Loading...
HomeMy WebLinkAboutOrdinances Book 9, Page 25, No Ordinance NumberPAGE 25. All ORDINAIICE FIXING THE APPORTIONI3ENT OF TIM PUBLIC FUNDS OF THE CITY OF.PADUCAH FOR THE YEAR 1928. BE IT ORDAINED BY THE BOARD'OF COMMISSIONERS OF THE CITY OP PADUCAH, IO;PITUCKY: SECTION 1. l That the apportionment of the public funds or revenues of the City of Paducah, Kentucky, for the year 1928, for the different purposes and under the different heads, shall be as follows, to -.pit: .DEPARTMENT OF PUBLIC AFFAIRS. Estimated to be expended as follovfs, to -crit: Salary- Mayor.. ..... .... 4000.00 Stenographer.... ................ •1500.00 Police Judge.......' ................. 3000.00 CitySolicitor ...................... 3000.00 City Attorney ....................... 720.00 Health Officer... ........... 1800.00 Clerk to Board of Health............ 780.00 Milk& Meat Inspector ................ 1800.00 Sanitary Inspe'c`tors.. ........ 2160.00 Incinerator' Keeper.'. ..........., 540.00 Anti- T. B. Sanitarium.. ... 1200.00 Carnegie Library .. ............:... 10000.00 Home of the Friendless......... 3600.00 Colored Home of thee' Friendless'...'.... 300.00 Mothers' Club... ............... 600.00 Settlement House. .................... 400.00 Health Nurse.. . ...... 1260.00 Health & SariitarySupplies.... 1500.00 Boy Scouts.'.. .... 200.00 Girl Scouts.. ..... . 200.00 Parks ............................ *. '.'. '... 7500.00 Water Rentals ....................... 35000.00 Costs & Suits..... 5000.00 „ ,Total....... 860 0.00 DEP'RT1,1E' T OF PUBLIC SkFETY. Estimated to be expended as follows, to -,.-fit: Salary-Comriisaione r................. 3600.00 �. Police Department as f ollovfs: i + Salaries.. ••••••• ... .k54060.00 •Supplies, ' Traffic' aiid Alley Lights.......... 5340.00 City Jail-Salarie§ and Supplies... 5500.00 64900.00 Fire Department as follows: Salaries..... .......Sn5,1300.00 + Supplies.. ........., 4200.00 Neu Hose .............. 2000.00 160500.00 Miscellaneous Charii Y••••• 2000.00 ' 'r TOTAL... _-'f3 p .Op DEP•'RTM.S'IIT OF PUBLIC Estimated to be expended as follows, to -Wit: Salary -Commissioner ............. 3600.00 Auditor ............. 2400.00 Assistant auditor............... 1500.00 Office Clerl .................... 960.00 City Clerk..................... 960.00 License Inspector ............... 1500.00 Assessor... ...... ••. 1800.00 i,ssessor+s ,asist::nt.......... 960.00 Board of E qualizers.. • ..... .. 450.00 „ PrintinPosta.-e andsupplics.. 6970.00 Miscellaneous Expenses .,,,••,,,, 5461.18 PAGE 26. City Bonds and Sundry Interest 3rd District Sewer Bonds...... qj 30075.00 Other Sundry Bonds (other than schools) ..• ......... 16242.98 Street Bonds of1926.......... 5413.50 Sewer Bonds of 1926........... 2255.62 Bridge Bonds of 1926.......... 1804.50 Interest on Bills Payable....... Sinking Fund 3rd District Seiner Bonds...... $6200.0o General Sinking Fund.......... 9469.22 Street Bonds of 1926.......... 3987.00 Sever Bonds of 1926........... 2495.00 Bridge Bonds of 1926........... 1996.00 Deficit )Fear 1927............ Contingent ............... Schools. and Sinking Fund School Improvement Bonds estimated 15 cents on $100 valuation ..............42,694.13 schools -Estimated 99 cents on 0100 valuation ................. 281,781.19 TOTAL..... . DEPARTMENT OF PUBLIC PROPERTY. Estimate,, to be expended as follovrs, to- jit: Salary -Commissioner ................ Riverside Hospital..........$52000.00 Riverside Permanent improve- ment ....................... 6500:00 Oak Grove .............:....., 8000.00 Oak Grove -Repairs; Streets... 3850.00 Street Lighting, !rlhitevray..•..- City Hall, Salaries, Supplies and Repairs,... City Scale -s ............... City ,wharf ........................ hIarket House ...................... City Physician and Assistant.'..'.... Insurance .................... Bonds of Employees......... . Repairs to Buildings .............. TOTAL.... DEPARTMENT OF PUBLIC 'qORKS. Estimated to be expended as follows, to-erit: Salary-rOM-aissioner.............. Sever Plans District Number 4 and ��� extensions................ Block MapsNew Territory Engineering Department.. .. Street Department, supplies, repairs and incidentals ............. Regular Sewers............ New Construction ................„ TOTAL... TOTAL OF ALL DEPA.RTI,ENTS. DEPARTBSENT OF PUBLIC AFFAIRS........ DEPARTMETT OF PUBLIC 1:CRKS.......... DEPARTi,IENT OF PUBLIC SAFETY ......... DEPARTIJENT OF PUBLIC PROPERTY..... , . DEPARTMoT OF PUBLIC FIN<'?ICE......... TOTnL... 55791.60 4500.00 24147.22 26557.00 12286.45 324475.32' 3600.00 53500.00" 11850.00: 22000.00. 6700.00. 1100.00: 100.00 3000.00 2520.00: 3400.00 1000.00 3500.00' 70.00. $3600.00 5000.00: 5000.00 10000.00 50000.00 12700.00 25000.00 r}TII$0-.6 5;86, 060.00 111,300.00 131, 000.00 117,270.00 27" 318.77 P .GE 27 SECTIOPI 2. That on the 15th day of December, 1928, an approximate estimate shall be made of the amount necessary to pay maturity claims until the first of January, 1929, and all amounts in exces of actual needs shall be converted into the general funds of the City, for the purpose of taking up obligations of the City. , SECTIOU 3. All ordinances or parts of ordinances in conflict herewith are hereby repealed. SECTIOU 4. This ordinance shall take effect and be in force from and after its passage, record and publication. PASSED BY THE BOARD OF COMMISSIONERS MARCH 19th, 1927 REbORDED BY RUIT?T CROSSLARD, CLERK, MCH 20th, 1928. SIGNED ! r -:XOR `i—