HomeMy WebLinkAboutOrdinances Book 12, Page 1154, No Ordinance Number1154. / _ _
�y_29-53
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AN ORDINANCE FIXING THE APPORTIONMENT OF THE PUBLIC FUNDS OF THE CITY OF
PADUCAH, KENTUCKY, FOR THE YEAR 1953, AND APPROPRIATING THE PUBLIC REVENUES AND
INCOME OF THE CITY OF PADUCAH TO SUCH PURPOSES
WHEREAS, the City Manager in his budget for the year 1953 anticipated the
receipts of total revenues in the sum of $1,50$,9$9.$$; and
WHEREAS, it appears from the pattern of receipts for business licenses for
the first three months that a decrease_'o£ $1$,000 in amount of collections s#ould
be made making the total anticipated from this source $1$2,000:00; and
WHEREAS, it appears that the City Manager anticipated the receipt of recenu
from police fines in an amount of $105,000.00 and it now appears from the
pattern of receipts for the first three months that this can be increased to
$110,000.00; and
WHEREAS,, as,a result of the aforesaid adjustments which have been made,
the total amount of revenue which will be?paid into the General Fund of the City
of Paducah,in the year 1953 will amount of $1,495,9$9•$$;
NOW, THEREFORE,•BE IT ORDAINED BY THE BOARD OF COMMISSIONERS OF THE CITY
OF PADUCAH, KENTUCKY:
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. -Commissioners shall be apportioned and appropriated as follows, to-ifit:
Account
Number Account Title Appropriations
BOARD OF COMMISSIONERS
2101 Salaries $ 7,$00
2105 Representation $00
2115 Commission Advertising 3,000
2122 Election expense 3,$00
21$0 Furniture 500
Total 15,900
2200 PLANNING COMMISSION 9,000
Total 6,490
CIVIL SERVICE COMMISSION
2301
Salaries
15
2502
Total
15
2506
MUNICIPAL COURT
2401
Salaries
5,460
2402
Salaries, Extra
3$0
2440
Office Supplies
350
2442
Office Equipment
300
Total 6,490
Total 2$,470
GENERAL ADMINISTRATION
2501
Salaries
16,360
2502
Salaries, Extra
1x000
2506
Training400
2507
Travel
600
250$
Transportation Allowance
600
2513
Dues & Subscriptions
975
2514
Professional Services (P.A.S.
960
2515
Administrative Advertising
2,000
2516
Printing & Binding
2,000
2530
Misc. Services
125
2540
Office Supplies
1,100
2541
Postage
2,000
2542
Equipment Furniture & Fixtures
350
Total 2$,470
1155
UTILITIES
2617 Telephone & Telegraph
2618 Water (Ex. hydrants)
2619 Lights, Power & Gas
INSURANCE Total
2710 Employee Compensation
2711 E Employee Bonds
2712 Other Premiums
Total
TOTAL - GENERAL GOVERNMENT
3000 CONTINGENT FUND
LEGAL DEPARTMENT
4101 a aries
4230 Judgments and Claims
TOTAL - LEGAL DEPARTMENT Total
FINANCE DIRECTOR'S OFFICE
5101 Salaries
TREASURY AUDITING PURCHASING
5201 Sa aries
5205 Salaries, Extra
5206 Employee Training
5207 Travel
520$ Transportation
521y Annual Audit
5216 Printing & Binding
5230 Misc. Services
5240 Office Supplies
521,2 Office Equipment, Furniture & Fixtures
5290 Capital. Outlay
ASSESSOR'S OFFICE Total
5601 Salaries
5606 Training
5607 Travel
560$ Transportation
5640 Office Supplies
5680 Capital Outlay
DEBT SERVICE Total
5826 Ba t & Interest Charge
5890 Funding Bond Principal
5891 Funding Bond Interest
Total
TOTAL - FINANCE DEPARTMENT
ENGINEERING DEPARTMENT
6001 Salaries
6002 Salaries, Extra
6006 Training
6007 Travel
6009 Transportation
6030 Misc. Services
6040 Office Supplies
6042 Office Equipment, Furniture & Fixtures
6070 Misc. Materials & Supplies
TOTAL - ENGINEERING DEPARTMENT
INSPECTION DEPARTMENT
001 Salaries
002 Salaries, Extra
7006 Training
7008 Transportation
7016 Printing & Binding
7030 Misc. Services
7040 Office Supplies
7042 Office Equipment Furniture & Fixtures
7070 Misc. Materials L Supplies
7080 Capital Outlay
3,850
1,200
34,300
39,350
2,000
1,950
4,$50
8,800
$lo8,025
26,823.52
8,48o
5,000
13,480
7,260
21F, 072
2,000
200
600
.900
2,$00
5'650
=1'300
5,000
43,422
10,470
50
400
900
340
12,235
125
27,000
6,025
33,150
22,884
2,000
100
125
500
600
75
415
26,739
11,040
500
125
600
700
50
75
215
1,300
TOTAL - INSPECTION DEPARTMENT 14,680
1156
LAW ENFORCEMENT
8101
Salaries
8106
Training
8107
Travel
8116
Printing & Binding
8121
Radio System
8140
Office Supplies
8142
Office Equipment, Furniture
8146
Clothing, Arms, Ammunition
8147
Provisions for Jail
8348-$/7n
Misc. Materials & Supplies
8180
�Cepital Out ay
& Fixtures
Total
DOG POUND
8201 Salaries
8202 Salaries, Extra
8247 Feed
8270 Mise. Materials & supplies
Total
TOTAL - POLICE DEPARTMENT
FIRE DEPARTMENT
9001 Salaries
9006 Training
9007 Travel
9009 Lauddry
9018 Hydrant Use
9020 Fire Alarm System
9030 Misc. Services
9040 Office Supplies
9042 Office Equipment, Furniture & Fixtures
9043 Building Maintenance Materials
9044 Coal
9045 Cleaning Supplies & Equipment
9046 Clothing Allowance
9048 First Aid Supplies
9058 Gasoline
9059 Oil, Lubricants, Anti -freeze
9060 Tires
9061 Batteries
9062 Parts & Accessories
9070 Misc. Materials & Supplies
9080 Movable Property
9081 Building Construction
TOTAL - FIRE DEPARTMENT
PUBLIC WORKS DIRECTORS OFFICE
10101 Salaries
10102 Salaries, Extra
10106 Training
10107 Travel
10108 Transportation
10116 Printing & Binding
10130 Misc. Services
10140 Office Supplies
10142 Office Equipment, Furniture & Fixtures
10146 Clothing
10148 First Aid Supplies
10170 Misc. Materials & Supplies
Total
Total
196,707
3,000
1,200
1,000
2,000
500
700
7,800
3,500
700• .
10,420
7x-
227,602
2,400
1,800
250
175
4,625
209,784
500
200
500
42,500
500
500
150
300
2'500
goo
4,760
50
1;200
1, 000
200
600
1,150
23,750
3,450
295,419
17,620
5,000
200
75
250
350
75
850
300
75
200
25,545
120,874.92
2 500
1,$00
53,500
1'900
1,000
41,900
20,000
17,000
206,974.92
STREET & SEWER DIVISION
10201
Salaries
10224
Equipment Rental
10249
Bridge & Fence Materials
10250
Street, Curb, Sidewalk Material
10251
Sanitary & Storm Sewerage
10263
Tools
10270
Misc. Materials & Supplies
10280
Capital Outlay, Movable Property
10282
Street Construction
10283
Sewer Construction
Total
196,707
3,000
1,200
1,000
2,000
500
700
7,800
3,500
700• .
10,420
7x-
227,602
2,400
1,800
250
175
4,625
209,784
500
200
500
42,500
500
500
150
300
2'500
goo
4,760
50
1;200
1, 000
200
600
1,150
23,750
3,450
295,419
17,620
5,000
200
75
250
350
75
850
300
75
200
25,545
120,874.92
2 500
1,$00
53,500
1'900
1,000
41,900
20,000
17,000
206,974.92
1157
Total 53,831.36
TOTAL - PUBLIC WORKS DEPARTMENT 514,545.36
REFUSE DIVISION
10301
Salaries
95,485.08
10352
Refuse Collection Supplies
1,500
10370
Misc. Materials & Supplies
50
10380
Capital Outlay
20,170
11017
Total
117,205.08
11025
BUILDING MAINTENANCE & TRAFFIC DIVISION
180
10401
Salaries
24,289
10443
Building Maintenance Materials
5.,000
10444
Goal & Kerosene
3,200
10445
Cleaning Supplies & Equipment
1,500
10454
Parking Meter Maint. Materials
500
10455
Traffic Signal Maintenance
2,000
10457
Signs & Markings
5,575
10463
Shop Equipment & Tools
500
10470
Misc. Materials & Supplies
50
10480
Capital Outlay
12,375
10481
Garages Renovation
5,000
Total
54,989
EQUIPMENT MAINTENANCE
10601
Salaries
14,231.36
10630
Misc. Services
10642
Office Equipment, Furniture & Fixtures
1,350
10658
Gasoline & Diesel Fuel
1$,000
10659
Oil, Lubricants, Anti -Freeze
2,000
10660
10661
Tires
Batteries
4;500
500
10662
Parts & Accessories
11,000
10663
Shop Equipment & Tools
$50
10670
Misc. Materials & Supplies
100
10680
Capital Outlay
2,800
Total 53,831.36
TOTAL - PUBLIC WORKS DEPARTMENT 514,545.36
TOTAL - FLOOD CONTROL DEPARTMENT 27,309
FLOOD CONTROL DEPARTMENT
11001
Salaries
17,964
11002
Salaries, Extra
3,000
11007
Travel
75
11008
Ttansportation
300
11017
Plant Communication
620
11025
Building Rental
180
11030
Misc. Services
300
11040
Office Supplies
75
11043
Building Maintenance
175
11059
11063
Oil Lubricants
Toois
�3p
11064
Seed & Sertilizer
2,190
11070
Misc. Materials & Supplies
1,700
11080
Capital Outlay
X300
TOTAL - FLOOD CONTROL DEPARTMENT 27,309
Total 17,920
OAK GROVE CEMETERY
12001
7a -fa -ries
11,820
12002
Salaries, Extra
5,600
12010
Office Supplies
100
12063
Shop Equipment & Tools
525
12064
12070
Plants Seeds fertilizer
Misc. Aateriais & Supplies
75
225
TOTAL
- OAK GROVE CEMETERY
18,345
PUBLIC WELFARE - PUBLIC ASSISTANCE
13101
Salaries
72020
13108
Transportation
200
13123
Hospital & Medical Services
10,000
13130
Misc. Services
700
Total 17,920
1158
13230
FAMILY SERVICE SOCIETY
5,000
13430
StTTLEMENT HOUSE
1,200
13530
DONA TIONS
4,200
TOTAL -
PUBLIC 11alFARE
2$,320
14000
CIVIL DEFENBE
2,55.0
RECREATIBN AND PARKS
15100
White Park Board
50,150
15200
Colored Park Board
11,790
TOTAL -
RECREATION AND PARKS
61,940
PUBLIC HEALTH
16025
Building Lease
2,370
16030
Public Health Center
9,000
TOTAL -
PUBLIC HEALTH
11,370
17000
CITY --COUNTY AIRPORT
10,000
1800
PADUCAH PUBLIC LIBRARY
4,000
19000
ELECTRIC PLANT BOARD
19014
Professional gervices
3,150
TOTAL -
ELECTRIC PLANT BOARD
3,150
22000
CHAMBER OF COMMERCE
.1,000
GRAND TOTAL $1,495,989.$$
SECTION 2. The apportionment and appropriation of the public
funds and revenues of the City of Paducah for the year 1953, pursuant to the
Budger adopted by the Board of Commissioners of the City of Paducah and the
levy made to meet the requirements of said 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 1�e 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 sinking fund purposes and for the
payment of school improvement bonds shall be retained by the City Treasurer and
apportioned and applied to said accounts; and provided further that the levy for
the benefit of the Paducah Junior College shall be paid 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 Board of.Trustees of the Public Library.
SECTION 3. That on or about the 15th day of December," 1953, an
approximate estimate shall be made of the amount necessary to pay maturing
claims until the first day of January 1954; 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 discharging obligations of the City. '
SECTION 4. The provisions of this ordinance are severable. If any
provisions, section, paragraph, sentence or part thereof shall be held invalid,
such decision shall not affect or impair the remainder of the ordinance, it
being the legislative intent to ordain and enact each provision, paragraph,
sentence and part thereof, separately and independent of each other.
1159
SECTION 5. All ordinances and parts of ordinances in conflict herewith are,
to the extent of such conflict, hereby repealed.
SECTION 6. This ordinance shall be introduced and remain 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.
Mayor
Introduced by the Board of Commissioners April 28, 1953
Passed by the Board of Commissioners htay 12, 1953
Recorded by Sarah Thurman, City Clerk, May 12, 1953•