HomeMy WebLinkAboutOrdinances Book 11, Page 659, No Ordinance Number659
AN ORDINANCE FIXING THE APPORTIONMENT OF TIE PUBLIC FUNDS OF
THE CITY OF PADUCAII, KENTUCKY, FOR THE YEAR 1949 AND APPROPRIATING
TIM PUBLIC REVENUE AND INCOME OF THE CITY TO SUCH PURPOSES
:7HEREAS, THE CITY MANAGER IP1 HIS BUDGET FOR 1949 ANTICIPATED
A TOTAL REVENUE OF ;690,211.70 I_dTO THE GENERAL FUND OF THE CITY;
II AND
'JITEREAS, it appears that the City Manager's anticipation of
;:315,000 from current real and personal property taxes locally
assessed can be increased by $2,300 and of $69,000 from property
taxes on franchise companies can be increased by $500, such in-
creases resulting from a levy of three cents (3y) instead of four
cents (4T) for the Appointive Employees Pension Fund, and that his
anticipation of $40,000 from finds can be increased by $1,000
Iand of $1,000 from cemetery lot sales can be increased by .',1,000;
and
WHEREAS, said increases will increase the total anticipated
revenue into the General Fund from $690,211.70 to $695,011.70;
NOW THEREFORE, BE IT ORDAINED BY THE BOARD OF COM-IISSIONERS
OF THE CITY OF PADUCAH, P.ENTUCKY:
SECTION 1. The public funds and revenues of the City of
Paducah, Kentucky, for the definite purposes and under the definite
heads,- departments, offices and divisions pursuant to a budget
prepared and submitted by the City Manager to the Board of Comm-
issioners shall be apportioned and appropriated as follows, to -wit:
Account
Number Account Title Appropriation
Total 8,610.00
1308
BOARD OF COMMISSIONERS
3,420.00
1101
Mayor -salary
$1,800.00
1102
Commissioners -salaries
6,000.00
1112
City Clerk -salary
2,460.00
1159
Traveling expenses
50.00
1161
Advertising
1,000.00
1169
Elections
2,200.00
1700
Total
13,510.00
1800
OFFICE OF CITY 1o'1ANAGER
490.00
1203
City Tc'anager-salary
5,000.00
1220
Secretary -salary
2,460.00
1259
Traveling expenses
150.00
1273
Office supplies
800.00
1288
Miscellaneous expenses
100.00
1290
Office ecuipment
100.00
Total 8,610.00
1308
Corporation Counsel -salary
3,420.00
1400
Suits and claims
8,000.00
1500
Contingent fund
3,819.45
1656
Telephone and telegraph
1, 400.00
1657
:later and hydrant rentals
51 OCO.00
1658
Li,ht and power
20,000.00
1679
Refrigeration
450.00
1700
Insurance and bond premiums
5,500.00
1800
Miunicipal organization dues
490.00
1900
Civil Service Commissioners -salaries
15.00
660
Total 23,210.00
Assessor
Office of Citysessor-sa
DEPARTI-'ENT OF FIA?A`?CE
2313
C y Asary
2,460.00
Office of the City treasurer
Deputy Assessors -salaries
2,055.00
2105
City Treasurer -salary
,'x",3,420.00
234G
2114
Auditor -salary
2,220.00
office supplies
2127
Deputy treasurers -salaries
8,040.00
100.00
2128
Bookkeeper -salary
1,980.00
3115
2146
Temporary personnel -salaries
340.00
Captains -salaries
2159
Travelinr expenses
450.00
10,080.00
2162
Annual audit
2,000.00
3133
2173
Office supplies
4,G00.00
Policemen -salaries
2190
Office equipment
160.00
Total 23,210.00
Total 6,090.00
2467
Assessor
Office of Citysessor-sa
500.00
2313
C y Asary
2,460.00
2325
Deputy Assessors -salaries
2,055.00
2326
Board of Equalization -salaries
750.00
234G
Temporary personnel -salaries
100.00
2373
office supplies
625.00
2390
Office equipment
100.00
Total 6,090.00
2467
Professional fees for back taxes
500.00
2596
Funding bonds -principal
42,000.00
2597
Funding bonds -interest
13,042.50
2598
Bank charges
225.00
2599
Temporary loans -interest
100.00
POLICE DEPARTt.'EITT
3104
Chief of Fo'_ice-salary
3,420.00
3110
Asst. Chief of lolice-salary
2,760.00
3115
Chief Detective -salary
2,700.00
3121
Captains -salaries
12,900.00
3122
Lieutenants -salaries
10,080.00
3132
Sergeants -salaries
12,300.00
3133
Jailer -salary
2,460.00
3134
Policemen -salaries
57,120.00
3146
Temporary personnel -salaries
100.00
3159
Traveling expenses
100.00
3164
medical expenses
150.00
3173
office supplies
500.00
3174
Gasoline
4,800.00
3175
Oil and grease
225.00
3176
Identification supplies
150.00
3177
Radio maintenance
500.00
3178
Traffic system
850.00
3179
Jail provisions
1,800.00
3185
machine parts and accessories
2,600.00
3186
t:?aterials and supplies
450.00
3191
machine equipment
5,000.00
Total
120,965.00
FIRE DEPARTMENT
3204
Fire Chief -salary
3,420.00
3210
Asst. Fire Chief -salary
2,760.00
3221
Captains -salaries
15,480.00
3222
Lieutenants -salaries
15,120.00
3223
Switchboard operators -salaries
7,112.00
3224
mechanic -salary
2,700.00
3232
Engineers -salaries
19,680.00
3235
Firemen -salaries
45,600.00
3259
TravelinE expenses
150.00
3260
Laundry
325.00
3264
Medical oxpenses
150.00
2273
Office supplies
70.00
3274
Gasoline
600.00
3275
Oil and •„reale
100.00
3280
Fire alarm system
500.00
3283
Fuel
500.00
3285
Machine parts and accessories
3,995.00
3,086
Materials and supplies
862.00
3287
Building maintenance
1,215.00
Total
120,339.00
3311
Alcoholic Beverage Administrator -salary
103.75
3359
Alcoholic Leverage Administrator-ex^enses
100.00
CIT., COURT
3409
City JLdge-salary
3,250.00
3415
Asst. Corp. Counsel -salary
1,e20.00
3420
Secretary -salary
1,620.00
3473
Office supplies
310.00
f
Total 3,800.00
061
Total 37,026.00
HEALTH DEPARTMENT
4167
Operating expenses
35,.475.00
X192
3uilding lease
2,370.00
5183
Total
7,845.00
4200
Parks (white)
28,000.00
4388
Parks (colored)
6,300.00
4392
Swimming pool (colored) trust fund
1,000.00
5247
DOG POUPID
4440
Dog Catcher -salary
2,190.00
4443
Temporary personnel -salary
300.00
4474
Gasoline
325.00
4479
Provisions
100.00
4485
Machine parts and accessories
100.00
4486
1.1terials and supplies
25.00
5586
Total
3,040.00
5587
CONTRIBUTIOPIS AND CHARITY
700.00
4600A
McCracken County Recreation Assn.
1,000.00
46009
Family Service Society
5,000.00
4600C
Salvation Army
1,200.00
4600D
Friendly home (white)
1,800.00
4600E
Friendly Home (colored)
600.00
4600F
i:;others Club
600.00
460OG
Settlement (louse
1,200.00
4600H
Association of Commerce
300.00
4745
Social worker -salary
840.00
4759
Social worker -traveling expenses
120.00
4764
'ospital charity cases
18,500.00
47c5
Pauper burials and inquests
886.00
4767
City physicians -salaries
4,680.00
4784A
City phys. (white) -supplies
150.00
4784E
City phys. (colored) -supplies
150.00
Total 37,026.00
Total 3,620.00
I
CITY BALL
5141
Elevator operator -salary
1,680.00
5142
Janitor -salary
1,750.00
5183
Fuel
1,300.00
5186
Materials and supplies
500.00
5187
=:uilcling maintenance
2,000.00
Total
7,230.00
5247
General maintenance man (including
parking meters)
1,800.00
5272
Parking meters -parts and accessories
500.00
Total
2,300.00
5300
Old Peoples Ilome-building maintenance
400.00
CITY MARiMT
5507
:.'arke tmas ter-salar y
2,410.00
5586
;:ateri'als and supplies
50.00
5587
Euilding maintenance
700.00
Total
3,160.00
CITY WHARF
5644
'Wharfmaster-salary
1,488.00
5683
Fuel
30.00
5687
:7harf maintenance
150.00
Total
1,658.00
CITY SCALES
5707
weighmaster-oalary
1,638.00
5773
Office supplies
75.00
51,183
Fuel
50.00
57II7
Buil?in., maintenance
100.00
Total
1,863.00
DEPAR7.'MNT OF PUBLIC WORKS
6006
City Engineer (head of dept.) -salary
3,420.00
6074
City EnSineer-traveling expenses
200.00
Total 3,620.00
I
662
Total 19,315.00
Engineering Division
6107
T�4. i y na neer-salary
w3, 060.00
6117
Building Inspector -salary
2,520.00
6118
Electrical Inspector -salary
2,760.00
6120
Secretary -salary
1,860.00
6129
Ins trumentman-salary
2,460.00
0130
Rodman -salary
1,980.00
el31
Chainman-salary
1,800.00
6147
Clerk -salary
1,550.00
0173
Office supplies
350.00
6174A
E-uilding Inspector -traveling expenses
300.00
6174:
Electrical Inspector -traveling expenses
300.00
6185
Machine parts and accessories
150.00
6186
I."aterials and supplies
150.00
0190
Office equipment
75.00
Total 19,315.00
SECTION 2. That the Deputy Treasurer (License inspector)
City Engineer, Building Inspector and Electrical Inspector s; -1 -all
be paid seven cents (7g) per mile, not to exceed .,'P.00 for any
one calendar month, and the Social ':'docker shall be paid seven
cents (7�) per mile, not to exceed X10.00 in any one calendar
month, for the use of their own cars on official business, and
such expenses shall be charged to the traveling expense accounts
provided herein.
SECTION 3. That the amount of .'p1,000 appropriated in
Account Pio. 4392 shall be paid Into a special trust fund in the
ti7.t
,AWA [falx
Street Division
6207
Street Super ntendent-salary
3,180.00
6219
Foreman -salary
2,460.00
6224
':'echanics-salaries
4,526.00
6228
Secretary -salary
1,950.00
6236
PLachine operators -salaries
12,315.00
6237
Truck drivers -salaries
15,704.00
6238
Mechanic and general repairman -salary
2,375.00
6239
Street repairmen -salaries
6,289.00
6243
Laborers -salaries
11,078.00
6244
Natchmen-salaries
3,671.00
6248
Sevier maintenance men -salaries
9,252.00
5264
Medical expenses
150.00
6273
Office supplies
15.00
6274
Gasoline
4,500.00
6275
Oil and grease
850.00
6281
Paving materials
3,500.00
6283
Fuel
330.00
6285
Lachine parts and accessories
3,500.00
6286
Miaterials and supplies
1,CC0.00
6287
Building maintenance
920.00
6291
;:'achine equipment
4,000.00
To to 1
91, 565.00
Cemetery Division
6307
Superinten en -salary
2,160.00
6343
Laborers -salaries
8,600.00
6374
'Gasoline
175.00
6383
Fuel
25.00
5385
Machine parts and accessories
375.00
6386
Materials and supplies
600.00
6387
Building maintenance
330.00
6391
Machine equipment
200.00
6393
Expansion and development
2,000.00
Total
14, 465.00
Flood,vall Division
6458
Electricity
6,000.00
Dept, of Public ':orks -
Total 134,965.00
7100
Municipal housing Commission -salaries
20.00
7300
Electric Plant Board
1,000.00
7400
City -County Airport (Barkley Field)
8,000.00
7500
Belt -line 3iChnay
1,500.00
GRAND TOTAL
;1695,011.70
SECTION 2. That the Deputy Treasurer (License inspector)
City Engineer, Building Inspector and Electrical Inspector s; -1 -all
be paid seven cents (7g) per mile, not to exceed .,'P.00 for any
one calendar month, and the Social ':'docker shall be paid seven
cents (7�) per mile, not to exceed X10.00 in any one calendar
month, for the use of their own cars on official business, and
such expenses shall be charged to the traveling expense accounts
provided herein.
SECTION 3. That the amount of .'p1,000 appropriated in
Account Pio. 4392 shall be paid Into a special trust fund in the
ti7.t
,AWA [falx
663
custody of the City Treasurer for the purpose of constructinC a
SW immin" pool for colored people, providing, other funds are made
available that will guarantee a sufficient amount to complete such
constructlon, and providing further that said sum of •P1,COO shall
revert to the General Rind of the city if such construction is not
11completed by December 31, 1959.
SECTION 4. That the City Treasurer may may, from Account No.
2146, not to exceed x20.00 per month to the secretary to the City
Judge, dependent upon the quantity and Quality of work performed
by said Secretary fox, his office, and the determinations of the
City Treasurer of the amounts to be so paid shall be final and
conclusive, or the City Treasurer may use the appropriation in
Account No. 2146 for the employment of other temporary personnel.
SECTION 5. The apportionment and appropriation of the public
funds and revenues of the City of Paducah for the year 1949, pur-
suant to the Eudger adopted by the Board of Commissioners of the
City of Paducah and the levy made to meet the requirements of :aid
Board under said budget, as well as the rates of other levies as
approved and established by the Board of Commissioners of said City
and to that extent only, shall be added to and included in the
tax bills for said year, and shall be collected by the City
Treasurer and accounted for as collected, and as required by law
to be accounted for to the Board of -Education of said City,
except that so much of said taxes as are levied and collected
for interest and sinkinZ fund purposes and for the payment of
school improvement bonds shall be retained by the City Treasurer an
apportioned and applied to said accounts; and provided further that
the levy for the benefit of the Paducah Junior College shall be pai
by said City to the Treasurer of said College, and the levy for the
benefit of the public library shall be paid by said City to the
Eoard of Trustees of the rublic Library.
SECTION 6. That on or about the 15th day of December, 1949,
an approximate estimate shall be made of the amount necessary to
pay maturing claims until the lat day of January, 1950, and all
amounts in excess of said actual needs shall be converted into the
General Fund of the City for the purpose of taking up and dis-
chargin, obligations of the city.
SECTIOIT ? The provisions of this ordinance are severable.
If any provision, section, paragraph, sentence or past thereof
shall be hold invalid, such decision shall not affect or impair
the remainder of the ordinance, it being the '_e,,illative intent
to ordain and enact each provision, paragraph, sentence and part
thereof, separately and independent of each other.
664
SECTION S. All ordinances and parts of ordinances in
conflict herewith are, to the extent of such conflict, hereby
repealed.
SECTION 9. This ordinance shall be introduced and remail
on file for public inspection at least one week in the completed
form in which it shall be put upon its final passage, and said
ordinance shall be in full force and effect_ ten days after its
adoption.
14 -
introduced by the Board of Commissioners February 15, 1941
Passed by the Board of Commissioners, February 23, 1949
Recorded by Sarah Thurman, City Clerk, February 23, 1949.