time
16,360
Benefits:
5115
Health and Hospitalization
114,790
Apparel:
51160
Uniforms
3,600
5210
Equipment Rental
5,000
5211
Repairs and Maintenance
127,000
Travel, Training and Dues:
5212
Travel, Training
2,400
52122
Dues
50
52123
Publications
400
Printing and Advertising:
52134
Printing
450
5214
Communications
11,100
5216
Utility Services
165,900
5221
Occupancy
20,000
5231
Motor Vehicle Maintenance
14,600
5315
Insurance
85,000
Professional Services:
53163
Engineering Services
5,000
53168
Medical Exams
200
5317
Contractual Services:
Sludge Removal
30,000
TV Sewers
7,000
Emergency Repairs
5,000
Weather System Scanner
3,800
Computer Services
1,500
5419
Petroleum Products
12,400
5424
Miscellaneous
6,900
5426
Chlorine
5,000
5427
Aggregates
15,600
5428
Materials
29,000
5431
Small Tools and Equipment
1,700
5434
Supplies
33,100
BUDGETED
TO BE
AMOUNT
LEVIED
D.
SEWER DEPARTMENT (Cont.)
6111
Equipment:
Computer with Printer
$
3,000
$ - 0 -
Electrode Meter
2,500
Root Cutter
1,500
Miscellaneous
840
6212
Motor Vehicles
-0-
7316
Depreciation
102,500
7317
Vehicle and Equipment Replacement
33,000
TOTAL SEWER DEPARTMENT
$1,530,160
$ - 0
E.
VILLAGE
GARAGE
Account
Number 23 -2732
51111
Salaries
$
104,020
$ - 0 -
51130
Overtime
6,630
Benefits:
5115
Health and Hospitalization
1.8,340
51160
Apparel
500
5211
Repairs and Maintenance
6,000
5212
Travel, Training, Dues
700
5213
Printing and Advertising
400
5214
Communications
700
5315
Insurance
7,000
5216
Utility Services
1,600
5419
Petroleum Products
300
5424
Miscellaneous
400
5428
Materials
500
5431
Small Tools and Equipment
2,500
5434
Supplies
61,200
6111
Equipment- Welder and Drill Press
3,'000
7317
Vehicle and Equipment Replacement
2,000
TOTAL GARAGE
$
21.5,790
$ _ 0 _
F.
ENHANCED 911 FUND
Account
Number 17 -1439
52124
Training
$
1,500
$ - 0 -
531781
Contractual
84,500
6126
Equipment:
Dictaphone Prolog Recorder
1.6,000
2 Computers and Monitors
9,800
Token Ring Extender
5,000
Call Boxes
5,000
Three Chairs
2,000
TOTAL ENHANCED 911 FUND
$
123,800
$ - 0 -
G.
REPLACEMENT FUND
Account
Number.75 -7565
5211
Repairs and Maintenance
$
10,000
$ - 0 -
6111
Equipment:
Telephone System
60,000
BUDGETED
AMOUNT
G. REPLACEMENT FUND (cont.)
6212 Motor Vehicles: $
Administration 15,000
One Ton Truck 36,700
TOTAL REPLACEMENT FUND $ 121,700
H. INFRASTRUCTURE REPLACEMENT
Account Number 36 -3679
5316 Professional $ 85,000
5317 Contractual 656,000
TOTAL INFRASTRUCTURE REPLACEMENT $ 741,000
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
5212 Travel, Training, Dues
5213 Printing, Advertising
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
Dumping Fees
Computer Service
Railroad Station Maintenance
Weather Services
Weed Control
Snow Removal
Miscellaneous
$ 31.9, 480
51,660
28,040
57,110
- 0 -
1,800
5,100
57,300
1,800
4,300
4,000
500
27,000
32,800
65,000
EST
40,000
16,000
44,500
6,000
2,000
1,000
8,500
3,800
4,000
7,500
3,700
TO BE
LEVIED
R-
$ - 0 -
$ - 0 -
$ 200,000
20,000
10,000
20,000.
40,000
C. ILLINOIS MUNICIPAL RETIREMENT FUND
Account Number 12 -1707
Pension Expenditures - Village $ 41.0,000 $ 410,000
Pension Expenditures- Library 100,000 100,000
TOTAL I.M.R.F. $ 51.0,000 $ 510,000
D. F.I.C.A. FUND
Account Number 12 -1707
F.I.C.A. Employer Expenditures- Village $ 3= 10,000 $ 330,000
F.I.C.A. Employer Expenditures- Library 70,000 70,000
TOTAL F.I.C.A. $ 400,000 $ 400,000
E. DEBT SERVICE (Bond & Interest Fund)
Account Number 79 -7968
Refunding Corporate Purpose- Series 1993 $1,367,155 $1,367,155
Miscellaneous Bond Fees 2,500 - 0 -
TOTAL DEBT SERVICE FUND $1,369,655 $1,367,155
BUDGETED
TO BE
AMOUNT
LEVIED
A. STREET
AND BRIDGE (cont'd.)
5419
Petroleum Products
$ 10,700
$
5424
Miscellaneous
6,200
5425
Salt
50,000
5427
Aggregates
51,000
5428
Materials
62,850
40,000
5429
Street Signs
4,000
5431
Small Tools & Equipment
1,100
5434
Supplies
12,300
6111
Equipment:
Air Hammer and Drill
840
Miscellaneous
800
7317
Vehicle and Equipment Replacement
70,000
TOTAL STREET AND BRIDGE
$1,062,780
$ 330,000
B. EMERGENCY
SERVICES AND DISASTER AGENCY
Account
Number 13 -5108
5211
Repairs and Maintenance
$ - 0 -
$ - 0 -
5212
Travel, Training and Dues
250
5214
Communications
1,800
5216
Utility Services
600
5231
Motor Vehicle Maintenance
500
5315
Insurance
600
5317
Contractual
1,400
5419
Petroleum Products
- 0 -
5434
Supplies
500
6111
Equipment
- 0 -
TOTAL EMERGENCY SERVICES &
$ 5,650
$ - 0 -
DISASTER AGENCY
C. ILLINOIS MUNICIPAL RETIREMENT FUND
Account Number 12 -1707
Pension Expenditures - Village $ 41.0,000 $ 410,000
Pension Expenditures- Library 100,000 100,000
TOTAL I.M.R.F. $ 51.0,000 $ 510,000
D. F.I.C.A. FUND
Account Number 12 -1707
F.I.C.A. Employer Expenditures- Village $ 3= 10,000 $ 330,000
F.I.C.A. Employer Expenditures- Library 70,000 70,000
TOTAL F.I.C.A. $ 400,000 $ 400,000
E. DEBT SERVICE (Bond & Interest Fund)
Account Number 79 -7968
Refunding Corporate Purpose- Series 1993 $1,367,155 $1,367,155
Miscellaneous Bond Fees 2,500 - 0 -
TOTAL DEBT SERVICE FUND $1,369,655 $1,367,155
BUDGETED TO BE
AMOUNT LEVIED
F. POLICE PENSION FUND
Account Number 42 -6851
Pension Expenditures $ 405,830 $ 240,000
TOTAL POLICE PENSION FUND $ 405,830 $ 240,000
G. VILLAGE LIBRARY FUND
Account Number 60 -9090
5111
Salaries, Professional
$ 382,721
$ 303,987
5114
Salaries, Non - Professional
441,240
393,000
5115
Benefits
64,965
40,000
5212
Education, Travel, Dues, etc.
7,800
- 0 -
5213
Printing
9,000
- 0 -
5214
Communication
9,700
- 0 -
5215
Insurance
21,885
20,000
5216
Professional Services
5,000
- 0 -
5217
Contractual
Equipment Rental, Maintenance &
Xerox 20,600
19,000
Special Library Programs
8,500
3,000
Data Base
3,000
1,500
Cataloging Service
5,000
- 0 -
5218
Utilities
1,500
- 0 -
5221
Repairs, Maintenance of Buildings
and Equipment
115,000
110,000
5221
Binding
3,600
- 0 -
5224
Miscellaneous
1,500
- 0 -
5324
Supplies (Library and Office)
20,000
19,000
5324
Periodicals
38,500
30,000
5324
Books
11.8,630
110,000
5324
Audio- Visual
23,000
20,000
5411
New Equipment
1.11000
10,000
5415
Improvements -Other Than Bldgs.
33,846
30,000
Sub Total
$1,345,987
$1,109,487
Automation Project
107,846
100,000
Remodeling Project
252,154
- 0 -
TOTAL LIBRARY FUND
$1,705,987
$1,209,487
H. MOTOR
FUEL TAX PROJECTS
Account Number 40 -4050
MFT Street
Maintenance Program
$ 2_0,000
$ - 0 -
Street
Resurfacing & Renovation Program
11.6,000
Traffic
Signals
225,000
TOTAL MOTOR FUEL TAX FUND
$ 571,000
$ - 0 -
BUDGETED
AMOUNT
I. SCAVENGER SERVICE
LOTS -OPEN
Account
Number 26 -2837
Number 28 -2534
5111
Salaries
$ 41,400
5113
Overtime
1.1,080
5115
Benefits
3,510
5211
Repairs and.Maintenance
1.7,200
5221
Occupancy
20,000
5231
Motor Vehicle Maintenance
5,000
5315
Insurance
1,490
5317
Contractual Services
940,000
5412
Supplies
100
5419
Petroleum Products
1,500
7232
Miscellaneous
3,200
7317
Vehicle & Equipment Replacement
1.2,650
TOTAL SCAVENGER SERVICE $1,057,130
J. PARKING
LOTS -OPEN
Account Number 28 -2533
Account
Number 28 -2534
Salaries
51111
Salaries
$ 8,490
5115
Benefits
1,020
5215
Insurance
510
5218
Utilities
4,000
5221
Repairs and Maintenance
2,000
5222
Property Rental
7,500
5317
Contractual
7,700
5324
Supplies
500
5327
Aggregates
200
5328
Materials
800
5424
Miscellaneous
200
6111
Equipment
2,000
X5_74,220
Railroad Station Maintenance
50,000
TOTAL PARKING LOTS OPEN $ 84,920
K. COMMUTER PARKING LOTS - RESIDENT
Account Number 28 -2533
51111
Salaries
$ 81180
5115
Benefits
900
5215
Insurance
440
5218
Utilities
4,000
5221
Repairs and Maintenance
500
53178
Contractual
7,700
5324
Supplies
400
5327
Aggregates
100
5328
Materials
1,000
5411
Equipment
1,000
Railroad Station Maintenance
50,000
TOTAL COMMUTER PARKING LOTS -
RESIDENT
X5_74,220
TO BE
LEVIED
725,000
$ 725,000
$ - 0 -
$ - 0 -
$ - 0 -
$ - 0 -
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. 1996, 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: December 16, 1996
AYES: Ehlers, NAYS: None (0). ABSENT: Swartz (1)
Heuberger,
Rosenthb.l, Seidman, Sw nson (5)
ATTEST: APPROVE
Village Clerk Village President
1996
SUMMARY OF TAX LEVIES
BUDGETED
TO BE
AMOUNT
LEVIED
I. GENERAL CORPORATE FUND
A.
Administration Department
$2,072,520
$
B.
Police Department
3,953,450
C.
Water Department
2,590,060
D.
Sewer Department
1,530,160
E.
Village Garage
23.5,790
F.
Enhanced 911 Fund
123,800
G.
Replacement Fund
121,700
H.
Infrastructure Replacement
741,000
SUBTOTAL
$11,348,480
II. SPECIAL TAX FUNDS
A.
Street and Bridge
.$ 1,062,780
$
330,000
B.
Emergency Services & Disaster Agency
5,650
- 0 -
C.
Illinois Municipal Retirement Fund
510,000
510,000
D.
F.I.C.A. Fund
400,000
400,000
E.
Bond and Interest Fund
1,369,655
1,367,155
F.
Police Pension Fund
405,830
240,000
G.
Village Library Fund
1,705,987
1,209,487
H.
Motor Fuel Tax Fund
571,000
I.
Scavenger Service
1,057,130
725,000
J.
Parking Lots -Open
84,920
K.
Commuter Parking Lots - Resident
74,220
SUBTOTAL
$ 7,247,172
$
4,781,642
TOTAL
$18,595,652
TOTAL AMOUNT LEVIED
$
4,781,642
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. 1996, 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: December 16, 1996
AYES: Ehlers, NAYS: None (0). ABSENT: Swartz (1)
Heuberger,
Rosenthb.l, Seidman, Sw nson (5)
ATTEST: APPROVE
Village Clerk Village President