O-57-39302
ORDINANCE 0 - 39 - 57
AN ORDINANCE LEVYING TAXES FOR CORPORATE PURPOSES FOR THE CURRENT FISCAL YEAR
COMMENCING ON THE FIRST DAY OF MAY, 1957, ATdD ENDING ON THE 30TH DAY OF APRIL,
1958, FOR THE VILLAGE OF DEERFIELD, COUNTY OF LAKE STATE OF ILLINOIS.
BE IT ORDAINED by the President and Board of Trustees of the Village of
Deerfield, Lake County, Illinois:
Section 1. That a tax for the following sums of money, or as much thereof
as may be authorized by law, to defray all expenses and liabilities of the
Village be, and the same is hereby levied for the purposes specified against
all taxable property in the Village for the fiscal year commencing on the
first day of May, 1957, and ending on the 30th day of April, 1958.
A. GENERAL CORPORATE PURPOSES FUND
I. ADMINISTRATION (INCLUDING ALL GENERAL
Amount of
To Be Raised
ADMINISTRATION ACCOUNTS)
Appropriation
By Taxes
1.
Salaries - Officers
$ 800.00
$ 800.00
2.
Salaries - Employees
39,283.00
292283.00
3.
Professional Services (including
150.00
5.
Printing, Advertising, Duplicating
auditing, legal, professional
- -0--
7.
Operating materials and supplies, not
or etc.)
13,665.00
13,665.00
4.
Contractual Services (including
300.00
14.
Miscellaneous - not otherwise provided
insurance, annual maintenance
for
contracts
4,158.00
4,158.00
5.
Printing, Advertising, Duplicating
3,500.00
3)500.00
6.
Construction materials and supplies
500.00
500.00
7.
Operating materials and supplies -
not
otherwise provided for
3,457.00
3,457.00
8.
Motor vehicles, operating, maintenance
and repairs
250.00
250.00
12.
Capital outlay, facilities and
equipment
81100.00
14.
Misc. - not otherwise provided for
4)685.00
2,000.00
Total
$ 77,398.00
57,613
II. SPECIAL BOARDS AND COMMISSIONS
1
3.
Professional Services (including Planning
Consultant, professional
organizations
6,600.00
6,600.00
4.
Contractual Services (including
film rentals)
150.00
150.00
5.
Printing, Advertising, Duplicating
1,050.00
- -0--
7.
Operating materials and supplies, not
otherwise provided for
300.00
300.00
14.
Miscellaneous - not otherwise provided
for
150.00
150.00
Total
8,250.00
72200.00
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III. GENERAL GOVERNMENT BUILDING -
VILLAGE HALL AND GARAGE
Amount of
Appropriation
2.
Salaries - Employees
6,190.00
3.
Professional Services - (including
architect, engineers, etc.)
1,000.00
4.
Contractual Services (including
insurance, telephone, etc.)
1,910.00
6.
Construction materials and supplies
200.00
7.
Operating materials and supplies - not
otherwise provided for
960.00
9.
Building and fixed equipment = materials
and supplies
29180.00
11.
Capital outlay. - buildings and fixed
equipment
24,400.00
12.
Capital outlay - facilities and.
equipment
23,450.00
13.
Debt retirement
25,000.00
Total $ 85,290.00
IV. PUBLIC HEALTH AND SAFETY
1. Salaries - officers
2. Salaries = employees
3. ProfessicnalServices tincluding
training personnel, etc.)
4. Contractual Services (including communi-
cations, insurance, etc.)
5. Printing, advertising, duplicating
7. Operating materials and supplies - not
otherwise provided for
8. Motor vehicles - operating, maintenance
and repairs
10. Capital outlay - motor vehicles
12. Capital outlay - facilities and
equipment 23100.00
14. Misc. - not otherwise provided for 4,278.00
89,871.00
2,000.00
60,091.00
670.00
4,550.00
300.00
4,032.00
5,850.00
6,000.00
Total
R
V. PUBLIC WORKS AND BUILDINGS
(includes Building Inspections, Engineering
and Administration
2. Salaries _ Employees
3. Professional Services - including
Engineers, organizations
4. Contractual Services - including tree
spraying, communications, etc.
5. Printing, Duplicating, Advertising
6. Construction materials and supplies
7. Operating materials and supplies - not
otherwise.provided for
.8. Motor vehicles, operating, maintenance
and repairs.
10. Capital outlay - motor vehicles
12. Capital outlay - facilities and
equipment
14.:. Miscellaneous - not otherwise provided
for
Total
TOTAL GENERAL CORPORATE FUND
28,364.00
1,275.00
3,905.00
3,110.00
250.00
630.00
2,085.00
4)100.00
4,050.00
1,477.00
49,246.00
310,055.00
303
To Be Raised
By Taxes
$ 6,190.00
1,000.00
1,500.00
200.00
800.00
1,800.00
12,500.00
12,000.00
$35,490.00
2,000.00
50,000.00
500.00
4,200.00
200.00
3,500.00
4,500.00
- -0 --
- -0 --
2,000.00
66,900.00
10,000.00
275.00
2,900.00
2,100.00
- -0 --
500.00
1,085.00
2,100.00
-0 --
500.00
19,460.00
186,663.00
B. ILLINOIS MUNICIPAL RETIREMENT FUND
Village's Contribution to:
Total
Amount of
Appropriation
15,000.00
$$ 15,000.00
C. PUBLIC BENEFITS TAX FUND
Payment of Public,-Benefits Judgments
against Village $
Total $
D. POLICE PENSION FUND
Village's Contribution to: $
Total $
E. WATER FUND
2. .6al6ries - Employees $
3. Professional Services, engineering
4. Contractual Services, including
communications, insurance, etc.
5. Printing, Duplicating, Advertising
6. Construction materials and supplies
7. Operating materials and supplies
including water and water meters
8. Motor vehicles - operating, repairs
and maintenance
10. Capital outlay - motor vehicles
12. Capital outlay - facilities and
equipment
14. Miscellaneous - not otherwise
provided for
Total
F. SEWER FUND
21,000.00
2 ;,000.00
10,000.00
10,000.00
20,607.00
2,200.00
1,410.00
200.00
2,350.00
81,179.00
1,740.00
6,750.00
79,250.00
12,000.00
$ 207,686.00
2.
Salaries - Employees $
27,958,00
3.
Professional Services (including
engineering
41332.00
4.
Contractual Services - including contract
sewer cleaning, communications, etc.17,857.00
5.
Printing, advertising, duplicating
200.00
6.
Construction - materials and supplies
11825.00
7.
Operating materials and supplies - not
otherwise provided for
4,914.00
8.
Motor vehicles - operating, maintenance
and repairs
1)117.00
9.
Buildings and fixed equipment -
materials and supplies
1,275.00
10.
Capital outlay - construction equipment
42895.00
11.
Capital outlay - building and fixed
equipment 1
15,000.00
To Be Raised
By Taxes
$ 12,000.00
$ 120000.00
21,000.00
$ 21,000.00
$ 10,000.00
10,000.00
Elm
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305
Amount of
To Be Raised
Appropriation
By Taxes
12. Capital outlay - facilities and
equipment $
47,000.00
vD - -0--
13. Debt Retirement
209787.00 '
14. Miscellaneous - not otherwise
provided for
4,574.00
Total' $
151;734.00
$ - -0 --•:
G. STREET AND BRIDGE FUND
2. Salaries- Employees $
14,843.00
$ 91843.00
4. Contractual Services (including
communcations, insur --nee, etc.)
11320.00
800.00
5. Printing, advertising, duplicating
200.00
- -0 --
6. Construction materials and supplies
10,345.00
52345.00
7. Operating materials and supplies �; not
otherwise provided for
11,000.00
7,100.00
8. Motor vehiiles,-operating, maintenance
and repairs
2,850.00
29200.00
10. Capital outlay - motor vehicle
4,800.00
2,800.00
12. Capital outlay - facilities and
equipment
7,600.00
- -0 --
14. Miscellaneous - not otherwise
provided for
2,650.00
19650.00
Total $
55,708.00
$ 292738.00
H. BONDED INDEBTEDNESS FUND
Payment of Maturing Judgment Bonds 11/1/57 3,000.00
39000.00
Payment of Interest on Bonds
702.00
702.00
Payment of Maturing Sewer Bonds 12/1/57
:20',000.00
20,000.00
Payment of Interest on Bonds
13,375.00
13,375.00
Payment of Maturing Village Hall
Bonds 12/1/57
51000.00
5,000.00
" Pa tn�nt. of .in €erestC6nc Bonds
111263.00
11 263.00
Total $
532340.00
$ 53,340.00
SUMMARY OF LEVIES
Total levy from tax for general corporate purposes $
186,663.00
.Levied for Street and Bridge purposes from Special
tax in addition to all other taxes as provided
by Revised Statutes, Chapter 24, Paragraph
696 -a
29,738.00
Levied from a special tax to pay bonds and interest
in addition to all other taxes
53,340.00
Levied from a special tax to pay public benefits
under special assessment proceedings 21,000.00
Levied from a special tax for payment to the Illinois
Municipal Employees Retirement Fund as provided
by law, in addition to all other taxes 12,000.00
Levied from a special tax for payment to the Police
Pension Fund, as-provided by law, in addition
to all other taxes 10,000.00
TOTAL OF ALL LEVIES $ 312,741.00
Section 2. That the Village Clerk is hereby directed to f ilob with
the County Clerk of,Lake County, Illinois, on or before the second Tuesday
in Soptember, A.D., 1957, a copy of this ordinance duly certified by said
Clerk.
Section 3. That this Ordinance shall be in full force and effect
from and after its passage and approval.
PASSED: This 19th day of August, A.D., 1957.
AYES: 4
APPROVED:
ATTESTED AND FILED in my office
this 19th day of august, A.D., 1957.
Village Clerk
NAYS: 0
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President, ijWge of Deerfield,
Lake County llinois
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