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O-59-179 ORDINANCE NO. 179 AN ORDINANCE PROVIDING A BUDGET OF EXPENSES FOR THE FISCAL YEAR OF 1959-1960 AND MAKING APPROPRIATIONS THEREFOR; AND PROVIDING A TAX LEVY ON ALL PROPERTY IN THE CITY OF CLERMONT, LAKE COUNTY, FLORIDA, FOR THE YEAR OF 1959. BE IT ORDAINED AND ESTABLISHED BY THE CITY COUNCIL OF THE CITY OF CLERMONT, FLORIDA: . SECTION 1. It is hereby found and determined by the City Council of the City of Clermont, Lake County, Florida, that the following sums of money are required for the operation of the Government of the City of Clermont for the fiscal year of 1 November 1959 to 31 October 1960, inclusive: EXPENSES BOND DEBT SERVICE (Less Bond Debt Service charge) $ 26,435.92 GENERAL OPERATING EXPENSES: Supply Depot & Barn Administrative & General Street Department Water Department Sanitation Department Legal Expenses Public Library Police Department Park Department Fire Department . Department of Inspection Cemetery Expenses Department of Publicity Department of Public Health Department of Recreation REVENUE . Inspection Fees - Building Inspection Fees - Electrical Inspection Fees - Plumbing License Fees - Occupational License Fees - Dogs Fines & Forfeitures Parking Meters - Violations Sanitation & Garbage charges Parking Meter Receipts Cigarette Tax Cemetery Lot Sales Franchise Tax 4,410.00 59,442.50 62,005.00 46,025.00 26,350.00 1,000.00 4,500.00 25,555.00 6,305.00 6,060.00 3,310.00 1,500.00 3,500.00 400.00 2,560.00 $ 2,000.00 1,000.00 800.00 6,800.00 125.00 8,500.00 500.00 39,500.00 4,500.00 25,000.00 1,500.00 4,900.00 REVENUE (Cont'd.) .. Road & Bridge Tax Utility Taxes Rentals Miscellaneous Water Plant Sales Water Plant Connection fees Bond Debt Service Charge Interest on Investments 7 1 I 4 Mill Tax Levy 2 Mill Tax Levy for Debt $ 3,200.00 21,500.00 600.00 879. 00 43,500.00 3,500.00 3,109.\15 450.00 81,058.55 26,435.92 $279,358.42 $279,358.42 as determined and based on a Budget for the Fiscal Year of 1959-1960 duly adopted by the City Council of the City of Clermont. SECTION I I . It is hereby found and determined by the City Council of the City of Clermont that the total of the Assessment Roll of the City of Clermont for 1959, as prepared by the Tax Assessor of the said City, and as equalized and confirmed by the City Council as $16,748,060.00; and that the following deductions must be made from the Assessment Roll in order to arrive at the value of all property subject to Bond Debt Service of the City of Clermont: DEDUCTIONS FROM TOTAL ASSESSMENT ROLL: Exempt Property - Goverment owned, Church, Fraternal, Widows & Disability $1,198,300.00 thereby leaving an Assessment Roll having a total of $15,549,760.00 sub- ject to Bond Debt Service, and each mill levied thereon should produce, based on 95% collection $14,772.37, if so collected; and, The following further deductions from the Assessment Roll of $15,549,760.00 must be made in order to arrive at the true value of the property subject to taxation for General Operating Expenses: Homestead Exemptions Excluded Property $3,724,720.00 56,100.00 $3,780,820.00 . thereby leaving a total Assessment Roll of $11,768,940.00 upon which a millage may be levied for General Operating Expenses of the City of Clermont; and, that each mill levied thereon should produce, based on 95% collection, $11,180.49, if so collected. -2- SECTION 111. It is hereby found and determined by the City Council of the City of Clermont to raise the sum of$26,435.92 required for Bond .. Debt Service and service charges, and the additional sum of $252,922.50 in addition to the estimated revenues as outlined in Section 1 hereinabove, and further anticipating uncollected taxes, a tax levy of 9 1/4 Mills is re- quired to be made as follows: For Interest & Sinking Fund & Reserve for Bonded indebtedness (Bond Debt Service) 2 Mills For General Operating Expenses 7 1/41 Mills SECTION IV: There is hereby levied and shall be collected on each dollar of taxable property ~in the City of Clermont and in the areas excluded from the City of Clermont by Chapter 21152, Acts of Legislature, 1941, for interest and Sinking Fund, and Reserve for Bonded Indebtedness, a tax of 2 Mills for the year of 1959, and a tax of 7 1/4 Mills for General Oper- J , , ating Expenses on all property now in the City of Clermont, to-wit: For Interest & Sinking Fund & Reserve for Bonded Indebtedness 2 Mills For General Fund (General Operating Expenses) 7 1/4 Mills SECTION V: The Tax Assessor of the City of Clermont is hereby directed to extend the Assessment Roll of the City of Clermont, heretofore approved by the City Council, in accordance with the millage provided in Section IV of this Ordinance, and to deliver same to the Tax Collector and City Clerk, and the Tax Collector and City Clerk are ahereby directed to collect the said taxes at the time and in the manner provided by law and the g~eneral Ordinances of the City of Clermont, :F1orida. SECTION VI. The monies raised by this tax levy are hereby approprl- ated for the purposes for which levied; and no monies collected for the Interest . and Sinking Fund and Reserve for Bonded Indebtedness shall be used for any other purpose other than paying, first, ten per centum (10%) thereof for bookkeeping and administration charges, secondly, the interest on the Bonded -3- indebtedness of the City of Clermont falling due during the calendar year of 1959; and, third, for the retirement of the principal indebtedness in .. such manner as the City Council may hereafter determine, or as the City of Clermont is obligated to pay in accordance to the terms and conditions set forth in its bonds. SECTION V11: This Ordinance shall be effective immediately upon its passage a~d approval by the Mayor. - - - - - - - -- -- - --- - - - - - - - - - - - - - - - - - - - - - - - - - - PASSED by the City Coun'<.il of the City of Clermont on its first reading on October 6-z:A 1959. PASSED by the City Council of the City of Clermont on its second reading on October .2trd, 1959. PASSED by the City Council of the City of Clermont on its third ~ - / , " , - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - APPROVED by me October q'i... 1959. ~/.?~ Pres. of Council & Mayor Pro. Tern. Clermont, Florida / , , . -4- , - BUDGET CITY:OF CLERMONT 1959-1960 .. REVENUE 2 Mill Tax Levy Inspection Fees - Building Inspection Fees - Electrical Inspection Fees - Plumbing License Fees - Occupational License Fees - Dogs Fines & Forfeitures Parking Meter Violations Sanitation & Garbage parking Meter Receipts Cigarette Tax Cemetery Lot Sales Franchise Tax Road & Bridge Tax Utility Taxes 7 1/4 Mill Tax Levy Rentals Miscellaneous Water Plant Sales Water Plant - Connection Fees Bond Debt Service Charge Interest on Investments $ 26,435.92 2,000.00 1,000.00 800.00 6,800.00 125.00 8,500.00 500.00 39,500.00 4,500.00 25,000.00 1,500.00 4,900.00 3,200.00 21,500.00 81 , 058 .55: 600.00 879.00 43,500.00 3,500.00 3,109.95 450.00 $279,358.42: - - . EXPENSES ADMINISTRA TlVE: Salary - Clerk & Finance Officer Salary - Deputy Clerk Salary - Superintendent Supplies - Office Supplies - Miscellaneous Capital Outlay Reserve for Contingencies GENERAL EXPENSES: . Maintenance of Public B1dgs. Electricity Telephone & Telegraph Heating Technical Services Travel & School Subscriptions & Dues - 5 - $ 6,000.00 .5,000.00 4,200.00 600.00 500.00 500.00 100.00 $ 16,900.00 $ 1,500.00 600 . 00 200. 00 600.00 2,000.00 125.00 100. 00 GENERAL EXPENSES (Cont'd): Hospitalization $ 1,050.00 .. Social Security 2,432.00 Insurance - IDdgs. etc. 7,500.00 Finance Expense - Interest 675.00 Finance Expense - Fees & Charges 50.00 County Taxes 250.00 Auditing 1,500.00 Election Costs 250.00 Discount on Taxes 1,350.00 Miscellaneous 1,277.50 Depreciation 8,321. 00 Notes & Mortgages 6,862.00 Mortgages & Contracts 5,900.00 $42,542.50 STREET DEPARTMENT: Labor - Cleaning $.I:2" 000. 00 Labor - Repairs 11,580.00 Supplies & Materials 17,400.00 Supplies - Misc. 800.00 Maintenance - Equip't. 2,100.00 Maintenance - Vehicles 1,800.00 Vehicles - Gasoline 2,400.00 Vehicles - Oil & Grease 200.00 Vehicles "' Tires & Batteries 1,500.00 Electricity 7,500.00 Technical Services 400.00 Travel & School 50.00 Subscriptions & Dues 25.00 Miscellaneous 250.00 Minor Equipment 500.00 New Equipment 3,000.00 Reserve for Contingencies 500.00 $62,005.00 SANITATION DEPARTMENT: Labor $17,500.00 Supplies - Materials 250.00 Supplies - Misc. 250.00 Maintenance - Equip't. 500.00 Maintenance -Vehicles 1,500.00 Vehicles - Gasoline 1,250.00 Vehicles - Oil & Grease 100. 00 Vehicles - Tires & Batteries 600.00 Miscellaneous 100. 00 New Equipment 4,000.00 Reserve for Contingencies 300.00 $26,350.00 . WATER DEPARTMENT: Labor $ 5,200.00 Office Supplies 750.00 Misc. Supplies 150.00 Supplies - Materials 2,500.00 Bldg. Maintenance 100. 00 Equip't. Maintenance 500.00 Utilities - Power 4,000.00 Technical Services 1,000.00 Travel & School 50.00 - 6 - WATER DEPARTMENT (Cont'd): Subscription & Dues $ 25.00 Mj,scellaneous 100. 00 Minor Equipmeri t 500.00 Capital Outlay - Water mains 28,000.00 .. New Equipment 2,650.00 Reserve for Contingencies 500.00 $46,025.00 LEGAL EXPENSES: Salaries $ 900.00 Subscriptions & Dues 100.00 $ 1,000.00 PUBLIC LIBRARY: , " . General Operations $ 4,000.00 Payment on Note 500.00 $ 4,500.00 POLICE. DEPARTMENT: Salary - Chief $ 4,800.00 Salaries - Judge & Patrolmen 14,640.00 Office Supplies 150.00 Misc. Supplies 300.00 Supplies - Prisoner expenses 1,500.00 Maintenance - Equip't. 500.00 Maintenance -Vehicles 400.00 Vehicles - Gasoline 1,400.00 Vehicles - Oil & Grease 100.00 Vehicles- Tires & Batteries 400.00 Uniforms 400.00 Electricity 100. 00 Telephone & Telegraph 125.00 Travel & School 150.00 Subscriptions & Dues 25.00 Finance expense & fees 10.00 Miscellaneous 205.00 Minor Equipment 100. 00 ~ New Equipment 250.00 $25,555.00 DEPARTMENT OF INSPECTION: . - " , Salary $ 3,000.00 Yehicles - Gasoline 60.00 Office Supplies 100.00 Miscellaneous 50.00 Reserve for Contingencies 100.00 $ 3,310.00 DE.PARTMENT OF PARKS: Labor - Community Bldg. - Supervision $ 420.00 . Labor - General 2,400.00 Misc. Supplies 300.00 Maintenance - Bldgs. 250.00 Maintenance - Equip't. 150.00 Maintenance - Vehicles 150.00 - 7 - DEPARTMENT OF PARKS (Cont'd): Maintenance - Furniture & Fixtures $ 100.00 Vehicles - Gasoline 100.00 Vehicles - Oil & Grease 10.00 ... Vehicles - Tires & Batteries 50.00 Electricity . 100.00 Technical Services 250.00 Subscriptions & Dues 25.00 Miscellaneous 250.00 Minor Equipment 200.00 Reserve for Contingencies 300.00 Capital Outlay - Un-allocated .1,250.00 $ 6,305.00 FIRE DEPARTMENT: Salary - Chief $ 800.00 Salary - Volunteers 1,000.00 Salaries - jRadio Operators 2,940.00 Misc. Supplies 100. 00 Maintenance - Equip't. 100.00 Maintenance - Vehicles 200.00 Vehicles - Gasoline 250.00 Vehicles - Oil & Grease 20.00 Vehicles - Tires & Batteries 150.00 School & Travel 50.00 Subscriptions & Dues 25.00 - Miscellaneous 50.00 , Minor Equipment 100. 00 - Reserve for Contingencies 200. 00 - Telephone & Telegraph 75.00 - - $ 6,060.00 . SUPPLY DEPOT & BARN: Salaries $ 3,600.00 Office Supplies 50.00 Supplies - Materials 100.00 Maintenance -Buildings 100. 00 Maintenance - Equip't. 30.00 . Electricity 30.00 - Miscellaneous 100. 00 Minor Equipment . 50.00 Capital outlay - Rest Rooms 350.00 $ 4,410.00 CEMETERY EXPENSES: Labor $ 1,300.00 Misc. Supplies 100. 00 Miscellaneous 100. 00 . $ 1,500.00 DEPARTMENT OF PUBLIC HEALTH: Miscellaneous expenses $ 400.00 $ 400.00 DEPARTMENT OF PUBLICITY: Brochures $1,250.00 - 8 - DEPARTMENT OF PUBLIClTY (Cont'd): .. Industrial Solicitation Utilities - Electricity General Expenses DEPARTMENT OF RECREATION: Salary - Life Guard Capital Outlay -Portable Bleachers Reserve for Contingencies BOND DEBT SERVICE $ 500.00 50.00 1,700.00 $ 500.00 1,760.00 300.00 GRAND TOTAL . . . . . . - 9 - $ 3,500.00 $ 2,560.00 $ 26,435.92 $279, 358.42