Loading...
O-67-34t ANN JAL APPIROPRIAT IO.IJ ORDINANCE No. o -67 -34 AN ORDINANCE MAKING APPROPRIATIONS FOR CORPORATE PURPOSES FOR THE FISCAL YEAR BEGINNING MAY 1, 1967 AND ENDING .APRIL 30, 1968. BE IT ORDAINED BY TPE MAYOR AND BOARD OF TRUSTEES OF THE VILLAGE OF DEERFIELD, ILLINOIS, THAT: Section 1. The following sums of money, or so much thereof as may be authorized by law, be and the same are hereby appropriated for the fiscal year beginning May 1, 1967 and ending April 30, 1968, to the several municipal purposes following: A. GENERAL ADMINISTRATION PURPOSES FUND Amount of Appropriation 1. Salaries $95,000.00 2. Temporary Employment 10, 000.00 3. Professional Services Master Plan Preparation 25, 000.00 C. P. A. Services 6,500.00 Investigations and Studies 5,000-00 Other 1,000.00 4. Insurance and Bonds 4,500.00 5. Engineering and Contract T10ork Parking Lot Improvement 5,000.00 Partition Changes 500.00 Village Hall Expansion 30,000-00 Painting 200.00 6. Advertising, Legal and Special 2,500.00 7. Electricity - Lighting 1,500.00 8. Telephone and Telegraph 5,000-00 9. Maps, Periodicals, Printing 2,500.00 10. Postage 2,000.00 11. Radio Service 1,500-00 12. License Plates, Badges 200.00 1.3. New Motor Vehicle 1, 800.00 14. .Auto Maintenance 1,500.00 15. Other Equipment Maintenance 2,000.00 16. Equipment and /or Furniture Public Address System 750.00 Furniture 800.00 File Cabinets 500.00 Tape Recorder 375.00 Typewriter, Table - 150.00 Carpeting 800.00 T-'RAL .ADM?.iV;.S`''N.r:.1'.•'C��r PURPOSES .7'LND - continued A. , 16. Equipment andlor Furniture B. POLICE DEPARTMENT 1. Chairs 200.00 2. Desk 350.00 3. Vacuum Cleaner 75.00 4. Typewriter 600.00 5. Village Hall 2, 000.00 17. Office Supplies 6, 000.00 20. Gasoline and Lubricants 500.00 21. Fuel and Heat 2..-500.00 22, Building and Ground Maintenance 3,000-00 23. Wearing .Apparel 100.00 24, Dues and Memberships 2, 000.00 25, Travel 2,000.00 26. Land, Rights of Way, Lot Payment 12-5,000-00 27. Chemicals and Cleaning .1�7aterial 1,500-00 28. Small Tools and Sundry Items 800.00 29. Miscellaneous 500.00 30. Equipment Rental 500.00 31. Elections 2,500-00 34. Legal Fees and Retainer 40, 000.00 35. Planning Commission Expense Planning Consultant 15,000-00 36. Board of Zoning .Appeals 12-000.00 37. Board of Building Appeals 500.00 38. Dog Pound Operation 800.00 39. Youth Council 1, 000.00 40. Sister City Committee 250-00 41. Human Relations Commission 500.00 TOTAL $415,750-00 B. POLICE DEPARTMENT 1. Salaries 210, 000.00 2. Temporary Employment 30,000-00 3. Professional Services 1,500-00 4. Insurance and Bonds 5,000.00 5. Engineering Contracts 500.00 6. Advertising Notices 600.00 7. Telephone and Telegraph 2, 000.00 9. Maps, Periodicals, Printing 1,500-00 11. Radio Service 2, 000.00 12. License Plates, Badges 200.00 13. New Motor Vehicles 8, 000.00 14. Auto Maintenance 4,000-00 15. Equipment Maintenance 800.00 10. Postage 400.00 -2- { B. C. D. POLICE D1`3P.AFFTMENT - Cori-inued 16. Other New Equipment WATER DEPARTMENT 1. Double Pedestal Desk 300.00 2. Desk Chair 80.00 4. Typewriter Stand 75.00 5. Four Drawer File, Keyed separately 100.00 Coat and Hat Rack 30.00 Table 75.00 New Radio 1,500.00 Radar Unit 1,200.00 24 Stack Chairs 400.00 Training Supplies 1,500.00 17. Office Supplies 2, 000.00 18. .Meters, Parts, and Signs 200.00 20. Gasoline and Lubricants -5,000-00 23. Wearing .Apparel 4,000.00 24. Dues and Memberships 200.00 25. Travel and Training 3,000-00 28. Small Tools and Sundry Items 150.00 29. Miscellaneous 450.00 30. Equipment Rental 200.00 38. Safety Council 350.00 19. Board of Police Commissioners 750.00 TOTAL $288, 060.00 CIVIL DEFENSE 43. Training Expense 500.00 Travel Expense 250.00 Sul- -.)lies 1,000.00 Equipment 2,500-00 Miscellaneous 500.00 TOTAL $4,750.00 WATER DEPARTMENT 1. Salaries 30,000-00 2. Part Time and Overtime 7,000.00 4. Insurance and Bonds 1,800.00 5. Engineering and Contract Work Professional 25,000-00 Cathodic Protection 750.00 LJater Main Extension 30,000-00 Reservoir Construction 450,000-00 Leakfinder 5,000-00 -3- A W E. TA7ATER DEPART! I�' NT - Continued 6. .Advertising, Legal and Special 200.00 7. Electricity 8,000.00 8. Telephone and Telegraph 500.00 9. Maps, Periodicals, .Printing 200.00 10. Postage 800.00 11. Radio Service 100.00 12. License Plates, Badges 25.00 14. motor Vehicle Maintenance 675.00 15. Other Equipment Maintenance 3,000-00 16. New Equipment andlor Furniture 400.00 11. Earth .Auger 2, 000.00 17. Materials and Supplies 8#000.00 18. T- 1eters and Parts 201 000.00 19. Water Purchases 300, 000.00 20. Gasoline and Lubricants 500.00 24. Dues and Memberships 100.00 23. Wearing .Apparel 100.00 25. Travel and Training 150.00 27. Chemicals and .Aggregate 1, 000.00 28. Small Tools and Sundry Items 200.00 29. Miscellaneous 1,500.00 30. Equipment Rentals 12000.00 32. Office Rental 5,000.00 40. Water Revenue Bond Ordinance Principal and Interest 39,120.00 Bank Agency Fees 250.00 TOTAL $941,970-00 SEWER D2PARTMENT MAINTENANCE 1. .Salaries 45,000-00 2. Part Time and Overtime 6,000.00 3. Professional Services Engineering Fees 6, 000.00 4. Insurance and Bonds 1, 200.00 5. Contract Work TV Inspection 5,000-00 6. Advertising, Legal and Special 100.00 9. Maps, Periodicals, Printing 50.00 10. Postage 400.00 11. Radio Service 150.00 12. License Plates, Badges 50.00 14. Motor Vehicle Maintenance 500.00 15. Other .equipment Maintenance 2,000.00 -4- E. F. JEPARTMENT P1AINTENAJCE - Continued 16. New Equipment TOTAL $114,592.00 SEWAGE TREATMENT PLANT 1. Sewer Machine Intercom 200.00 2. Cleaning Buckets 300.00 17. Materials and Supplies 8,000.00 20. Gasoline and Lubricants 200.00 23. Wearing Apparel 100.00 27. Chemicals and .Aggregate 1,500.00 28. Small Tools and Sundry Items 100.00 29. Sewer Construction 10, 000.00 30. Equipment Rental 1,500-00 31. Bond and Interest (Revenue) 11,242.00 32. Building and Office Rent 10, 000.00 33. Sewer Revenue Bond Ordinance 3,500-00 Depreciation Fund Expense 5.000.00 TOTAL $114,592.00 SEWAGE TREATMENT PLANT 1. Salaries 30,000-00 2. Part Time and Overtime 6,000.00 4. Insurance and Bonds 2,000.00 5. Engineering 3,000-00 7. Electricity 10, 000.00 8. Telephone and Telegraph 150.00 9. Maps, Periodicals, Printing 100.00 14. Motor Vehicle Maintenance 300.00 15. Other Equipment Maintenance 4,000.00 16. New Equipment Heat Exchanger Addition 15,000-00 Odor Control Equipment 3,500-00 Construction of Drying Beds 3,000-00 Storm Water Pump 4,000.00 17. Materials and Supplies 3,000-00 18. Gauges and Signs 200.00 19. Water Purchases 400.00 20. Gasoline and Lubricants 300.00 21. Fuel and Heat 2,500-00 22. Building and Grounds Maintenance 3,500.00 23. Wearing Apparel 100.00 25. Travel and Training 200.00 27. Chemicals and Cleaning Supplies 10, 000.00 28. Small Tools and Sundry Items 100.00 29. Miscellaneous 500.00 30. Equipment Rental 750.00 35. Odor Containment Devices 40, 000.00 TOTAL $142,0600.00 -5- G. STREET'AND BRIDGE I 1. Salaries 35,000-00 2. Part Time and Overtime 15,000-00 4. Insurance and Bonds 4,000.00 5. Engineering Contract Work Construction - Broege Lot 20, 000.00 Sidewalk Repairs 12, 000.00 Dangerous Branch and Tree Pruning 3,000-00 Curb Reconstruction 2,000.00 Street Resurfacing 180 000.00 Dutch Elm Disease Control 3,000-00 6. Advertising 100.00 7. Electricity, Street Lighting 11, 000.00 9. Maps, Periodicals, Printing 50.00 11. Radio Service 250.00 12. License Plates, Badges 50.00 14. Motor Vehicle Maintenance 2, 000.00 15. Other Equipment Maintenance 4,000-00 16. New Equipment Leaf Loader 2.#800.00 Power Post Hole Auger 3,000-00 17. Materials and Supplies Street Maintenance 30, 000.00 18. Street Signs 3,000-00 20. Gasoline and Lubricants 3,500.00 23. .Apparel 200.00 24. Dues and Memberships 50.00 25. Travel 200.00 27. Chemicals 12, 000.00 28. Small Tools and Sundry Items 250.00 29. Miscellaneous 5,000-00 30. Administrative Overhead 10, 000.00 47. Paving not covered by Special Assessments - Village Share 15,000-00 48. Hazel Avenue Bridge Construction 30,000-00 Village Reforestation - Tree Replacement 2,000.00 Land Purchase 150,000.00 49. Equipment Rental 2,000.00 TOTAL $398,450.00 H. ILLINOIS MUNICIPAL RETIREMENT FUND Village's Contribution M-19 25,000.00 I. BOND AND INTEREST FUND General Obligation - Sewer Improvement Bonds Principal & Interest, 1954 41,625-00 Principal & Interest, 1960 38, 66.3.00 Municipal Building Bonds - 1956 Issue Principal 12,400-00 Interest - TOTAL $92, 688.00 J. POLICE PENSION FUND Village's Contribution 24,000-00 K. PUBLIC BENEFITS TA "'f FUND Payment of Public Benefits 15,000-00 L. VILLAGE LIBRARY 1. .Salaries and I1.1RF 46, 000.00 2. Building Reserve Fund 1, 000.00 3. Building, Site and Construction 20, 000.00 4. Publications 15,000-00 5. Building Repairs and Maintenance 5,000-00 6. Equipment 6, 000.00 7. Binding 3,000-00 8. Supplies 2,000.00 9. Postage and Express 1, 000.00 10. Surety Bonds 1,000.00 11. Insurance 2,000.00 12. Janitor Service 3,500-00 13. Telephone 500.00 14. Audit 800.00 15. Electric, Heat, Water 4,000.00 16. Legal Fees 3,000-00 17. Architectural Services 5,500-00 18. Miscellaneous Office Expense 2, 000.00 19. Contingencies 2.000.00 TOTAL $123,300.00 -7- SUMMARY OF APPROPRIATIONS A -B. General Administration Purposes Fund C. Civil Defense D. Water Department E. Sewer Department F. Sewage Treatment Plant G. Street and Bridge H. Illinois Municipal Retirement Fund I. Bond and Interest Fund General Obligation, Sewer $80,288.00 $703,810-00 4,750-00 941,970.00 114,592-00 142,600.00 398,450.00 25,000.00 Municipal Building Bonds 12,400-00 92, 688.00 J. Police Pension Fund 24,000-00 K. Public Benefits Tax Fund 15,000-00 L. Village Library _ 123,,200. 00 TOTAL AMOUNT APPROPRIATED $2,586,160.00 Section 2. All unexpended balances of any item or items of any general expense appropriation made by this ordinance may be expended in making up any deficiency in any item or items in the same general appropriation and for the same general purpose or in a like appropriation made by this Ordinance. Section 3. All unexpended balances from the annual appro- priations of previous years are hereby re- appropriated. Section 4. This Ordinance shall be in full force and effect from and after its passage, approval, publication in accordance with the la w. PASSED: This 3rd day of July , 1967. APPROVED: ATTEST: H. ROSS FINNEY, 01 yor 1 Catherine B. Price Village Clerk