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R-68-138• • RESOLUTIONS fJo. 138 N~ 201 RESOLUTION ESTABLISHING 1968-69 BUDGET OF THE CITY OF CLERMONT GJATER AND SANITARY SEhJERS DEPARTMENT FOR THE FISCAL YEAR 195A-69 tJHEREAS, the City of Clermont expects revenue from the operation of its tJater and Sanitary Sewers Department from the following sources and in the following amounts: REVENUE Water Sales Connection Fees Interest on Investments Miscellaneous Special Sewer Reserve $ 67,000.00 2,500.00 1,000.00 500.00 17,500.00 Sub Tatal Other Income: From General Fund Sewer System Reserve General Fund Reserves and, 88,500.00 13,171.01 10,000.00 1 1,671.01 tJfiEREAS, the incurrence of the following expenses are anticipated from the operation of the l~Jater and Sanitary Sewers Department of the City of Clermont: Auditing 400.00 Contingencies 1,000.00 Equipment Replacement 1,303.00 Finance Expense -- Insurance - Hospitalization 318.f?0 - Social Security 781.00 - Other 570.00 Maintenance & Repairs - Buildings ?_00.00 - Equipment 500.00 - Office 1,200.00 - Meters 1,000.00 -Tank Contract 1,906.00 - Vehicles 150.00 f~inor Equipment 250.00 Miscellaneous 150.00 Pensions 600.00 Salaries - Clerical 4,045.00 - Control 1 er 686.!10 - Manager 1,762.00 - fdayor-Council 960.00 - Supt and Assistant 4,220.00 - Labor 6,500.00 - Mechanic 1,100.00 - Overtime 10.00 Subscriptions - Dues 150.00 Supplies - Chlorine 550.00 Office 1,100.00 - Materials 1,50.00 - f~liscellaneous 100.(10 RESOLUTIONS Flo. 138 Travel-School Utilities - Electricity - Telephone Vehicle Expense - Petroleum Products -Tires & Batteries Sub Total Capital Outlay and Reserves tti~ell and associated expenses Distrit~ution System Special Sewer System Reserve Surplus Reserve Sub Total Grand Total S and, • ~ 150.00 6,300.00 150.00 650.00 150.00 40,701.00 4n,000.00 10,000.00 17,500.00 3,470.00 70,970.01 111 ,671 .!11 N~ 202 Q111,671.~1 I,IHEREAS, the City Council of the City of Clermont desires to establish a budget governing the expenditure of funds derived from the revenue aforesaid and to appropriate such funds for the use and henefit of the plater and Sanitary Sewers Department as hereinbefore designated, NOM, THEREFORE, BE IT RESOLVED that the sums of money herein- before designated as expenses be and the same are hereby adopted as a budget for the 1968-69 fiscal year for the operation of the City of Clermont !later and Sanitary Sewers Department, or as much as may be needed or deemed necessary to defray all expenses and liabilities of the City of Clermont in the operation of its '.Mater and Sanitary Sewers Department; and, BE IT FURTHER RESOLVED that the proper officials ma,y disburse funds from the revenue of the City of Clermont !later Department in payment of expenses described above, suh,ject to authorization and approval of the City Council in accordance with the budget here adopted. ADOPTED THIS 22pd- day of October, 1968 by the City Council of the City of Clermont, Florida ATTEST: City C erk G1 . President o ~t e City Council of the City of Clermont, Florida RECEIVED AND APPROVED BY PiE THIS 22nd day of October 1968 - ~_. i - ~~_ "z~ c ~ ' _ . Mayor of City of Clermont, Florida