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HomeMy WebLinkAboutOrdinances Book 9, Page 720, No Ordinance NumberPage 720 AN ORDINANCE FIXING TET: APPORTIONMENT OF THE PUBLIC FUNDS OF TRE CITY OF PADU CAH FOR THE YEAR 1932. BE IT ORDAINED BY THr Ba^.P.D 0 C0T T5IS1.IONERS OF THP•. CITY OF PADUCAH, KrIITUCY,Y: SECTION 1. That the apportionment of the public funds or revenues of the City of Paducah, Kentucky for the year 1932 for the different purposes and under the different heads, shall be as follows, to -wit: DEPART'JEWT OF PUBLIC AFFAIRS Estimated to be expended as follows, to tit: Salary - Mayor 3600.00 City Stenographer ............................ 1200.00 Police Judge. ..... ..................... 3000.00 Police Judge-Steno„rapher .................. 90.00 City Solicitor ............................... 2700.00 CityAttorney ................................ 648.00 Health Officer ... 100.00 Milk and Meat Inspector 1200.00 Sanitary Inspector ........................... 500.00` Incinerator Keeper ......................... 480.00 Anti T.B. Sanitarilk ......................... 1200.00 Carnegie Library 4000.00 Home of the -Friendless 1800.00 Colored Home of the Friendless ............... 600.00 Mothers' Club ................................ 600.00 Settlement House............................. 600.00 Health & SanitarySupplies ...................500.00 Boy Scouts ............ 200.00 Parks................................5500.00 !later Rentals 45500.00 Costs & Suits ................................ 3000.00 City Physician .......................r 1500.00 Assistant City Physician ..................... 600.00 Total DEPARTr°PYT OF PUBLIC SA'-71TIY Estimated to be expended as follows, to -wit: Salary - Commissioner ..................... q 3240.00 Police Department Salaries ................... 41700.00 Supplies and Traffic Lights .................. 5500.00 City Jail, Salaries and supplies ............. 2988.00 Fire Department Salaries................... 47500:00 AP Su' lies Fire Department 4500.00 Payment on truck leased in 1928 .............. 2072.00 Miscellaneous Charity ........................ 4500.00 Total -1111200000- Pnge 721 DEP: RTMET OF PUMM FINANCE Estimated to be expended as follows: Salary - Commissioner ........................... Y 3240.00 Auditor ................................. 1800.00 Assistant Auditor 1200.00 Special Bill Clerk .............................. 1500.00 Office Clerk 860.00 E;ntra Office Help ................................ 990.00 City Clerk ...................................... 1000.00 License Inspector 1200.00 Assessor ........................................ 1500.00 Assistant Assessor ......... .................. 860.00 Board of Equalizers ............................. 1615.00 DoS Catcher.. ........................ 600.00 Printing, Postage &Sunplies .................... 8000.00 Total 24365.00 Sundry Interest on City Bonds and Notes 3rd District Sewer Bonds ........ 30,000.00 Other Sundry Bonds (other than schools) ............ 13,920.00 Sewer Bonds of 1926 ............. 1,687.50 Bridge Bonds of 1926 ............ 1,350.00 Street Bonds of 1926 ...... . 5,400.00 City of Paducar Funding Bonds 9,625.00 Interest on 1931 Notes 21,000.00 82982.50 Sinking Fund ' 3rd District Sewer Bonds ........ 15,000.00 .General Sinking Fund ............ 12,999.99 Sewer Bonds of 1926 ............. 2,500.00 Bridge Bonds of 1926 2,000.00 Street Bonds of 1926 4,000.00 City of Paducah Funding Bonds 11 1,000.00 37499.99 Interest on Bills Payable .................. 4000.00 Cash Deficit'January 4, 1932 .................. 582.00 Completion of 1931 Audit and installing new Accounting system by Cotton & Eskew 2500.00 New Office Books and Forms .................... 500.00 City Improvement Bills ........................ . 907.74 Refunds.. ................................. 200.00 Old 1933 City Bills 1609.47 Exchange on New York Remittances 140.00 Contingent Fund ............................... 8520.0,0 Total 163806.70 AP'OP.^1I0FTT-ITT FOR SCHOOL PURPOSES Interest and Sinking Fund, including 1911 levy for School Improvement Bonds 45831.93 School Board Budget estimated, including advalorem tax of 0.80 to be collected and paid over by the City 195598.40 Total School Finds $ 241430.33 Pa.,,e 722 DEPART???I'T OF PUBLIC PROPERTY Estimated to be expended as follows, to -wit: Salary Cormnissioner ........................... :;� 3240.00 Riverside Hospital.............. ,.50,500.00 Improvement -Riverside Hosintal .1,000.00 57.500.00 Oak Grove -Salaries £: Ftreets .................... 6460.00 City Hall -Salaries &. Suonlies ................... 3300.00 Repairs -Public Buildings ... 2000.00 City Scales.................. 1000.00 Market House -Salaries 1, Supnli.es ................ 2400.00 17harf Master.. ................. 100.00 City Street, Bridge&AlleyLights .............. 18000.00 Bonds City Employees 1000.00 Insurance ........................................ 2000.00 'To t-a.I__91000.00- DEPARTIMNT Oil PUBLIC ':IORKS Estimated to be expended as follows, to-vit: Salary -Commissioner ........................... 3240.00 Engineering Department ........................... 8000.00 Street Department ................................ 32740.00 Sewer Department ................................. 2000.00 Total 0 0.00 TOTAL APPORTIO?' - FOR CITY PRRPOSES s INTRREST AND SII?KING FUND, SCI -1,00L I'PPOVE?r", YT BONDS 45831.93 SCHOOL GENTMAL FUNDS ................................. 195598.40 Total School Funds $ 241430.33 SECTION 9. That on the 15th day of December 1952, an approximate estimate shall be made of the amount necessary to pay maturity claims until the first day of January 1933, and all amounts in excess of actual needs shall be converted into the general funds of the City for the nurpose of taking 'lp obligations of the city. ST'CTIOR 3. All ordinances or parts of ordinances in conflict herewith are hereby repealed. TOTAL OF ALL DEPART DEPART?':TENT OF PUBLIC AFFAIRS ......................... 79118.00 DEPARTIVTNT 'OF ='UBLIC 1.7ORKS ........................... 46000.00 DEPART,77NT Or' PUBLIC SAFFTY .......................... 112000.00 DEPARTrENT OF PUBLIC PROPERTY ......... .............. 91000.00 DEPARTIrrf.NT OF PUBLIC FINANCE ......................... 163806.70 TOTAL APPORTIO?' - FOR CITY PRRPOSES s INTRREST AND SII?KING FUND, SCI -1,00L I'PPOVE?r", YT BONDS 45831.93 SCHOOL GENTMAL FUNDS ................................. 195598.40 Total School Funds $ 241430.33 SECTION 9. That on the 15th day of December 1952, an approximate estimate shall be made of the amount necessary to pay maturity claims until the first day of January 1933, and all amounts in excess of actual needs shall be converted into the general funds of the City for the nurpose of taking 'lp obligations of the city. ST'CTIOR 3. All ordinances or parts of ordinances in conflict herewith are hereby repealed. Page 723 , SECTION 4. This ordinance shall tako effect and be in force from and after .its passage, record and. publication. _. G Signed , / Mayor Passed by the Board of Commissioners April 11th, 1932. Recorded by RudyySte--::art, Clerk , April 12th, 1932. 7 7%. �,e.:_la�-Ann `� • _ �