Loading...
R-71-184• • RESOLUTIONS N ° 2 6 3 RESOLUTION N0. 184 RESOLUTION ESTABLISHING A BUDGET FOR THE FISCAL YEAR 1971-72 FOR GENERAL OPERATIONS OF THE CITY OF CLERMONT WHEREAS, the City of Clermont expects to derive revenue for the General Operations of the government of the City of Clermont from the following source: REVENUE Cemetery Lot Sales $ 3,600.00 Fees-Inspection 4,500.00 Interest 3,000.00 Licenses-Occupational 12,000.00 L'i cehses -Dogs 450.00 Memorial Sales 350.00 Fees-Fire Protection ~ 500.00 Miscellaneous 1,500.00 Police Fines-Forfeitures 6,000.00 Fees-Court Costs 250.00 Rentals 6,500.00 Fees-Sanitation 58,000.00 Gasoline Taxes 15,000.00 Taxes-Ad Valorem 128,790.00 Taxes-Ci garette 75,000.00 Taxes-Franchise 32,000.00 Taxes-Utility 40 000.00 Sub Total $ 38 0. Cash Balance & Surplus Forward 100,000.00 Total $~~ , 0.0 and, $ 487,440.00 WHEREAS, the City Counci 1 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 payment of the general operations of the City of Clermont for the purpose and objects of sai d City herei Wafter specified for the year commencing the first day of November 1971 and ending on the 31st day of October 1972 as follows: DEPARTMENT OF ADMINISTRATION-ACCOUNT N0.1 Advertising $ 350.00 Contingencies 500.00 Equip~6eet Rental 443.00 Expenses City Manager 250.0 0 Mayor - Council 200.00 Expenses - Legal 500.00 Maintenance Buildings 500.00 Equipment 472.00 Vehicles 360.00 Miscellaneous 50.00 Recording Fees 300.00 Salaries City Attorney 1 ,575.00 City Clerk 4,778.00 Steno-Secretary 4,459.00 Controller 2,594.00 • ~ RESOLUTIONS W fl 2 6 4 RESOLUTION N0. 184 City Manager Mayor - Counci 1 Subscriptions and Dues Supplies Office Travel -School Utilities Electricity Telephone Water/Sewer $ 8,667.00 3,600.00 400.00 2,000.00 1,100.00 550.00 700.00 85.00 Total $ 34,433.00 $ 34,433.00 DEPARTMENT OF PUBLIC SAFETY - ACCOUNT N0. 2 Contingencies $ 1,400.00 Maintenance Busking 500.00 Office Equipment 150.00 Radio 250.00 Vehicles 1,000.00 Minor Equipment 1,000.00 Miscellaneous 200.00 Salaries Auxi 1 i ary & Vol unteers 5,000.00 Judges 1,700,00 Lifeguards 3,000.00 Patrolmen 30,550.00 Police Cadets 500.00 Police Chief 7,384.00 Dispatchers 13,364.00 Animal Control 4,888.00 Overtime 1,000.00 Subscriptions and Dues 50.00 Supplies Office 400.00 Materials 300.00 Miscellaneous 100.00 Prisoner Expense 2,500.00 Travel-School 500.00 Uniforms 1,000.00 U ti 1 i ti es Electricity 1 ,080.00 Gas 360.00 Telephone 828.00 Water/Sewer 300.00 Fire Hydrant Rental 2,600.00 Total $ 81,904.00 $81,904.00 • • RESOLUTIONS No. 265 RESOLUTION N0. 184 DEPARTMENT OF COMMUNITY SERVICES -ACCOUNT N0. 3 Contingencies $ 50,806.00 Equipment Rental 400.00 Maintenance Buildings 3,000.00 Equipment 3,000.00 Parks & Playgrounds 2,500.00 Vehicles 3 ,000.00 Minor Equipment 2,000.00 Miscellaneous 400.00 Salaries Di rector 9,724.00 Asst. Director 7,540.00 Janitor 5,200.00 Garage 6,240.00 Parks & Cemetery 24,063.00 Sanitation 41,496.00 St & Storm Sewer Maint. 20,033.00 Street Cleaning 5,590.00 Temporary & Part Time 4,000.00 Overtime 1,000.00 Sidewalks 1,000.00 Subscriptions and Dues 50.00 Summer Programs 1,500.00 Supplies Maters al s 5,500.00 Miscellaneous 300.00 Street Signs 800.00 Travel - School 100.00 Uniforms 2,496.00 Utilities Electricity 22,000.00 Gas 150.00 Telephone 100.00 Water/Sewe r 1 , 800.00 Vehicles Gas & Oil 7,000.00 Tires & Batteries 2,000.00 Total $ 234,788.00 $ 234,788.00 DEPARTMENT OF SPECIAL ACTIVITIES -ACCOUNT N0. 4 Auditing $ 2,250.00 Contingencies 2,000.00 Election Expenses 200.00 Equipment Replacement 10,000.00 Finance Expense 3,545.00 Insurance Hospitalization 3,215.00 General Liability 7,500.00 F.I.C.A. 10,500.00 Surety Bond 656.00 Workmen's Compensation 5,500.00 Group Life 1,900.00 Lake County Planning Dept. 1,000.00 Library 13,300.00 Miscellaneous 500.00 Pensions 5,870.00 Publicity 6,525.00 • RESOLUTIONS RESOLUTION N0. 184 Special Affairs County Taxes Tax Work Fees Technical Services Tota~tmas Gifts N° $ 500.00 810.00 1,400.00 1,500.00 500.00 CAPITAL OUTLAY AND DEBT PAYMENT Payment on Debt Street Resurfacing Police Car Animal Control Truck Two Way Radio E lectri c Typewri ter Boat Ramp Renovation Breathalizer $ 18,000.00 30 ,000.00 1,644.00 2,420:'00 530.00 450.00 3,000.00 1,100.00 Total Grand Total $ 57,144.00 • 266 $ 79,171.00 $ 57,144.00 $487,440.00 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 1971-72 fiscal year for the general government 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 ci ty, 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, ADOPTED THIS /~~ day of 1971, by the City Counci t o t o ~ ty o C ermont, on a ATTEST: ~.~ ~` C ty a rk ,.,, -, ~~=-~ C a rman o t e C ty Counc~ and Mayor of the City of Clermont, Florida