HomeMy WebLinkAboutOrdinances Book 15, Page 96, No Ordinance NumberAN ORDINANCE FIXING THE APPORTIONMENT OF THE PUBLIC FUNDS OF
THE CITY OF PADUCAH, KENTUCKY, FOR THE YEAR 1963 AND APPROPRIATING
THE PUBLIC REVENUE AND INCOY!E, OF THE CITY OF PADUCAH FOR SUCH PURPOSES
WHEREAS, the City Manager in his budget for the year 1963
anticipated the receipt of total revenue in tine sum of $2,121,787.05.
NOW THEREFORE, BE IT ORDAINED BY THE BOARD OF COMMISSIONERS OF
THE CITY OF PADUCAH, KENTUCKY:
SECTION 1. The public funds and revenue of the City of Paducah,
Kentucky, for the year 1963, 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 of the City of Paducah, Kentucky, shall be apportioned
and appropriated as follows, to -wit:
Account
Number
Account Title
Appropriation
Board of Commissioners
City Manager - Salary
1101
Mayor - Salary
$ 3,000.00
1102
Commissioners - Salaries
10,000.00
1112
City Clerk - salary
4,491.00
1159
Traveling Expense
1,750.00
1161
Advertising Expense
4,200.00
3,600.00
1169
Election Expense
Machine Equipment
Totals 27,041.00
Totals 18,380.00
Citv Manager's Office
1203
City Manager - Salary
9,200.00
3,480.00
1220
Secretary - Salary
2,500.00
1259
Traveling Expense
1,100.00
1273
Office Supplies
1,500.00
1288
Miscellaneous
600.00
1290
Office Equipment
.00
1291
Machine Equipment
.00
Totals 18,380.00
Totals 110,550.00
Inspection Department
1250
Salaries
12,250.00
1273-A
Office Supplies
250.00
1274
Gasoline & Oil
400.00
350.00
1285
Machine Parts & Accessories
450.00
1290-A
Office Equipment
1291-A
Machine Equipment
.00
Totals
13,700.00
1350
Corporation Counsel - Salaries
10,302.00
6,000.00
1400
Suits & Claims
600.00
1401
Recording Fees & Court Costs
2,500.00
1402
Delinquent Tax Expense
5,887.05
1500
Contingent.Fund
Totals
25,289.05
1656
Telephone & Telegraph
8,000.00
48,000.00
1657
Water & Hydrant Rental
54,000.00
1658
Light & Power
550.00
1679
Refrigeration
Totals 110,550.00
97
1700
Insurance & Bond Premiums
$11,500.00
1800
MunicipLi Organization Dues
2,500.00
Totals
14,000.00
1926
Civil Service Commissioners - Salaries
15.00
1954
Social Security - City Portion
12,500.00
1955
Social Security Administration Expense
.00
196L
Medical Expense - All Employees
1,750.00
1973
Postage
3,000.00
1995
Police & Firemen Retirement Fund
70,520.00
Totals
87,785.00
Finance Department
2150
Salaries
37,000.00
2159
Traveling Expense
900.00
2162
Annual Audit
3,600.00
2173
Office Supplies
6,200.00
2190
Office Equipment
4,749.00
Totals
52,449.00
Assessor's Office
2326
Board of Equalization - Salaries
900.00
2350
Salaries
17,532.00
2359
Travel Allowance
600.00
2373
Office Supplies
1,024.00
2390
Office Equipment
.00
Totals
20,056.00
2598
Bank Charges
325:00
Police Department
3150
Salaries
252,000.00
3168
Training
1,500.00
3172
Clothing Allowance
6,150-00
3173
Office Supplies
1,500.00
3174
Gasoline & Oil
12,850.00
3176
Identification & Supplies
1,200.00
3177
Radio Maintenance
1,500:00
3179
Jail Provisions
7,000:00
3185
Machine Parts & Accessories
12,000.00
3186
Materials & Supplies
1,000.00
3190
Office Equipment
3,000.00
3191
Machine Equipment
12 000.00
Totals
311,700.00.
Fire Department
3250
Salaries
331,000.00
3250-A- Trainees - Salaries
3,300.00.
3260
Laundry
1,000.00
3272
Clothing Allowance
8,400.00
3273
Office Supplies
200.00
3274
Gasoline & Oil
1,900.00
3277
Radio Maintenance
600.00
3280
Fire Alarm System
750.00
3285
Machine Parts & Accessories
6,450.00
3286
Materials & Supplies
1,280.00
3290
3291
Office Equipment
Machine Equipment
.00
12,000.00
Totals
.366,880.00
Citv Court
3409
City Judge - Salary
5,200.00
3415
Asst. Corporation Counsel - Salary
3,720.00
3420
Secretary - Salary
2 875.00
3473
Office Supplies
360.00
Totals
12,155.00
-
Health Department
4167
Operating Expense
10,000.00.
98
Parks, Playground & Recreation Dept.
4250
Salaries
$91,920.00
4256
Telephone
540.00
4257
4258
Water
Electricity
2,400.00
4259
Travel Expense
7,200.00
2,000.00
4260
Laundry
25.00
4273
Office Supplies
300.00
4274
4283
Gasoline & Oil
Fuel
2,350.00
4285
Machine Parts & Accessories
850.00
1,900.00
4286
Materials & Supplies
31,015.00
4291
Machine Equipment
3,500.00
4293
Expansion & Development
4294
Swimming Pool Repairs
.00
.00
TOTALS
144,000.00
Dog Pound
4440
Salaries
3,600.00
4479
Dog Provisions
300.00
4485
Machine Parts & Accessories
50.00
Totals
3,950.00
4600-B
• Family Service Society
6,025.00
4600-C
Salvation Army
1 200.00
4600-D
Friendly Home (white)
1:800.00
4600-E
Friendly Home (colored)
600.00
4600-F
Mothers Club
600.00
4600-G
Settlement House
1,200.00
4600-K
Municipal Golf Park
1,500.00
4600-L
Mental Health Clinic
5,000.00
4600-M
Citizens Emergency Relief Fund
1,000.00
Totals
18,925.00
4745
Social Worker - White
2,810.00
4759
Social Worker - Travel Expense
300.00
4764
Hospital Charity Expense
16,000.00
4765
Pauper Burials & Investigations
250.00
4767
City Physicians
11 700.00
4784-A
Physicians Supplies - White
6,500.00
4784-B
Physicians Supplies - Colored
400.00
Totals
37,960.00
Maintenance Department
5150
Salaries
26,337.00
5174
Gasoline & Oil
215.00
5178
Traffic System
6,700.00
5185
Machine Parts & Accessories200.00
5186
Materials & Supplies
3 000.00
5187
Building Maintenance
11:675-00
5191
Machine Equipment
575.00
Totals
48,702.00
5272
Parking Meter Parts
250.00
Sewage Disposal Department
6050
Salaries
20,800.00
6058
Electricity
5,600.00
6073•
Office Supplies
100.00
6074,
Gasoline
250.00
6075
Oil & Grease
175.00
6083
6085
Fuel
Machine Parts & Accessories
1,200.00
1,400.00
6086
Materials & Supplies
3,500.00
6091
Machine Equipment
.00
Totals
33,025.00
Engineering Department
6150
Salaries
33,265.00
6159
Car Expense - City Engineer
600.00
6173
Office Supplies
550.00
6174
Gasoline & Oil
180.00
a
6185
6186
Machine Parts &. Accessories
125.00
6190
Materials & Supplies
625.00
6191
Office Equipment
125,00
Machine Equipment
.00
Totals
35,470.00
Public Works Department
Street Division
6250
Salaries
184,500.00
6270
Bridge Maintenance
12,600.00
6273
Office Supplies
130.00
6274
6275
Gasoline
Oil & Grease
12,500.00
6281
Paving Materials
3,000.00
65,000.00
6283
Fuel
.00
6285
Machine Parts & Accessories
14,000.00
6286
Materials & Supplies
7,500.00
6290
Office Equipment
350.00
6291
Machine Equipment
38,000.00
Totals
337,580.00
Cemetery Department
6350
Salaries
23,000.00
6374
6385
Gasoline & Oil
Machine
325.00
Parts & Accessories
160.00
6386
Materials & Supplies
400.00
6391
Machine Equipment
6393
Expansion & Redevelopment
.00
500.00
Totals
24,385.00
Floodwall Department
6450
Salaries
23,485.00
6450-A
Salaries - Part Time
6,000.00
6458
6473
Electricity
Office
2,000.00
Supplies
50.00
6474
Gasoline
525.00
6475
6483
Oil & Grease
Fuel
250.00
6485
Machine Parts & Accessories
.00
2,000.00
6486
60
Materials & Supplies
5,200.00
49
Office Equipment
.00
6491
Machine Equipment
4,500.00
Totals
44,010.00
Public Works Department
Refuse Division
6550
6560
Salaries
Laundry
137,500.00
6573
Office Supplies
1,550.00
250.00
6574
6575
Gasoline
5,500.00
6585
Oil & Grease
Machine Parts & Accessories
1,200.00
9,000.00
6586
6591
Materials & Supplies
2,000.00
Machine Equipment
10,000.00
Totals
167,000.00
7100
Municipal Housing Commission - Salaries
20.00
7700
Real Estate Acquisition
.00
Totals
20.00
7850
7900
Civil Defense
Civic Beautification
15,000.00
500.00
8000
8200
Planning & Zoning
5,000.00
8300
Air Pollution
Reserve - Southside Fire Station
700.00
9000
Reserve Contingency Fund
.00
9001
9002
Sewer Construction Expense
.00
70000.00
,
9003
Urban Renewal
Public Works Cumulative Reserve Fund
50,000.00
9004
Industrial & Economic Development Survey
.00
9005
Paducah -McCracken Development Council
.00
15,000.00
Totals
141,200.00
BRAND TOTALS
$2,121,787.05
100
SECTION 21The apportionment and appropriation of the public
funds and revenues of the City of Paducah for the year 1963, pursuant
to the budget 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
extend 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 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 Tfieasurer 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, The provisions of this ordinance are severable.
If any provision, 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.
SECTION 4. All ordinances and parts of ordinances in conflict
herewith are, to the extent of such conflict, hereby repealed.
SECTION 5. This ordinance shall be introduced and remain on
file for public inspection for at least one (1) 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 (10) days thereafter.
C-��Q..LCuLC`zG. '�-�l'LFC.2CLt�
C. Winston Gholson, Mayor Pr6 Tem
John Hornsby, ConinAssioner
Introduced by the Board of Commissioners June 25, 1963
Passed by the Board of Commissioners July 9, 1963
Recorded by Sarah Thurman, City Clerk, July 9, 1963.