HomeMy WebLinkAboutOrdinances Book 12, Page 189, No Ordinance Number189 �
AN ORDINANCE REVISING THE STATEMENT OF ANTICIPATED REVENUES OF THE CITY
OF PADUCAH FOR THE YE AR 1950; REVISING AND AMENDING THE APPROPRIATION OF THE PUBLIC
REVENUE AND INCOME COLLECTED AND TO BE COLLECTED IN SAID YEAR; PROVIDING FOR THE
APPROPRIATION OF THE WHOLE OF THE REVENUE ANTICIPATED AND COLLECTIBLE DURING SAID
YEAR, INCLUDING REVENUES COLLECTED AND TO BE COLLECTED WHICH WERE NOT ANTICIPATED
AT THE TIME OF THE ADOPTION OF THE ANNUAL APPORTIONMENT ORDINANCE FOR THE YEAR 1950;
TRANSFERRING UNUSED APPROPRIATIONS FOR CERTAIN PURPOSES TO OTHER PURPOSES, AND
APPROPRIATING AVAILABLE REVENUES IN THE YEAR 1950 THAT WERE NOT INCLUDED IN THE
ANNUAL BUDGET; FIXING THE APPORTIONMENT OF THE PU LIC FUNDS FOR THE PURPOSES
SPECIFIED THEREIN; AND REPEALING ALL ORDINANCES IN CONFLICT THEREWITH
WHEREAS, under an ordinance adopted by the Board of Commissioners
on October 25, 1949, the fiscal year of the City of Paducah was changed from the
annual period which extends from January 1 to December 31 to that annual period
I which extends from July 1 to June 30; and
WHEREAS, in order to make the change in the period of the fiscal year
effective, the Board of Commissioners adopted on February 27, 1950 an apportionment
ordinance providing for the appropriation of the sum of $745,322.24 for payment of
the general governmental expenses of the city of Paducah for the year 1950, and also
providing for the appropriation of the sum of X313,500.00 for payment of said experts(
during the period from January 1, 1951 to June 30, 1951, provided the tax levies and
income were sufficient for payment of that amount; and
WHEREAS, by ordinance adopted on the 14th day of November, 1950 the fiscal
year of said city was re-established for that period from January 1 to December 31,
beginning on January 1, 1950; and
WHEREAS, the City of Paducah has collected during the year 1950 and up to
the 1st day of November, 1950, the total sum of $738,303.11 and it is anticipated
that the additional sum of $68,471.13 will be collected during the months of
November and December of the year 1950, not including any police court fines which
will be collected during said months, and there will be available for payment of the
current and general governmental expense of said city during the year 1950 the total
sum of $806,774.24; and
WHEREAS, by reason of pending litigation in which there has arisen the
question as to whether police court fines may be anticipated and included as a
source of revenue in an annual apportionment ordinance, it is deemed advisable to
make provision in this ordinance for the expenditure of only those fines that have
been collected up to November 1, 1950; and
WHEREAS, as a result of the collection of revenues greatly in excess
of the amount anticipated at the time of the adoption of the aforesaid 1950
apportionment ordinance, as well as the necessity of makin3 certain expen-
ditures not contemplated at said time, a revision of the apportionment of
the public funds must be made, and by said revision certain unused appropri-
ations for one purpose will be transferred to another purpose, and available
revenues not included in the annual budget will be made available to defray
the current and incidental expense of the city;
190
NOW, THEREFORE, BE IT ORDAINED BY THE BOARD
OF COMMISSIONERS OF THE
CITY OF PADUCAH, IENTUCKY:
SECTION 1. That the statement of the revenues of the City
of Paducah,
Kentucky, collected and anticipated
for the year 1950
be, and the
same is hereby
revised, and that the Board of Commissioners adopt for the year the following
statement:
Anticipated
Collected to
for year 1950
November 1, 1950 Uncollected
TAXES
Current years taxes -real & per.
$336,300.00
.',x329,963.28
$ 6,336.72
Prior years taxes
93500.00
93238.15
261.85
Franchises
71,880.00
30,983.24
40,896.76
Tobacco
250.00
248.36
1.64
Bank Shares
1,130.00
1,128.15
1.85
Penalty -Interest -Advertising
5,500.00
4,708.95
791.05
Polls
6,200.00
6,169.60
30.50
Housing Projects
1,705.00
1,701.23
3.77
LICENSES
Business License
121,495.00
121,489.75
5.25
Alcoholic Beverage Licenses
29,200.00
29,200.00
--
Auto & Truck Licenses
42,970.00
42,867.73
102.27
Motorcycle -Motorbike Licenses
55.00
54.50
.50
Employees Earning Tax
35,000.00
28,405.08
6,594.92
Penalties on Licenses
2,500.00
2,470.22
29.78
Dog Licenses
375.00
375.00
-- --
SUNDRY
Police Court Fines
31,216.90
31,216.90
-- --
Market House Rentals
3,800.00
3,327.50
472.50
Oak Grove Lot Sales
1,750.00
1,539.00
211.00
Oak Grove Burial Permits
4,000.00
3,282.00
718.00
Property Rentals & Sales
14,250.00
9,388.92
4,861.08
Street Division Receipts
1,120.00
1,116.12
3.88
Electrical Inspections
1,4-80.00
1,289.00
191.00
Building Permits
4,100.00
3,729.69
370.31
Parks
7,700.00
7,672.60
27.40
Parking Meter Receipts
40,000.00
33,669.88
6,310.12
City Scales
650.00
587.40
62.60
Parking Lot Receipts
600.00
543.60
56.40
Miscellaneous Receipts
9,000.00
8,670.02
129.98
TOTALS
$783,726.90
m5,255.77
$68,471.13
Cash surplus
23,047.34
GRAND TOTAL
$806,774.24
SECTION 2. The total sum
of 5806,774.24 is accordingly
fixed and
determined as the amount necessary for the maintenance of the general govern-
ment of the City of Paducah for the
aforesaid fiscal
period from
January 1,
1950 to December 31, 1950, and said
sum is hereby appropriated and apportioned
for the definite purposes and under
the definite account numbers,
departments,
offices and divisions of the city as follows:
Account
Number Account Title
Appropriation
GENERAL GOVERNMENT
1101 Mayor -Salary
.;1,800.00
1102 Commissioners -salaries
6,000.00
1112 City Clerk -Salary
2,500.00
1159 Traveling Expense
85.00
1161 Advertising
2,150.00
1169 Election Expense
400.00
1100 Board of Commissioners -salaries
,j12,935.00
1203
1220
1259
1273
1288
1290
1200
1308
1315
1300
1400
1500
1656
1657
1658
1679
1600
1700
1800
1926
1964
1973
1900
2150
2159
2162
2173
2190
2100
2326
2350
2373
2390
2300
2467
2596
2597
2598
2599
2500
3150
3159
3173
3174
3175
3176
3177
3178
3179
3185
3186
3190
3100
City Manager -salary
?4,845.00
Secretary -salary
2,500.00
Traveling Expense
150.00
Office Supplies
500.00
Miscellaneous Expense
225.00
Office Equipment
555.00
Totals
�8, 775.00
Corporation Counsel -salary
3,460.00
Asst. Corporation Counsel -salary
22000.00
Corporation Couhsels-salaries
5,460.00
Suits and claims
500.00
Contingent Fund
4,594.24
Telephone & Telegraph
1,900.00
Water & Hydrant Rentals
532000.00
Light & Fower
24,000.00
Refrigeration
200.00
Communication ' Utilities Totals
79,100.00
Insurance and Bond Premiums
5,200.00
i.'unicipal Organization Dues
700.00
Civil Service Commrs-salaries
15.00
I!edical Expenses
400.00
Postage 1,500.00
Totals 1,915.00
F INANC E
Salaries
Traveling Expense
Annual Audit
Office Supplies
Office Equipment
Treasury -Totals
Board of .equalization -salaries
Salaries
Office Supplies
Office Equipment
Assessors Totals
Professional Fees-Delq. Taxes
Funding Bond Principal
Funding Bond Interest
Bank Charges
Temporary Loan Interest
Contract Debt Totals
PUBLIC SAFETY
a arues
Traveling Expense
Office supplies
Gasoline
Oil & grease
Identification Supplies
Radio 11,1aintenance
Traffic System
Jail Provisions
Machine Parts
Materials & Supplies
Office Equipment
Police Department totals
17,836.00
425.00
2,000.00
3,900.00
4,330.00
28,441.00
750.00
4,065.00
900.00
1,200.00
6,905.00
2,000.00
42,000.00
10,712.50
175.00
204.50
53,092.00
108,335.00
500.00
450.00
4,400.00
225.00
225.00
4,600.00
1,100.00
2,350.00
3,200.00
300.00
320.00
126,005.00
191
192
3250
Salaries
113,496.00
3259
Traveling Exoense
100.00
3260
Laundry
300.00
3273
3274
Office supplies
375.00
3275
-Gasoline
Oil & Grease
300.00
3280
Fire Alarm System
90.00
475.00
3283
3285
Fuel
650.00
3286
Machine Parts
3,900.00
3287
Materials & Supplies
1 200.00
3290
-Building Maintenance
1,500.00
3291
Office Equipment
250.00
Machine Equipment
2' 100.00
3200
Fire Department Totals
124,736.00
3409
City Judge -Salary
3,380.00
3415
Asst. Corp. counsel -salary
1,660.00
3420
Secretary -salary
1,602.50
3473
Office Supplies
300.00
3490
Office Equipment
190.00
3400
Police Court -Totals
7,132.50
PUBLIC WELFARE
4167
4192
0Aerating Expenses
6,325.00
Health Center Bldg. Lease
370.00
4100
Health Center Totals
8,695.00
4200
Parks -white
29,000.00
4388
Parks -colored
6,500.00
4392
Swimming Pool Trust Fund
1,000.00
4300
Parks -colored Totals
7,500.00
4440
Dog Catcher -salary
2,230.00
4443
Temporary Personnel -salary
275.00
4474
4479
Gasoline
300.00
4485
Dog Provisions
110.00
4486
Machine Parts
175.00
Materials & Supplies
50.00
4400
Dog Pound Totals
3.140.00
4600A
4600B
McCracken Cc Recreation Fund
1,500.00
4600C
Family Service Society
3,750.00
4600D
Salvation Army
1,200.00
4600E
Friendly Home -white
800.00
460OF
Friendly Home -colored
600.00
460OG
Mothers Club
600.00
4600H
Settlement House
1,200.00
4600I
Association of Commerce
300.00
Labor-P4anagemen t Comm
50.00
4600
Contributions & Donations
11,000.00
4745
4759
Social Worker -sal ary
860.00
4764
Social Worker -travel Exp.
100.00
4765
Hospital Charity -Exp
20,000.00
4767
Pauper Burials & Inv.
600.00
City Physicians Salaries
5,480.00
4784A
Physicians supplies -white
200.00
4784E
Physicians supplies -colored
150.00
4700
Charity cases total
27,390.00
5141
Elevator Operator -salary
130.00
5142
Janitor -salary
1 700.00
5183
5186
Fuel
1,300.00
5187
Materials & Supplies
1,250.00
Bldg. Maintenance
4,750.00
5100
City Hall.- Totals
9,130.00
5247
Maintenance Man -salary
2,440.00
5272
Meter Parts
450.00
5200 Parking Meter Totals 2,890.00
193
5300 Old Peoples Home $550.00
5507
Market I.4aster
2,440.00
5586
Materials & Supplies
60.00
5587
Building Maintenance
800.00
5500
Matket- Totals
5644
Wharfmaster-salary
1,567.50
5683
Fuel
50.00
5687
Wharf Maintenance
1,100.00
5600
Wharf Totils
5707
Weigbmas ter -Salary
1,730.00
5773
Office Supplies
20.00
5783
Fuel
40.00
5787
Building Maint
40.00
5700
City Scales - Totals
6006
City Engineer - Salary
3,460.00
6074
Traveling Expense
300.00
6000
i
Engineering - Totals
16150
Salaries
18,620.00
6173
Office Supplies
475.00
16174A
Bldg. Insp. Travel Exp
300.00
16174
Gasoline
180.00
6175
Oil & Grease
10.00
6185
Machine Parts
185.00
6186
Materials & Supplies
160.00
6190
Office Equipment
125.00
16191
Machine Equipment
1,466.00
6100
Engineering Division - Totals
16250
Salarme s
80, 000.00
6270
Bridge Maintenance
1,915.00
6273
Office Supplies
10.00
6274
Gasoline
4,300.00
6275
Oil & Grease
1,175.00
6281
Paving Materials
11,800.00
6283
Fuel
500.00
6285
Machine Parts
4,225.00
6286
Materials & Supplies
1,675.00
6287.
Building Maintenance
1,075.00
6291
Iv?achien Equipment
6,500.00
6200
Street Division - Tbtals
6350
Salaries
12,400.00
6374
Gasoline
225.00
6383
Fuel
75.00
6385
Machine Parts
175.00
6387
Building Maintenance
600.00
6391
Machine Equipment
105.00
6393
Expansion &: Development
345.00
6386
Materials & Supplies
300.00
6300
Cemetery Division- totals
6450
Floodwall salaries
4,000.00
6458
Electricity
19,500.00
6467
Professional Services
2,800.00
6473
Office Supplies
50.00
6474
Floodwall gasoline
500.00
6486
Materials & Supplies
3,900.00
6490
Office Equipment
300.00
6491
Machine Equipment
3,340.00
6400
Floodwall - totals
7100
Municipal Housing Commission
20.00
7300
Electdic Plant Board
1,000.00
7400
Airport
4,000.00
7500
Belt Line Highway
5,000.00
7700
Real Estate Acquisition
.00
Totals
Public Works Reserve Fund
35,000.00
(Amount collected and anticipated
from payroll tax)
3,300.00
2,717.50
1,830.00
3,760.00
21,521.00
113,175.00
14,225.00
34,390.00
10,020.00
GRAND TOTAL $806,774.24
194
SECTION 3. The provisions of tha aforesaid apportionment ordinance
of March 7, 1950 are, insofar as they are in conflict with this ordinance,
and all other ordinances and parts of ordinances, in conflict herewith are,
to the extent of such conflict, hereby repealed.
SECTION 4. The City Clerk is hereby authorized to cause to be
published in the Sun -Democrat a notice of the introduction of this ordinance
and of the propesal to revise said statement of anticipated revenues and
the appropriation for the various governmental purposes in the year 1950,
said notice to be published at least one (1) week before this ordinance shall
be put upon its final passage.
SE13TION 5. This ordinance shall be introduced at a regular meeting
of the Board of Commissioners and remain on file for public inspection for
two weeks in the completed form in which it shall be put upon its final
passage, and said ordinance shall be retroactively effective as of
November 1, 1950.
/ jMayor
Introduced by the Board of Commissioners November 14, 1950
Passed by the board of Commissioners, November 28, 1950
Recorded by Sarah Thurman, City Clerk, November 28, 1950.