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R-69-148 • RESOLUTIONS N ° 216 RESOLUTION N0. 148 Resolution establishing a budget for the fiscal year 1969-10 for General Operati ons of the City of Clermont WHEREAS, the City Operations of the source: of Clermont expects to derive revenue for the General government of the City of Clermont from the following REVENUE and, Cemetery Lot Sales $ 2,500.00 Fees - Inspection 3,500.00 Interest on Investments 6,500.00 Labor Refunds 350.00 Licenses - Occupational 13,500.00 Memorial Sales 300.00 Miscellaneous 980.03 Police - Fines 9,000.00 Rentals 2,500.00 Fees - Sanitation 53,500.00 Taxes - Ad Valorem 128,171.88 Taxes - Cigarette 60,000.00 Taxes - Franchise 15,500.00 Taxes - Utility __33.,800._00_ Total $330,101.91 $330,101.91 WHEREAS, the City Council of the City of Clermont desires to establish a budget governing the expenditure of funds derived from the revenue afore- said and to appropriate such funds for the payment of the general govern- ment operations of the City of Clermont for the purpose and objects of said City hereinafter specified for the year commencing on the first day of November 1969 and ending on the 31st day of October 1970, as follows: DEPARTMENT OF ADMINISTRATION - ACCOUNT N0. 1 Salaries and Retainers Supplies Maintenance Utilities Expense Accounts Expenses - Legal Education Miscellaneous Items Minor Equipment Contingencies Total $ 35,168.00 1,900.00 450.00 1,250.00 800.00 500.00 600.00 850.00 400.00 500.00 $ 42,418.00 $ 42,418.00 • • RESOLUTIONS RESOLUTION N0. 148 N°_ 217 DEPARTMENT OF GENERAL EXPENSES ACCOUNT N0. 2 Technical Expenses $ 2,500.00 Special Affairs 500.00 Insurance 20,315.00 Finance Expense 1,225.00 Auditing 1,700.00 Library 10,413.96 Publicity 5,927.95 Tax Discounts 3,600.00 Pensions 5,000.00 Miscellaneous Items 955.00 Equipment Reserve --- Contingencies 1,500.00 Total $ 53,636.91 DEPARTMENT OF PUBLIC SAFETY ACCOUNT N0. 3 Salaries Supplies Maintenance Uniforms Uti 1 i ti es Education Miscellaneous Items Minor Equipment Contingencies $ 53,636.91 $ 53,202.00 2,800.00 500.00 500.00 1,950.00 500.00 200.00 500.00 500.00 Total $ 60,652.00 DEPARTMENT OF PUBLIC WORKS ACCOUNT N0. 4 $ 60,652.00 Salaries $ 61,500.00 Supplies 7,650.00 Equipment Rental 200.00 Uniforms 100.00 Utilities 22,100.00 Miscellaneous Items 800.00 Summer Programs 1,700.00 Minor Equipment 1,000.00 Contingencies 1,000.00 Total $ 96,050.00 $ 96,050.00 RESOLUTIONS RESOLUTION N0. 148 • N° DEPARTMENT OF GENERAL MAINTENANCE ACCOUNT N0. 5 Salaries $ 8,860.00 Supplies 525.00 Maintenance 18,800.00 Vehicle Expense 8,000.00 Equipment Rental 200.00 Uti 1 i ti es 360.00 Miscellaneous Items 50.00 Minor Equipment 600.00 Contingencies 500.00 218 Total $ 37,895.00 $ 37 895.00 $ 290,65 .91 CAPITAL IMPROVEMENT OUTLAY AND DEBT PAYMENT Administrative: Posting Machine $ 6,000.00 General: Payment on Debt 10,000.00 Public Safety Patro'~Car (less trade) 1,200.00 Foam Generator 1,000.00 Pub 1 i c Works ~y Equipment and Building 2,500.00 Maintenance Equipment 750.00 Contingency and/or Reserve 18,000.00 39,45 .00 $ 39,450.00 $ 30, 0 .91 NOW, THEREFORE, BE IT RESOLVED that the sums of money designated as expenses above be and the same are hereby adopted as a budget for the 1969-70 fiscal year for the generalc~overnment operations of the City of Clermont, or as much as may be deemed necessary to defray all expenses and liability of the City of Clermont in the general government operation of the city, and BE IT FURTHER RESOLVED that the proper officials may disburse funds from the revenue of the general government operation of the City of Clermont in payment of expenses described above subject to authorization and approval of the City Council of the City of Clermont, Florida, as they from time to time are incurred in accordance with the budget here adopted. • • RESOLUTIONS N ° 219 ADOPTED THIS 9 ~ day of 1969, by the City Council of the City of C ermont, F1 on da Pres ent o the City Council of the City of Clermont, Florida ATTEST: 1 ~_.~~~.~ C ty C erk Received and approved by me this ~ ~ day of ~,,, 1969 w Mayor of City o C ermont, Florida