O-065AJF:MM 1/4 7/18/50
0 r 0
% 66,
APPROPRIATION ORDINANCE FOR THE
VILLAGE OF DEERFIELD FOR THE
FISCAL YEAR 1950 -1951
d LS'
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 as may be authorized by law, as may be needed
or deemed necessary to defray all expenses and liabilities
of the Village be and the same are hereby appropriated for
the corporate purposes and objects.of said Village herein-
after specified for the fiscal year commencing on the first
day of May, 1950, and ending on the 30th day of April, 1951.
GENERAL CORPORATION FUND Amount of
Appro-
priation
A- ADMINISTRATION
1-
Village Clerk
11000.00
2-
Village Treasurer
11700.00
3-
Village Collector
500.00
4-
Health Officer
500.00
5-
Corporate Council Fees
600.00
6-
Extra Legal Fees
1,000.00
7-
Auditing
200.00
8-
Stationery and Supplies
300.00
9-
Office Equipment
200.00
10-
Printing and Publications
150.00
11-
Insurance
100.00
12-
Telephone and Telegraph
125.00
13-
Election Expenses
500.00
14-
Fees on Bonded Indebtedness
30.00
15-
Security Bond Premiums
140.00
16-
Building Commissioners Fees
2,600.00
17-
Repairs of Sewers and Septic Tanks
20800.00
18-
Rent of Village Hall
750.00
19-
Superintendent of Public Works
10225.00
20-
Reserve for Retirement Account
225.00
21-
Retirement Fund Tax Deficit
1,275.00
22-
Contingent
750.00
23-Special
Salaries - Special Assess -
1,000.00
ments
$17,670.00
B- POLICE PROTECTION
24- Village Marshal
25- Night Marshal
26- Police Officer
27- Extra Police
28- Insurance
29- Telephone and Telegraph
30- Gasoline and Oil
31- Police Radio
32- Repairs to Police Equipment
33- Reserve for new Police Car
34-- Contingent
C- STREET LIGHTING
35- Current Ornamental Lights
36- Installation and Maintenance of;
(a) Street and Alley Lights
(b) Ornamental Lights
(c) Installation of New Lights
D- PLAYGROUNDS AND RECREATION
37- Salaries and Wages
38- Equipment, Materials and Supplies
E- SEWERAGE DISPOSAL FUND AND /OR GOVT WORK
3,800.00
3,700.00
3,200.00
2,500.00
160.00
250.00
1,500.00
240.00
450.00
500.00
1.350.00
$17,650.00
$ 3,000.00
200.00
2,500.00
20.000.00
$25,700.00
$ 200.00
200.00
$ 400.00
39- Labor, Septic Tanks and Sewer Const.$95,000.00
40- Materials . 402000.00
41- Engineering Services 5,000.00
42- Legal Expense 5.000.00
$1450000.00
F- RETIREMENT FUND $ 3,200.00
G- CONTINGENT $ 11500.00
H- CONSTRUCTION OF VILLAGE HALL $65,000.00
I- CONSTRUCTION OF VILLAGE GARAGE $10,000.00
J- VILLAGE PLAN _5,000.00
TOTAL APPROPRIATIONS FOR
GENERAL CORPORATE FUND....... $291,120.00
-2-
0 0 0 0
ROAD AND BRIDGE FUND
1-
Labor for Streets, Repairs
40000.00
2-
Material for Street repairs
750.00
3-
Insurance for Equipment
150.00
4-
Equipment Storage
180000
5-
Repairs to Equipment
750.00
6-
Gasoline and Oil
300.00
7-
Traffic Light Expense
160600
8-
Purchase of New Road & Bridge Equipment
4,000.00
9-
Superintendent of Public Works
10000.00
10-
Contingent
200.00
$11,490.00
WATER DEPARTMENT FUND
1-
Purchase of Water
210000.00
2-
Salary of Water Superintendent
20000.00
3-
Water Collector
2,000.00
4-
Labor for Repair of Hydrants,
Water Pipes, Leaks, & Materials
60100.00
5-
Meter installation
30900.00
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-
Oasoline and Oil
300000
11-
Stationery and Supplies
475.00
12-
Tapping Materials & supplies.
300000
13-
Insurance -
110000
14-
Reserve for New Truck
500.00
15-
Contingent
_ 19200.00
639,475.00
MOTOR FUEL TAX FUND
1- Labor 6,000 :00
2- Materials 79000.00
$13,000.00
BONDED INDEBTEDNESS FUND
1.• Payment of Maturing Bonds 3, 000.00
2- Interest on Bonds 1,466.25
4,466.25
GENERAL CORPORATE FUNDS:
1- Administration Expenses 170670.00
2- Police Protection 17,650900
3- Street Lighting 25,700600
4- Playgrounds and Recreations 400.00
-390
0 40 40 0
5- Sewerage Disposal Fund,
. Government Works"
6- Retirement Fund.
7- Contingent Expenses
8- Construction of Village
9. Construction of Village
10- Village Plan
and /or
145,000.00
3,200.00
19500.00
Hall 659000.00
Garage 109000.00
5,000.00
TOTAL APPROPRIATIONS FOR
GENERAL CORPORATE FUND.............. $2910120.00
General Corporate Fund X291,120.00
Road & Bridge Fund 11,490.00
Water Department Fund 390475.00
Motor Fuel Tax Fund 130000.00
Bonded Indebtedness Fund 4,466.25
TOTAL APPROPRIATIONS ............... 6359t551*25
Section 2.• That.this ordinance shall be effee.
tive 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•
Attested and filed
this 17th day of
July, 1950*
lage Clerk
President of the-.Village of Deerfielff