HomeMy WebLinkAboutOrdinances Book 12, Page 1364, No Ordinance Number3364/
AN ORDINANCE AMENDING THE STATEMERT OF ANTICIPATED REVENUE OF THE,
CITY OF PADUCAH FOR THE YEAR 1953; REVISING AND MNENDING THE APPROPRIATION OF THE Pi
LIC REVEZIM AND INCOI.1E COLLECTED AND TO BE COLLECTED IN SAID YEAR; PROVIDING FOR
THE APPROPRIATION OF THE ADDITIONAL REVENUE ANTICIPATED AND COLLECTED IN SAID YEAR,
INCLUDING REVENUE COLLECTED AND TO BE COLLECTED MICH ?MERE BiOT ANTICIPATED AT THE
TII•L OF THE ADOPTION OF THE ANIMAL APPORTION1•04T ORDIPIANCE FOR THE YEAR 1953;
TRANSFERRING UNUSED APPROPRIATIONS FOR CERTAIN PURPOSES TO OTHER PURPOSES; APPRO-
PRIATING AVAILABLE REVENUE IN THE YEAR 1953 THAT WERE NOT INCLUDED IN THE ANNUAL
APPORTIONI•ENT ORDINANCE; FIXING THE APPORTIOiii-IENT OF THE PUBLIC FUNDS FOR THE
PURPOSES SPECIFIED THEREIN AND REPEALING ALL ORDINANCES IN CONFLICT HERE?'IITH
WHEREAS, the City Manager in his budget for the year 1953 anticipated
the receipt by the City of Paducah of total revenue in the sun of ?1.,495,989.8$,
which revenues were appropriated for the various public purposes under the appor-
tionment ordinance adopted by the Board of Commissioners on I•11ay 12, 1953 and amended
on September 8, 1953, and
WHEREAS, by reason of increased public activities and the resulting
increased revenue, the City of Paducah has received and will receive ;12,237.66 in
addition_ to the sum of ;1,495,989.88 anticipated under the aforesaid ordinance, and
WHEREAS, in order to meet the emergency caused by the demands which
have been made upon the city for repairing streets, for more efficient police and
fire protection and for improvement of municipal services generally, the ex-
penditure of the aforesaid increased revenue is required and it has become necessary
to make a complete revision of the Statement of Anticipated Revenue for the year
1953 and to reapportion the public funds for said year;
Ii0?7 nHEREFORE, BE IT ORDAINED BY THE BOARD OF CO1.11ISSIONERS OF THE
CITY OF PADUCAH, IiENTUCKY:
SECTION 1. That the statement of rwvenue of the City of Paducah
collected and anticipated for the year 1953 be, and the same is changed, amended
and revised by adding thereto the sum of .;?49,559.72 and subtracting the over -
anticipation of certain sources of ';?47,322.06, making the total anticipated
revenue ,A,498,227.54 as shown by the following itemized statement thereof:
Source
Original and
amended estimate
for 1953 Add Subtract
Th,' ZS
Current years taxes --real. Per.
?x435,9.67.00
.,,12,000.00
Prior years ta::es
61060.00
1200.00
Franchise
83,000.00
6000.00
Tobacco
575.00
72.06
Bank Shares
1,575.00
793.23
Penalty-interest-adv.1,000.00
1000.00
Poll Taxes
$,310.00
150.00
Housing project
1,000.00
872.39
LICEESES
Business licenses
187_,000.00
7500.00
Alcoholic Bevera„e licenses
21;,000.00
2605.00
Auto w Truck licenses
65,000.00
20.00
Lotorcycle-motorbike licenses
65.00
1.00
rcinloyees earnir_g^, tal::
215,000.00
12250.00
Amended
423,867.00
7;200.00
$9,000.00
502.94
2,368.23
5,000.00
&,460.00
1,872.39
189,500.00
30,605.00
65,020.00
66.00
227,250.00
1365
Penalties on licenses
2,500.00
500.00
1102
3,000.00
Dog licenses
400.00
100.75
3,552.00
500.75
SUNDRY
800.00
1161
Advertising
5;000.00
Police Court fines
110,000.00
3,800.00
10,000.00
100,000.00
'•iarket house rentals
4,500.00
City-Kanager - Salary
100.00
4,400.00
Oak Grove Lot sales
2,000.00
''.
Clerk -typist Salary
2.,000.00
Oak Grove Burial permits
5,000.00
960.00
1,050.00
3,950.00
Property rentals & sales
12,000.00
Office supplies
7;400.00
4,600.00
Street Department -receipts
3,000.00
1290
1,900.00
1,100.00
Gas inspections
3,000.00
600.00
12.17
3,600.00
i,ISCELLAitEOUS
1218
illectrical Inspector - Salary
4,500.00
1247
Building permits
15,000.00
1259A
4,750.00
10;250.00
Electrical inspections
7,000.00
.00
250.00
6;750.00
Parks
23;000.00
1267.35
1,115.00
24,267.35
Parking Meter Receipts
80,000.00
4200.00
Bloc. Inspr gasoline
84;200.00
City Scale Receipts
600.00
1200.00
1,800.00
Parking Lot Receipts
2,500.00
600.00
1,900.00
receipts
14,000.00
9300.00
23,300.00
,I.iiscellaneous
Refuse collection
110,000.00
9,200.00
100,800.00
Totals
1,424,892.00
39,559.72
47,322.06
1,427,129.66
Cash Surplus
71,097.88
71,097.88
GRAND TOTALS
1,495,989.88
1,498,227.54
SECTIOPI 2. That the aforesaid additional revenue in the sum of
?2,237.66 (being the difference between ',49,559•.72 over and �47,322.Ob under)
be appropriated for public use, and certain of the unused appropriations be
transferred to other purposes; and there is hereby.appropriated the total sum
of ,211,498,227.54 for the definite purposes and under the definite heads, de-
partments and offices of the City of Paducah for the purpose of carrying on its
government in the year 1953 in the following amounts:
Amended
Appropriation Appropri-
1953 Budget Add Subtract ation
GENERAL GOVER15 IT
1101
i.?ayor 0 Salary -
1;800.00
1102
Commissioners - Salary
6;000.00
1112
City Clerk - Salary
3,552.00
1159
Traveling expense
800.00
1161
Advertising
5;000.00
1169
Election expense
3,800.00
1700.00
Board of Commissioners Total
20,952.00
1203
City-Kanager - Salary
7;200.00
1220
Secretary - Salary
3,408.00
1246
Clerk -typist Salary
2,200.00
1249
Personnel Survey
960.00
1259
Traveling expense
1,600.00
1273
Office supplies
3;100.00
1255
Miscellaneous expense
1,125.00
1290
Office equipment
350.00
Total
19,943.00
12.17
Building Inspector -salary
4,460.00
1218
illectrical Inspector - Salary
4,500.00
1247
Clerk -Salary
2 500.00
1259A
School for Bloc Inspr-
.00
Travel expense
.00
1273A
Bldg & Bloc Inspr
525.00
25.00
Office supplies
1,115.00
1274A
Bldg Inspr travel expense
825.00
1274
Bloc. Inspr gasoline
100.00
1291
.-chine equipment
1,300.00
Total 14,850.00 25.00 1,500.00 13,405.00
1,800.00
6,000.00
3,552.00
200.00
1,000.00
1000.00
6;000.00
500.00 .
4,300.00
1700.00
22,652.00
.1,311.42
5;885.58
3,405.00
711.77
1,455.23
.3..12
956.55
000.00
800.00
1,500.00
1000.00
1,125.00
200.00
150.00
4,526.31
15,116.69
4;460.00
4;580.00
2,500 -CO
.00
1,115.00
300.00
525.00
25.00
125.00
1,200.00
100.00
Total 14,850.00 25.00 1,500.00 13,405.00
1366
1350
Corporation Counsel -salary
7,820.00
250.00
5;070.00
1400
Suits L ClaiYas
?.,900.00
1;000.00
3;900.00
1500
Contingent fund
40,273.52
5,500.00
17,434.32
2$,339.20
Total
50,993.52
6,750.00
17,434.32
40,309.20
1656
Telephone w Telegraph
14;470.00
500.00
4,970.00
1657
?later :; Hydrant rental
43;700.00
43,700.00
1658
Light Cc Power
30,300.00
30,300.00
1679
Refrigeration
.00
600.00
600.00
Total
78,470.00
12100.00
792570.00
1.700
Insurance w Bond Premiums
6,800.00
1,900.00
$,700.00
l"CO
Kunicipal Organization dues
975.00
400.00
1,375.00
Total
7,775.00
2,300.00
10,075.00
1926
Civil Service Conmrs.-salary
15.00
15.00
1964
's,iedical expenses
2,000.00
300.00
2,300.00
1973
Postage
2,000.00
2,000.00
Total
4,015.00
300.00
4,315.00
FINANCE DEPART74ENT
! 2150
Salaries
33,332.00
2,000.00
31,332.00
12159
Traveling expense
2,225.00
1,200.00
1,025.00
7_162
Annual Audit
2,$00.00
300.00
21500.00
2173
Office Supplies
7,545.00
2,100.00
9,645.00
2190
Officw Equipment
5,300.00
70.00
5,370.00
Total
51,202.00
2,170.00
3,500.00
49,872.00
2326
Bd. of Equal -Salaries
1;125.00
300.00
1,425.00
2350
Salaries
9,345.00
500.00
8,845.00
2370
-Equal of Assessments
.00
.00
2373
Office Supplies
900.00
100.00
$00.00
2390
6ffice Equipment
340.00
340.00
Total
11,710.00
300.00
600.00
11,410.00
2467
Professional fees
delinquent taxes
.00
.00
2596
Funding bond principal
27,000.00
27,000.00
2597
Funding bond interest
6,025.00
6,025.00
259$
Bank charges
125.00
125.00
2599
Temporary Loan Interest
.00
.00
Total
33,150.00
33,150.00
POLICE DEPAI T1.11,1T
3150
Salaries
196,707.00
1,225.00
197,932.00
3159
Traveling expwnse
4;200.00
1,500.00
2,700.00
3172
Clothing Allowance
6,300.00
300.00
6,000.00
3173
Office supplies
1,500.00
500.00
1,000.00
3174
Gasoline
7,000.00
7,000.00
3175
Oil & Grease
350.00
150.00
200.00
3176
Identification supplies
500.00
200.00
300.00
3177
Radio I-kaintenance
2,000.00
2,000.00
317$
Traffic system
7,575.00
4,400.00
11,975.00
3179
Jail Provisions3,500.00
200.00
3,700.00
3185
•:achine parts
6,750.00
1,800.00
4,950.00
3186
i•:aterials C; Supplies
1,775.00
600.00
2,375.00
3190
Office Equipment
700.00
25.00
725.00
3191
Lachine Equipment
10,420.00
500.00
9,920.00
Total
249,277.00
6,450.00
4,950.00
250,777.00
FARE DEPARTME'MT
3250
Salaries
209,884.00
675.00
209,209.00
3259
TravelinZ expense
700.00
700.00
3260
Laundry
500.00
500.00
3272
Clothing Allowance
4,760.00
120.00
4,640.00
3273
Office supplies
150.00
120.00
270.00
3274
Gasoline
1,200.00
115.00
1,985.00
3275
Oil w Grease
325.00
220.00
105.00
3280
Fire Alarm System
500.00
150.00
350.00
3263
Fuel
500.00
135.00
635.00
3285
Lachine parts
1,800.00
6,460.CO
8,260.00
3286
ldat-erials C: Supplies
2,600.00
400.00
2,200.00
3287
Buildin"� maintenance
5,950.00
700.00
6,650.00
3290
Office equipment
3291
Kachine equipment
3292
i;ew building;
Total
3409
City Judge -Salary
3415
Asst. Corp. Counsel -Salary
3420
Secretary -Salary
3473
Office supplies
3490
Office equipment
Total
H IALTH DEP L_RT_ ei;T
4167
Operating expenses
4192
Building Lease
Total
4200
Parks White
Total
4388
Parks Colored
Total
4440
Dog Catcher -Salary
4479
41486
Dob provisions
Do_, Pound
Total
4600A
I cCracken Co. -_etre. Assn
1r600B
Family Service Society
4600C
Sal�ration Army
4600D
Friendly Home !qhi to
4600B
Friendly Hon, -.e -Color ad
4600E
I:others Club
460OG
Settlement House
4600H
Association of Commerce
46002
-Riverside Hospital
46001
Public Library
Total
1,745
Social [Yorker -Salary
4759
Social ?Jorkor-Travel 3,.
4764
Hospital Charity expense
47u5
Pauper Burials c: Inv.
4767
City Physicials-Silary
4784A
Physician supplies -white
4784B
Physician supplies -Colored
Total
5182
Janitor -salary
5153
Fuel
5186
Laterials L Supplies
5187
Building 1-aintenance
5190
Furniture Com -mission Chamber
Total
5247 sia5ntenance raen-salary
5272 i•Ieter parts
Total
5300 Old Peoples Home
Total
5507=•Iarket K-Iast4r-Salary
5556 ;Materials Z. supplies
5587 Building maintenance
Total
300.00 300.00
23,750.00 16,441.33 7,305.67
.00 25,928'.50 20,425.50
252,919.00 33,343.50 23,621.33 262,641.17
3,965.00 3,965.00
2160.00
150.00 2,910.00
40.00 1,915.00
350.00 350.00
300.00 300.00
9,250.00 190.00 9,440.00
9,000.00
2,370.00
11,370.00
50,150.00 10,500.00
50,150.00 10,500.00
13,290.00 1,500.00
13,290.00 1,500.00
4,200.00
250.00 50.00
175.00
4,625.00 50.00
.00
5,000.00
1,200.00
1,8100.00
600.00
600.00
1,200.00
1,000.00
.00
4,000.00
15 ,1;.00.00
1,!40.00
200.00
10,000.00 2,500.00
700.00
5,550.00
.00 200.00
.00 200.00
17,920.00 2,900.00
2,400.00
1,740.00
1;550.00
5,000.00
500.00
11,190.00
6,405-00
500.00 600.00
6,905.00 600.00
.00 175.00
.00 175.00
2,550.00 101.12
75.00
200.00 200.00
3,155.00 301.12
1,200.00
1,200.00
2,000.00
500.00
2,500.00
9,000.00
2,370.00
11,370.00
60,650.00
60,650.00
14,790.00
14,790.00
3,000.00
300.00
175.00
3,475.00
.00
5,000.00
1,200.00
1,800.00
600.00
600.00
1,200.00
1,000.00
.00
4,000.00
15,1.00.00
1,440.00
200.00
12,500.00
700.00
5,580.00
200.00
200.90
20,$20.00
2,400.00
1,740.00
1,550.00
3,000.00
.00
,690.00
6,405.00
1,100.00
7,505.00
175.00
175.00
2,951.12
75.00
400.00
3,456.12
1367
136$
5614 Wharfmaster-Saldry
5653 ?Fuel
5687 VA-iarf Kaintenance
Total
5707 t'ieighmaster-Salary
5773 Office supplies
5783 Fuel
5787 Building i•iaintenance
5900 Parking Lot
Total
ENGIi,IEERIIIG DEPARTI.WiIT
6150 Salaries
6159 Travel expense City Engir
6173 Office Supplies
6174 Gasoline
6175 Oil & Grease
16185 i•achine parts
6186 Materials Z. Supplies
6190' Office equipment
6191 I•Iachine equipment
Total
STREET DEPA?TI•_i:IIT
6250 Salaries
6259 Travel expense
6270 Bridge maintenance
6273 Office supplies
6274 Gasoline
6275 Oil & Grease
62$1 Paving materials
6283 Fuel
6285 1•7achine parts
6286 i•Iaterials & supplies
6287 Building maintenance
6290 Office equipment
6291 ;Machine equipment
Total
Cj i PTERY department
6350 Salaries
6374 Gasoline
6383 Fuel
6385 i•Iachine parts
63$7 Building maintenance
6386 i•_aterials & supplies
6391 iiachine equipment
6393 Expansion & development
Total
FLOOD?'TALL DEPARTI,19HT
6450 Salaries
6458 Electricity
6459 Travel expense
6473 Office aupplies
6474 Gasoline
6475 Oil L Grease
6486 i•iater ials & supplies
6490 Office equipment
6491 Kachine equipment
Totals
REFUSE DIMIC_I
6550Salaries
6573 Office supplies
6474 Gasoline
6575 Oil &� Grease
6586 i•iate-rials L supplies
6591 Equipment
2,004.00 200.00
2,204.00
50.00
50.00
75.00 100.00
175.00
2,129.00 300.00
4,429.00
2;.160.00
2,160.00
5.00
5.00
10.00
10.00
100.00
100.00
.00
.00
2,275.00 2,275.00
24,$$4.00
24,884.00
725.00
725.00
600.00
600.00
1$0.00
1$0.00
20.00
20.00
185.00
1$5.00
455.00
455.00
75.00
75.00
.00
.00
27,124.00 27,124.00
167,666.28
3,000.00
17,000.00
150,666.28
600.00
550.00
400.00
200.00
1,800.00
.00
1,800.00
750.00
1,050.00
900.00
50.00
500.00
400.00
10,020.00
1,500.00
11,520.00
1,380.00
800.00
2,1$0.00
73,500.00
10,000.00
63,500.00
1,300.00
600.00
700.00
8,315.00
700.00
9,015.00
8,250.00
4,000.00
900.00
12,250.00
4,325.00
750.00
3,000.00
5,075.00
1,200.00
150.00
1,200.00
35,400.00
2,000.00
25.00
37,400.00
314,656.28 9,750.00 29,250.00 295,156.28
17,420.00
3,000.00
98,485.08
17,420.00
300.00
550.00
.00
300.00
100.00
.00
1,800.00
200.00
2,800.00
100.00
500.00
50.00
26,17o.00
550.00
300.00
50.00
350.00
400.00
400.00
525.00
525.00
.00
.00
19,545.00
100.00
19,645.00
20,964.00
900.00
20,064.00
4,000.00
3,000.00
1,000.00
375.00
150.00
525.00
255.00
25.00
230.00
400.00
30.00
430.00
250.00
130.00
120.00
4,495.00
1,750.00
6,2!5.00
.00
.00
300.00
25.00
275.00
31,039.00 1,930.00 4,080.00 28,.889.00
95,485.08
3,000.00
98,485.08
50.00
500.00
550.00
.00
7_,000.00
2,000.00
.00
1,800.00
200.00
2,800.00
200.00
4,600.00
20,170.00
6,000.00
26,17o.00
Totals 117,505.00 14,500.00 132,005.08
13-9
7100
I•hznicipal Housing Commission
.00
00
7194
I.Iunicipal FIcusing Sevier
$,600.00
i 600.00
7300
Electric Plant Board
3,150.00
3,150.00
7400
Airport
12,500.00
12,500.00
7500
Belt Line Highway
.00
.00
77CO
Real Estate Acquisition
.00
.00
Total
24,250.00
24,250.00
CIVIL DEFENSE AGENCY
7850 Salaries .00 .00
7859 Traveling expense 625.00 235.00 390-00
78$5 i-;achine parts 125.00 125.00
7$$6 I',Iaterials & Supplies 1,$00.00 1,300.00 500.00
7891 Machine equipment .00 .00
7892 Idea Building .00 .00
Total 2:,550.00 1,535.00 1,015.00
7900 Housing removal fund .00 .00
8000 Planning and zoning 9,000.00 9;000.00
8100 Parking meter purchase 7,375.00 7,375.00
Total 16,375.00 16,375.00
GRAND TOTALS 1,495,989.85 97,234.62 94,996.96 1,498,227.54
SECTIOI 3. The provisions of this ordinance are severable and if any
provision, section, sentence, paragraph or part thereof shall be held invalid,
such decition shall not affect or impair the remainder of the ordinance, it being
the legislative intent to ordain and enact each provision, paragraph, section,
sentence or part thereof separately and independently of each other.
SECTION 4. All ordinances and parts of ordinances in conflict herewith
are, to the extent of such conflict, hereby repealed.
SECTION 5. The City Clerk is hereby authorized to cause to be published
in the Paducah Sun -Democrat a notice of the introduction of this ordinance and the
proposal to make the aforesaid transfers and appropriation of increased revenues
for the year 1953, said notice to be published at least one (1) meek before
this ordinance shall be put upon its final passage.
SECTION 6. This ordinance shall be in full force and effect from and
after its adoption.
ao�
Introduced by the Board of Commissioners December 8, 1953 :..pec. 15, 1953
Passed by the Board of Commissioners December 29, 1953
Recorded by Sarah Thurman, City Clerk, December 29, 1953
1370