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O-77-41ORDINANCE NO. 0 -77- 41 AN ORDINANCE AMENDING SECTION 16 -18 OF CHAPTER 16 OF THE MUNICIPAL CODE OF DEERFIELD Published in pamphlet form this 20th day of June ,, 1977 by the President and Board of Trustees of Deerfield. ORDINANCE NO. 0 -77 -41 AN ORDINANCE AMENDING SECTION 16 -18 OF CHAPTER 16 OF THE MUNICIPAL CODE OF DEERFIELD BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF DEERFIELD, LAKE AND COOK COUNTIES, ILLINOIS, AS FOLLOWS: SECTION That Section 16 -18 of Chapter 16 of the Municipal Code ONE: of Deerfield of 1975, as amended, be and the same is hereby further amended by substituting in lieu of the final paragraph thereof the following: Provided that, in addition to the foregoing charge and for the purpose of providing for major maintenance and repair to the Village sewer system, a special annual charge of Four ($4.00) Dollars shall be assessed for the usage period commencing July 1, 1977 to and including June 30, 1979, against each user of the Village sewage system, as determined by water meter registration. Said special charge shall be payable quarterly together with water and other sewage charges. SECTION That the Village Clerk is hereby directed to publish TWO: this ordinance in pamphlet form. SECTION That all ordinances or parts of ordinances in conflict THREE: herewith are, to the extent of such conflict, hereby repealed. SECTION That this ordinance shall be in full force and effect FOUR: from and after its passage, approval and publication as provided by law. AYES: Blumenthal, Gavin, Heisler, Forrest (4) NAYS: None (0) ABSENT: Marty, Swanson (2) PASSED this 20th day of June A.D., 1977. APPROVED this 20th day of Jurye1 A.D., 1977. VILLAGE PRESIDENT ATTEST: VILLAGE CLERK -f- SEINER CONSTRUCTION FUND ON .JANUARY 21, 1974,. THE BOARD OF TRUSTEES AMENDED SEC. 24.1100 OF THE DEERFIELD MUNICIPAL CODE TO PROVIDE FOR THE ESTABLISHMENT OF A SPECIAL ANNUAL SEWER CHARGE FOR MAJOR MAIN- TENANCE AND REPAIR TO THE VILLAGE SEWER SYSTEM AT THE RATE OF $4.00 PER YEAR TO BE ASSESSED FOR THE USAGE PERIOD COMMENCING JANUARY 1, 1974 TO AND INCLUDING .TUNE 30, 1975 TO BE BILLED AND PAID QUARTERLY TOGETHER WITH THE REGULAR WATER AND SEWER BILL. THIS SECTION WAS AMENDED ON .JUNE 16, 1975 TO EXTEND THIS SPECIAL CHARGE TO AND INCLUDING .JUNE 30, 1977. THE PROJECTED BALANCE IN THIS FUND IS AS FOLLOWS:` 1976 -77 1977 -78 1978 -79 1979 -80 PROJECTED BALANCE, MAY 1 $44,480 $37,651 $58,451 $79,251 ESTIMATED RECEIPTS 20,800 20,800 20,800 20,800 AVAILABLE FUNDS $65,280 $58,451 $79,251 $100,051 PROPOSED EXPENDITURES FOR OSTERMAN AVE. SEWER 27,629 - 0 - - 0 - - 0 - AVAILABLE FUNDS $37,651 $58,451 $79,251 $100,051 *THIS FORECAST IS BASED ON THE ASSUMPTION THAT THE CHARGE WILL BE EXTENDED UNTIL THE CONSTRUCTION FUND HAS A BALANCE OF $100,000. SEC. 5, P. 8