07/17/1950?
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-TulY 17t 1950s
A special meeting of the Presideat and Board of Trustees of the
Village of Deerfield was called to order at 8 P. Me for the purpose
of passing the Appropriation Ordinance for the fiscal year 1950-1951.
Roll call- Present- Trustee Banfield, Hirchsliff,, Maintzer and 17ilBone
Absent - Trustee King and Petersono
The following ordinance to appropriate monies for defraying all
expenses of the Village of Deerfield for the fiscal year beginning
May 19 1950nand ending on the 30th day of April, 1951, was read and
It was moved by Trustee Hincholiff and seconded by Trustee Banfleld
that this ordinance be passed.
Roll call resulted as follows* Yeas- Trustee 'banfield, Hincholiff,
Reintzer and Wilson, Nays- None* Motion carried.,
'APPROPRIATION ORDINANCE IFOOR THE VILLAGE OF -DEERFIELD
FOR THE FISCAL YEAR 1950-195I
Be it ordained by the president and Board' of Trustees of the Village of
• Deerfield, Lake County, Illinois, that:
Section 1. That the following sums of money, or as much thereof all may
be authorized by law, as may be needed or deemed necessary to defray all
expenses and liabilities of the, village and be and the same are hereby appropriated
for the corporate purposes and objects of said village hereinafter specifie(i for
the fiscal year commencing on the first day of May-, 1950, and ending on the
30th day of April. 1951.
GENERAL CORPORATION FUND
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14. Reserve for New Truck ...... . ........ . .............. . ........................ . .... 500.00
15. Contingent .................................... . . I ............................... . ...... . ......... 1,200.00
$ 39,475.00
Amount of
Appropriation
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A-ADMINrSTRATrON
$
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1,000.001
1. Village Clerk .........................................................................................
1,700.00'
2. Village Treasurer ... . ....................................................................
S. Village Collector ............................................................. t ..... I ............
500.00
4. Health Officer ................................................................. .........•...........
500.00
5 Corporate Council Fees ............... I ....................................................
600.00
6: Extra Legal Fees ..... ............................. . ...........................................
1,000.00
7. Auditing ........... ..................................................................... I ..............
200.00
I
8. Stationary & Supplies ........................ ...... * ... *** ......... . .....................
800.00
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9. Office Equipment .............................................................................
200.00
10. Printing & Publication ............. . .....................................................
150.00
11 li)surance
100.00,
: .. .................................. . ........................ .
12 Telephone
5
12 .00,
13. 'Election Expense ..................... . .......................................................
500.001
14. Fees on Bonded Indebtedness .•...•••.•.•..•.........•..•....•.••••..•.•...........••..
30.00 ,
15. Security Bond Premiums ...............................................................
1 4 0 00'i
16. Building Commissioners Fees . . ...... . .. . ........................................ :
2,600.00
2800.00
17. Repairs of Sewers & Septic Tanks ................................. . ...........
19. Rent of Village Hall ..........................................................................
750.00 1'
19. Sup't of Public Works ..................................................................
1,225.001
20. Reserve for Retirement Account ................................................
225.00
21. Retirement Fund Tax Deficit ......................................................
1,275.00
22. Contingent ................................. . ........ . ...............................................
750-00
23. Special Salaries-Special Assessments ..........................................
1,000.00
$
17,670.00
B-POLICE PROTECTION
24. Village Marshall ................................................................................ $
3,800.00;
21: Night Marshall ...................................... ................... . ....... . ........ . ...
3.700.00
26. Police Officer ................. . ............................................................... .
3:200.00
.
27. Extra Police ........................... . ............. . ................. . .. . . ...... . .... . ...
2,500.00
28. Insurance ... . .......... . ......... . ....... . ........................ . . ............................
160.00,
29. Telephone & Telegraph ................................................... . ............. .
250.00,
soGasoline & Oil ................................................... . .............................
1,500 00:
240:00
31: Police Radio ............................................................................... . .......
82. Repairs to Police Equipment ............................... . .........................
l�
450.00,
83. Reserve for new Police Car .....» .....................................................
500.00!
34. Contingent ................... . .....................................................................
1,350.00
$
17,650.00!
C-STREET LIGHTING
85. Current Ornamental Lights .......................................................... $
31000.00
36. Installation & Maintenance of:
(a) Street & alley Lights ................................................................
200.00,
(b) Ornamental Lights . . ............................................................. .
2,500.00
(c) Installation of New Lights .» .................................................
20,000.00
$
25,700.00
D-PLAYGROUNDS AND, RECREATION
87. Salaries and Wages ........................................... . .... . ... . ..................
200.00
38. Equipment, Materials, & Supplies ....................... . .................. . ..... .
200.00
$
400.00
E-SEWERAGE DISPOSAL FUND AND/OR GOVT WORK
39. Labor, Septic Tanks & Sewer Construction ...........__........_.....$
95,000-00
40. Materials ............................................................... . ...... ......................
40.000.00
41. Engineering Services . ....................................................... . ................
5,000.00
42. Legal Expense .................................................................................. .
5,000.00
$145,000.00
F-RETIREMENT FUND ......................................................... . ..................... $
3,200.00
C,- CONTINGENT ..................................................... . ... . ....... . ......... . ............ $
1,500.00
H --- CONSTRUCTION OF VILLAGE HALL ......................................... . ..... $
65,000.00
r-CONSTRUCTION OF VILLAGE GARAGE .............. ..............................$
10,000-00
J.-VILLAGE PLAN ................. ..................................................................... $
5,000.00
TOTAL APPROPRIATION FOR GENERAL CORPORATE FUND $291,120.00
ROAD AND BRIDGE FUND
1. Labor for Streets, Repairs ..................... . ....... ..............................$
4,000.00
2. Materials for Street Repairs ............ ...... »..._......._....._.....- - -------
750-00
S. Insurance for Equipment . . ........................ * ..... _._....__ . ......
150.00
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4. Equipment Storage ..._.-_._.....» .............. . ................ . ........ . .... . : ......
180.00
5. Repairs to Equipment ................................................................. . ...
750.00
6. Gasoline and Oil ...... . . . ........................... . ....................... . .............
300.00
17 Traffic Light Expense ........ . .............
160.00
8. Purchase of new Road & B,ii;;_'i�u ..............................
4,000.00
9. Superintendent of Public Works . ................................. . ...... . . ...
1,000.00
10. Contingent .............................................................................................
200.00
$
11,490.00
WATER DEPARTMENT FUND
1. Purchase of Water ........................ . .............................. . ................ $
21,000.00
2. Salary of Water Superintendent ................... . ................. ...........
2,000.00
3. Water Collector ........ . ..........•_.._....- ....
4. Labor for Repair of Hydrants, Water Pipes, Leaks, & Materials
2,000.00
6,100.00
5. Meter Installation ...... . ... . .............................. . ..............................
31900.00
6. Repairs of Equipment ..... . .... . . ................ ..... ......... ............. ......
400.00
7. Purchase of New Equipment ........................... ...............................
200.00
8. Rent of Village Hall ..... . .............................................................
750.00
.9. Auditing and Office Expense ............................................................
240.00
10. Gasoline & Oil ......................................... . .. f ..................... . ............
300.00
11. Stationary and Supplies ... . ......................................... . .................... .
475.00
12. Tapping Materials & Supplies ......................................................
300.00
13. Insurance . ......................... ........... . .....................................•...............
110.00
14. Reserve for New Truck ...... . ........ . .............. . ........................ . .... 500.00
15. Contingent .................................... . . I ............................... . ...... . ......... 1,200.00
$ 39,475.00
MOTOR FUEL TAX FUND
1. Labor ...................................................................... ..............................$ 6,000.00
2. Materiels ............................................................. ............................... 7,000.00 i
BONDED INDEBTEDNESS FUND $ 13,000.00
1. Payment of Maturing Bonds ......• ..................... ..............................$ 3,000.00
2. Interest on Bonds ................................................. ............................... 1,466.25
GENERAL CORPORATE FUNDS: $ 4,466.25
1. Administration Expenses ... ............................... ..............................E 17,670.00
• 2. Police Protection . 17,650.00
3. Street Lighting . . ............................................. ............................... 25,700.00
4. Playgrounds & Recreation ............................... ............................... 400.00
S. Sewerage Disposal Fund, and /or Government Works .............. 145,000.00
6. Retirement Fund 8,200.00
7.' Contingent Expenses • ...................................... _.. ..... .._ ... ................. 1,600.00
8. Construction of Village Hall .... .. ........ ... ............. : ................. .:.:..,.._ 65,000.00
9. Construction of Village Garage ....................... ............................... 10,000.00
10. Village Plan ......................................................... ............................... 5,000.00
TOTAL APPROPRIATIONS FOR GENERAL CORPORATE FUND_ $291,120.00
General Corporate Fund •$291,120.00
Road and Bridge Fund ................................................... ............................... 11,490.00
Water Department Fund ............... _ ... .. ............................................. .. ... ............ .39.475.00
Motor Fuel Tax Fund` .... ........ ..... .._ ...................... .......................................... 181000.00
Bonded Indebtedness Fund ............................................... ............................... 4,466.25
TOTAL APPROPRIATIONS ...... ..........................._... . ................... $359,651.25
Section 2. That the ordinance sball be effective upon its passage, approval
and publication required by law.
Passed this 17th day of July, 1950.
Ayes: 4. Nays: none
Approved this 17th day of July, 1950.
ANDREW G. BRADT
President of the Village of Deerfield
Attested and filed this 17th day of July, 1950.
CHESTER WESSLING, Village Clerk
MoTed, seconded and carried.to adjourn*
V111nge Clerk. sZbe,-5 of the Boarde
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