HomeMy WebLinkAboutOrdinances Book 16, Page 101, No Ordinance Number101
AN ORDINANCE FIXING THE APPORTIONMENT OF THE PUBLIC FUNDS OF THE
CITY OF PADUCAH, KENTUCKY, FOR THE YEAR 1967 AND APPROPRIATING THE
PUBLIC REVENUE AND INCOME OF THE CITY OF PADUCAH FOR SUCH PURPOSES
WHEREAS the City Manager in his budget for the year 1967 anticipated
the receipt of total revenue in the sum of x;2,728,233.70.
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 year 1867, for the definite purposes and under the
definite heads, departments, offices and divisions, pursuant to a bud -et
prepared and submitted by the City Manager to the Board of Commissioners
of the Citv of Paducah, Kentucky, shall be apportioned and appropriated
as follows, to -wit
ACCOUNT
NUMBER ACCOUNT TITLE APPROPRIATION
GENERAL GOVERNMENT
11 ADMINISTRATION
100 Personal Services $52,3$0.00
Contractual Services
201
Advertising
6,000.00
202
Maintenance of Office Ecuipment
100.00
203
Travel &Meetings - Commissioners
1,000.00
201,
Travel & Meetings - Manager
1,000.00
201
Dues & Subscriptions
2,300.00
206
Court Costs X. Fees
600.00
207
Election Expense
4,300.00
Commodities
301
Office Supplies
800.00
302
Miscellaneous
200.00
Contingencies
0.00
(00
Capital Outlav
400.00
TOTAL
$69,0$0.00
12 TREASURER'S OFFICE
100
Personal Services
55,800.00
Contractual Services
201
Maintenance-O£fice Equipment
1,500.00
202
Equipment Lease
2,200.00
203
Car Allowance
900.00
201,
Independent Audit
3,000.00
205
Delinquent Tax Expense
1,500.00
206
Postage
3,500.00
207
Miscellaneous
0.00
208
Secretary Pension Fund
600.00
Commodities
301
Officeies
5,000.00
E.00
Capital Outlav
12,700.00
TOTAL
863700.00
13 ASSESSOR'S
OFFICE
100
Personal Services
21,450.00
Contractual Services
201
Car Allowance
400.00
202
Maintenance -Office Equipment
150.00
203
Appraisal Services
125,00
Commodities
301
U Mce upplies
600.00
102
13 600 Capital Outlay 0.00
TOTAL 22,725.00
14 EMPLOYEE BENEFITS
L01
Medical Insurance
31,000.00
L02
Social Security
36:800.00
403
Employee Medical Expense
0.00
1,04
Life Insurance
6,500.00
405
Workman's Compensation Ins.
22,000.00
TOTAL
96,300.00
15
INSURANCE
401
Fire
5,000.00
1,02
Bonds
800.00
4.03
Liability & Accident
10,000.00
40L•.
Auto Comprehensive
1,400.00
TOTAL
17,200.00
16
800
SUITS AND CLAIMS
3,000.00
17
700
DEBT RETIREMENT
20,969.00
1$
CITY
BUILDINGS
100
Personal Services
26,950.00
Contractual Services
201
Elevator Service
564.00
202
Telephone
13 200.00
203
Water & Sewer
2,250.00
204
Heat, Light & Power
25,000.00
205
Water Treatment
650.00
206
Heat Pump Service
3,000.00
Commodities
301
Janitorial Supplies
4,300.00
302
Building Maintenance
3,500.00
TOTAL
79,414.00
PUBIC SAFETY
21
POLICE
100
Personal Services
316,000.00
Contractual Services
201
Training
3,000.00
202
Clothing Allowance
7,000.00
203
Radio Maintenance
1,760.00
204
Maintenance - Auto Equipment
6,040.00
205
Maintenance - Office Equipment
160.00
Commodities
301
Office Supplies
400.00
302
Tickets, Reports &. Forms
2,200.00
303
Training Supplies
1,200.00
304.
Gasoline & Oil
12,500.00
305
Identification Supplies
600.00
306
Jail Provisions
5,700.00
307
Police Supplies
1,200.00
308
Machine Parts Accessories
5,500.00
400
Pensions
58,320.00
Capital Outlay
661
Automobiles
13,600.00
602
Office Equipment
250.00
TOTAL
435,430.00
22
FIRE
100
Personal Services
45$,000.00
Contractual Services
201
Laundry
1,000.00
202
Clothing Allowance
8,400.00
203
Radio Maintenance
500.00
204
Training
400.00
20s
Hydrant Rental
52,150.00
103
Commodities
22
3010 ic�fe Supplies
100.00
302 Gasoline & Oil
1,500.00
303 Fire Alarm Parts
0.00
30k Fire Supplies
750.00
305 Housekeepine Supplies
175.00
306 Machine Parts & Accessories
2,000.00
400 Pensions
86,490.00
6,00 Capital Outlav
4,500.00
TOTAL
615,965.00
-23
800 CIVIL DEFENSE
10,000.00
.24
DOG POUND
Commodities
301 Dog Provisions
300.00
302 Machine Parts &. Accessories
100.00
303 Gasoline & Oil
130.00
Contributions
501 Humane Society
4,200.00
TOTAL
4,730.00
.25
CITY COURT
100 Personal Services
16,050.00
Contractual Services
201 Witness &. Jury Fees
100.00
Commodities
301 Office upp1ies
400.00
TOTAL
16,550.00
26
200 STREET LIGHTINr.
54,800.00
PUBLIC SERVICE
31
ENCINEERINr.,
100 Personal Ser*rices
44,500.00
Contractual Services
201 Car Allowance
650.00
202 Maintenance -Office Equipment
175.00
203 Consulting Service
500.00
Commodities
301 Of ice Supplies
500.00
302 Gasoline & Oil
100.00
303 Engineering Supplies
600.00
304 Machine Parts &. Accessories
100.00
600 Capital Outlav
0.00
TOTAL
47,265.00
32
FLOODWALL
Personal Services
101 Salaries
36,170.00
102 Part Time Operators
6,000.00
Contractual Services
201 Electricity
3,000.00
202 Maintenance of Equipment
600.00
203 Equipment Rental
1,500.00
204 Telephone
1,030.00
205 Travel Ar: Meetings
200.00
Commodities
301 Office Supplies
50.00
302 Gasoline
b00.00
303 Oil & Grease
200.00
3011 Machine Parts & Accessories
1,500.00
305 Materials Fr. Supplies
3,000.00
600 Capital Outlav
0.00
TOTAL
53,850.00
104.
33 SEWAGE TREATMENT
100 Personal Sereices
Contractual Services
201 Electricity
202 Fuel
203 Maintenance of Equipment
201• Telephone
205 Travel Fr. Meetings
Commodities
301 Office Supplies
302 Gasoline
303 Oil & Grease
301: Machine Parts & Accessories
305 Materials & Supplies
600 Capital Outlav
TOTAL
34 STREETS AND SEWERS
100 Personal Services
Contractual Services
201 Maintenance of Equipment
Commodities
301 Office Supplies
302 Gasoline
303 Oil &, Grease
304 Nachine Parts Pr. Accessories
305 Patching Materials
306 Concrete Materials
307 [Materials %r. Supplies
308 Seal Coatinp Materials
309 Bridpe Maintenance
Capital Outlay
(01 Equipment
602 Street Paving
TOTAL
35 REFUSE
100 PersonalServices
Contractual Services
201 Laundry
202 Maintenance ofEquipment
Commodities
301 Office Supplies
302 Gasoline
303 Oil & Grease
304 Machine Parts & Accessories
305 Materials Fr. Supplies
600 Capital Outlay
TOTAL
36 TRAFFIC SYSTEM h.. PARKING METERS
100 Personal Services
Contractual Services
201 Electricity
203 Parkinj- Lot Rental
Commodities
301 Gaso ine & it
302 Machine Parts R; Accessories
303 Parkinp Meter Parts
304 Traffic Supplies
305 Traffic Light Repairs
600 Capital Outlay
TOTAL
,127,550.00
6,500.00
600.00
150.00
570.00
200.00
80.00
300.00
175.00
2,500.00
2,000.00
41,125.00
213,000.00
500.00
80.00
8,000.00
2,200.00
16,000.00
12,000.00
22,000.00
10,000.00
9,000.00
0.00
19,000.00
80,000.00
391,780.00
173,000.00
1,400.00
1,000.00
50.00
6,400.00
1,200.00
8,000.00
1,000.00
25,500.00
217,550.00
13,700.00
1,200.00
0.00
250.00
200.00
350.00
3,500.00
500.00
2,750.00
22,450.00
105
HEALTH AND WELFARE
1;.1 CITY PHYSICIAN
100 Personal Services :15,480.00
TOTAL 18,700.00
1:3 500 HEALTH DEPARTMENT 12,000.00
PARKS, RECREATION AND CE14ETSRY
51 ADMINISTRATION
100 Personal Services 17,820.00
Contractual Services
201
Hospital Expense
12,000.00
202
Car Allowance -Social Worker
300.00
203
Office rental
0.00
300
Commodities
400.00
301
Medical Supplies
1,500.00
TOTAL
TOTAL
29,280.00
12 WELFARE
AND FACILITIES
501
Family Service Societv
5,250.00
r02
Salvation Armv
1,200.00
r03
Friendly Home - Burnett
1,800.00
501.
Friendlv Home - Rudy
600.00
505
Mothers Club
2,400.00
50E
Settlement House
1,200.00
40"
Mental Health Clinic
5,000.00
509
Citizens Emerpencv Relief
1,000.00
509
Pauper Purials
250.00
r10
Economic Opportunitv Council
0.00
TOTAL 18,700.00
1:3 500 HEALTH DEPARTMENT 12,000.00
PARKS, RECREATION AND CE14ETSRY
51 ADMINISTRATION
100 Personal Services 17,820.00
300 Commodities 3,500.00
TOTAL 40,420.00
Contractual Services
201
ii%:aintenance of Office Equipment
75.00
202
Telephone
1,100.00
203
Travel and Meetin,es
450.00
300
Commodities
400.00
(00
Capital Outlav
4.50.00
TOTAL
20,295.00
F2 PARKS
AND FACILITIES
100
Personal Services
58,600.00
Contractual Services
201
Maintenance o auipment
600.00
202
plater and Sewer
900.00
203
LiEht and power
3,200.00
201,
Fuel
1,100.00
20�
Ball Field Lip�hts
2,850.00
Commodities
301
Machine Parts & Accessories
3,000.00
302
Gasoline Oil
1,900.00
303
Materials & Supplies
21,000.00
Capital
Outlay
601
Machine Equipment
7,500.00
602
Expansion & Development
3,000.00
TOTAL
103,650.00
53 SUPERVISED
ACTIVITIES
Personal Services
101
Salaries
14,820.00
102
Part time instructors
18,200.00
Contractual Services
201
Rental of Schools
2,500.00
202
Bowling
900.00
203
Car Allowance
500.00
300 Commodities 3,500.00
TOTAL 40,420.00
106
54 SWIMMING POOL
100 Personal Ser -ices
Contractual Ser -ices
201 Maintenance of Equipment
202 Water F• Sewer
203 Electricity
300 Commodities
TOTAL
55 PAXTON PARK
56 CEMETERY
100 Personal Services
Commidities
301 Gasoline Fr Oil
302 Machine Parts 1r Accessories
303 Materials 1, Supplies
600 Capital Outlav
TOTAL
COP•UVIUHITY DEVELOPMENT
E:1 INSPECTION DEPARTMENT
100 Personal Services
Contractual Services
201 Car Allowance
202 Maintenance of Office Equipment
203 Demolition
Commodities
301 Office Supplies
302 Gasoline Fr. Oil
303 Machine Parts Rr. Accessories
Capital Outlav
601 Office Equipment
602 Autommbiles
900 Miscellaneous
TOTAL
62 500 CONCENTRATED CODE ENFORCEMENT PROJECT
(3 500 PLANNING COMMISSION
61 500 URBAN RENEWAL
65 OTHER
Contributions
501 Civic Beautification Board
502 Municipal Housinrr Commission
503 Labor -Management Committee
S06 Human Relations Committee
505 505 Chamber of Commerce
506 Development Council
Miscellaneous
901 Public Information
902 Industrial Promotion
TOTAL
90 900 CONTINGENT
110 800 CIVIL SERVICE PENSION FUND
GRAND TOTALS
$> 9,300.00
100.00
825.00
1,200.00
1,1,00.00
11,825.00
1,500.00
28,000.00
275.00
300.00
100.00
400.00
29,075.00
24,000.00
300.00
75.00
500.00
700.00
250.00
200.00
0.00
0.00
0.00
26,025.00
20,000.00
13,000.00
50,000.00
500.00
20.00
0.00
200.00
0.00
0.00
3,000.00
500.00
4,220.00
1,420.70
40,000.00
$2,728-;233.70
107
SECTION 2. The apportionment and appropriation of the public
funds and revenues of the City of Paducah for the year 1967, pursuant
to the budget adopted by the Board of Commissioners of the City of
Paducah and the lery 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
dxtent onlv, shall he 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
pavment 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 Librarv.
SECTION 3. The provisions of this ordinance are severable. If
anv provision, section, paragraph, sentence or part thereof shall be
held invalid, such decision shall not affect or impair the remainder
of the ordinance, it bein, the legislative intent to ordain and enact
each provision, paragraph, sentence and part thereof, separately and
independent of each other.
SECTION LF. 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 he put upon its final passage, and said
ordinance shall be in full force and effect ten (10) days thereafter.
Playor
Introduced by the Board of Commissioners April 18, 1967
Passed by the Board of Commissioners April 25, 1967.
Recorded by Sarah Thurman, City Clerk, April 25, 1967