07/10/193322
Minulees &f the meeting of July 19, 1933
Meeting called to-order by the'Presidenj� of The,:Village of. Deerfield
"Mr Harry T: - Olavey with the following Trustees present Geo. ,J. Page,
"Z7
0. S.-Soribner, MIlliam D. Johnston, Harry E. Ming, -J. - R.-! Notz,- and
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0. M. Willman.
Minutees of the meetings-of June 5, and June -19, 1933 were read and a
approved. _.
__A,moti-on'-waa--made 'that- -the following annual appropriation -ordinance--be---
passed. Motion made by Trustee Ming and seconded by Trustee Willman.
upon roll cail the following vote was taken yeas Trustees Scribner ,
Johnston, Ming, Notz, and Millman.Trustee Page not voting.
AN ORDINANCE TERMED THE ANNUAL APPROPRIATION BILL'IN AND BY WHICH
�
THE CORPORATE AUTHORITIES DO APPROPRIATE SUCH SUM OR SUMS OF MONEY
IR
Ih F`
WHICH MAY BE DEEMED NECESSARY TO DEFRAY ALL NECESSARY EXPENSE AND
ALL LIABILITIES OF THE VILLAGE OF DEERFIELD, LAKE COUNTY, ILLINOIS,
FOR THE FISCAL YEAR BEGINNING THE FIRST DAY OF M& , A. D. 19331 AND
ENDING ON THE THIRTIETH DAY OF APRIL, A. D. 1934, AND SPECIFYING_._
`M ° „- -THE - OBJECTS AND PURPOSES FOR WHICH SUCH' .APPROPRIATIONS WERE MADE
TOGETHER WITH THE AMOUNT APPROPRIATED FOR EACH OBJECT OR PURPOSE.
BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF•THE.
VILLAGE OF DEERFIELD, LAKE COUNTY, ILLINOIS:
Section 1. That the following sum or sums of money, or so
much thereof as may be authorized by law, be and the same are her
by appropriated for the objects and purposes herein specified to
defray all necessary expenses and liabilities, and for all corporate
purposes of the Village of Deerfield, Lake. County.,. Illinois,
the fiscal year beginning the first day of May, A. D. 1933, and
ending on the thirtieth day of April, A. D. 1934.
GENERAL FUND
1. EXECUTIVE SALARIES
A - President
B - Trustees
C - Village Clerk
D - Village Treasurer
E - Village Collector
F - Comptroller
- 2. LEGAL EXPENSES
A - Corporate Counsel Salary
B — .Extra Legal Expenses
C - Contingent Expense Fund
2,400.00
450.00
450.00
;,may
300.00
2,000.00.
100.00 i
123 1
3. OFFICE EXPENSES
A - Auditing 500.00 J
B Stationery and Supplies 500.00
C - Office Equipment 125.00 !I
i
D - Printing and Publications 19250:00
E - Insurance' 325.00
F - Telephone and Telegraph 70.00
G - Contingent 100.00
4. OTHER EXPENSES
A - Election Expense 125.00
B - Interest on Obligations 600.00
I C - Publishing Ordinances and
j Printing 250.00
i
D - Surety Bond Premiums 550.00
5. RENT FOR VILLAGE OFFICES 12500.00
TOTAL APPROPRIATION FOR GENERAL FUND . . . ... . . . . 111595.00
FIRE DEPARTMENT FUND
1. SALARIES .
A - Salaries 11000.00
j 2. EQUIPLIENT, MATERIALS AND SUPPLIES {
A - Maintenance of Motor Equipment 250.00
B - Gasoline and Oil
25.00
C - Installation and Maintenance of j
Fire Alarm Equipment 100.00
D - Insurance 300.00
E - Chemicals and Supplies 50.00
F - Water Rentals of Fire Hydrants 100.00 � ii
I G - Contingent 100.00 j
I
TOTAL FIRE DEPARTMENT APPROPRIATIONS . . . . . , , . . 5? 1,925.00
2.
T
124
fi
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MATER DEPARTMENT FUND
A - Purchase of Water 150000.00
B - Salary of Slater Superintendent 19800.00
A
C - Diaintenance, Installation and
' Dieter Repair .
750.00.
;
D - Repair of Pipes and Equipment
2,000.00
{ E - Tapping Supplies and Expense
I
30.00
f F - Contingent
100.00
TOTAL WATER DEPART10EITT APPROPRIATIONS . . . . .
19,680.00
s
STREET AIM ALLEYS FUND
A - Salaries and Labor
750.00
1
B - Equipment _ . �._. .�...
_. _ 100.00'. ...
_ _ _
�. �...:
C - Contingent
100.00
i
TOTAL STREET AITD ALLEYS FUND APPROPRIATIONS
950.00
POLICE DEPARTMENT FUND
E}
A 1. SALARIES
.
A - Village Marshal
2,500.00
B - Emergency
500.00
2. EQUIPMENT, MATERIALS AlTD SUPPLIES
A - Insurance
75.00
B - Telephone and Telegraph
T .00
- C - Guns and Supplies
50.00
D - Contingent
100.00
TOTAL POLICE DEPARTIMIT APPROPRIATIONS
3,295.00
_
3.
125
,a t
BONDED INDEBTEDNESS FUND
A - Payment of Maturing Bonds 29000.00
i B - Interest on Bonded Indebtedness 500.00
CONTINGENT FUND
For Contingent, Miscellaneous and General
Unforeseen Expenses not included in any
Item Above 500000
SUMJMRY
General Corporate Purposes
TOTAL APPROPRIATION FOR:BONDED DEBT . . . . . . . . .
. .
2$00.00
Fire Department Fund
19925.00
'
STREET LIGHTING FUND
199680.00
1. STREET AND ALLEY LIGHTS
Street and Alleys Fund
950.00
Y`
i
. Police Department Fund
31295.00
A - Ornamental Lights
j
i
40200.00
29500.00
B - Traffic Lights
•a
240.00
41740.00
2. INSTALLATION AND MAINTENAiTCE
Contingent Fund
500.00 •
A - Street and Alley Lights
100.00
B - Ornamental Lights
100.00
C - Traffic Lights
100.00
-�
TOTAL APPROPRIATION FOR STREETLIGHTING FUND
4,740.Q0
CONTINGENT FUND
For Contingent, Miscellaneous and General
Unforeseen Expenses not included in any
Item Above 500000
SUMJMRY
General Corporate Purposes
11,595.00
Fire Department Fund
19925.00
Water Department Fund
199680.00
Street and Alleys Fund
950.00
. Police Department Fund
31295.00
j
i
to Bonded Indebtedness Fund
29500.00
Street Lighting Fund
41740.00
Contingent Fund
500.00 •
-;
TOTAL
045 '1857.r00
4
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Section 2. The unexpended balance of any item-or items .of
any appropriation made by this-Ordinance may be expended in making ,;
up any deficiency in any item or items -in the same general appropria-
-_tion °and for the = si dme general purpose, or in a like appropriation
made by this%Ordinance. -
Section 3, This Ordinance shall be in full force and effect
from and after its passage, approval and publication in accordance
with the laws.
r
Section 4. That this Ordinance be published in an official -
newspaper of the Village of Deerfield.
\�.1�11:t'ijJf
and Read, July 10, 1933.
Paased'-;Suly 10, 1933.
`= 11 prave?i °.July 10, 1933.
Publi':she'd- T ly 70.:7 1933.
.....
ATmEST:`'ti
%rtJitii1111 � .
Approved as to Form, July 10, 1933.
\
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Health and Public Relation Harry E. Wing Chairman no report to make.
Licence Committee J. R. Notz Chairman made a motion that the Beer
Ordinance be left as originaly passed Harry E. 4ting oeoonddd the motion
upon roll call the following vote was taken Yeas Trustees Scribner,'Johnstgy
Wing, Notz, and Willman, Nays Frustee Page. ?lotion carried.
Printing and Auditing. George J. Page Chairman. reported that the
audit was ready and had it read by Mr Roderick of Nilson and Co. `
A motion was made by Trustee Page and seconded by Trustee Johnston
that the audit be accepted as read Motion carried.
Public Works Committee 0. M. Willman chairman reported that Canada Thl
Thistle Commissioner Wm. H. Stefis would have all the Thiele cut in a -.
short time.
Ro$d and Bridge Committee Wm. Johnston Chairman reported that all
Streeto were in good chaps and that all Manholes and inlets were cleaned
Water Committee 0. S. Scribner reported that all meters would be read., �..:
monthly thus inab &ling the water department to make prompter colleetioo
A' Motion was made by Trustee Wing and seconded by Trustee Johns ton'that�:.
A permit be requested for a street opening at Clarence Petersen
Residence. Motiom carried.
A motion was made by Trustee Wing and Seconded by Trustee Notz That the
meeting adjourned Motion carried.
Clerk
Pre 4 en