O-001ES, /vw 1-a -1 •
455 -10 6/14/0 • '��
NO.1
AND 'ORDINANCE -;
BEING THE ANNUAL APPROPRIATION BILL OF THE
VILLAGE OF DEERFIELD FOR THE FISCAL YEAR
BEGINNING MAY 1, 1946 AND ENDING APRIL 30,
1947
Is
BE IT ORDAINED by the President and Board of Trustees of
the Village of Deerfield, Lake County, Illinois;
SECTION 1; That the following sums of money are deemed
necessary to defray all necessary expenses and liabilities of the
Village of Deerfield for the fiscal year beginning May 1, 1946
and ending April 30, 1947, and said sums are hereby appropriated
for the objects and purposes herein specified, viz;
GENERAL FUND
AMOUNT OF APPROP-
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RIATIONS
A. ADMINISTRATION EXPENSES
1.
President and Trustees
500.00 c
2.
Village Clerk y C
400-00
3.
Village Treasurer
850.00
4.
Village Collector
360.00
5.
Corporate Counsel Fees
600.00
6.
Extra Legal Expense
1,000.00
7.
Auditing
.250.00
8.
Stationery and Supplies
200.00
9.
Office Equipment
200.00
10.
Printing and Publications
300.UO
il.
Insurance
500:00
12.
Telephone and Telegraph
200.00
16.
Contingent
550.00
14.
Election Expenses
350.00
15.
Interest on Obligations
100.00
16.
Publishing Ordinances
200.00
17.
Surety Bond Premiums
225.00
18.
Building Commissioner
425.00
19.
Special Salaries - Special
Assessments
400.00
20.
Repairs to sewers and septic
tanks
21000.00
21.
Rent of Village Hall
450.00
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455 -10 6/14/
B. POLICE PROTECTION
22. Village Marshall
23. Night Marshall
24. Emergency Police
25. Insurance
26. Telephone and Telegraph
27. Gasoline and Oil
28. Purchase of New Police Car
29. Repairs to Police Equipment
30. Contingent
C. STREET LIGHTING
AMOUNT OF APPROP-
RIATIONS
I
31. Current - Ornamental Lights
32. Current - Traffic Lights
33. Installation and maintenance of:
(a) Street and Alley Lights
(b) Ornamental Lights
D. PLAYGROUND AND RECREATIONS
34. Salaries and Wages
35. Equipment, materials, and
supplies
E. SEWERAGE DISPOSAL FUND,and /or
GOVERNMENT WORK
36. Labor
37. Materials
38. Engineering Services
39. Legal Services
F. CONTINGENT
2,800.00
2,1,00.00
450.00
100.00
100.00
500.00
1,400.00
400.00
150.00
3,500.00
200.00
200.00
2,000.00
300.00
'300.00
45,000.00
20,000.00
5, 000.00
5,000.00
0 1 11500.00
TOTAL GENERAL CORPORATE FUND
APPROPRIATIONS - - - - -
ROAD AND BRIDGE FUND
1. Labor for Streets.. Repairs
2. Materials for Street Repairs
3. Insurance on Equipment
-2-
8,000000
6 5,900.00
$ 600.00
"I 75,000.00
6 1,500.00
101,060-.00
GU
0
3P$00.00 <3f606'5
600.00
150.00
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AMOUNT OF 'APPROP- '
RIATI ONS
4. Rent for Equipment '250.00
5. Repairs to Equipment 400.00
6. Gasoline & Oil 250.00
7. Traffic Light Expense 160.00
8. Purchase of new Road and. fridge
Equipment.. 1,200.00
9. Contingent 300.00
TOTAL ROAD .AND BRIDGE FUND - - - - �,._.. 6 • -
1. Labor' 4,000.00.
2. Materials 5,000.00
3.
TOTAL MOTOR FUEL TAX FUND- - - - - - - 9,000-00
BONDED INDEBTEDNESS FUND
1. Payment of Maturing Bonds 2,000.00
2. Interest on Bonds 1,976.25
TOTAL BONDED INDEBTEDNESS FUND - - - - 3,976.25
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WATER DEPARTMENT
FUND
1.
Purchase of Water •
16,000.00
2.
Salary of Water Superintendants
2,700:.00'
3.
Salaries for other employees.
of Water Department
1,200.00
4.
Labor for repairing of hydrants
-
.and water pipe leaks
1,500.00 �
5.
New construction of water
mains, etc.
�aJ
go, 000.00 �� c
6.
Meter installation, mainten-
ance , and repairs
900.00
7.
Tapping materials and expense
250.00
8.
Repairs to equipment
500.00
9.
Purchase of new equipment
1,500.00
10.
Salary of Water Collector
1,400.00
11.
Rent of Village Hall
450.00
12.
Auditing and Office Expense
550.00
13.
Gasoline and Oil - Equipment
200.00
14.
Stationery and supplies
400.00 0`
15.
Contingent
500.00
TOTAL [WATER DEPARTMENT
FUND 4,8, 050.00
MOTOR FUEL TAX FUND
1. Labor' 4,000.00.
2. Materials 5,000.00
3.
TOTAL MOTOR FUEL TAX FUND- - - - - - - 9,000-00
BONDED INDEBTEDNESS FUND
1. Payment of Maturing Bonds 2,000.00
2. Interest on Bonds 1,976.25
TOTAL BONDED INDEBTEDNESS FUND - - - - 3,976.25
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SUMMARY OF APPROPRIATIONS
General Fund o,
Administration Expenses 10,060.00<\0066
Police Protection 8,000.00
Street Lighting 5,900.00
Playground and Recreation 600.00
Sewerage Disposal Fund and /or .rf
Government Work 75, 000.00 p
Contingent 1,500.00 0
u�
TOTAL GENERAL CORPORATE FUND APPROPRIATION - - �101,0.60.00��
Road and Bridge Fund �� (® 6 �'R "6 8.10.00
Water Department I�Vnd 48, 050.00
Motor Fuel Tax Fund' 9,000.00
Bonded Indebtedness Fund 3,976.25
TOTAL APPROPRIATIONS
SECTION 2: That any sum of money heretofore appropriated
and not heretofore expended, and now in the Treasury of the Village,
or that may hereafter come into the Treasury of the Village, is here-
by appropriated by this ordinance.
SECTION 3: That all unexpended balances of any item or
items of any appropriations, made by this ordinance may be expended
in making up any insufficiency in any item or items in this approp-
riation.
SECTION 4: That all ordinances or parts of ordinances in-
consistant herewith be, and the same are hereby repealed.
SECTION 5; That this ordinance shall be in full force and
effect from and after its passage, approval and publication accord-
ing to law.
PASSED this 11th day of June_
A.D. 1946.
�( AYES; Four ONAYS: one
APPROVED this 11th day of June , A.D. 1946.
ATTESTED and FILED this 11th
day of June A . D . 1046 .
V121age Clerk
President of e Villag e of Deer-
field, Lake County, Illinois