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HomeMy WebLinkAboutOrdinances Book 10, Page 836, No Ordinance Number3736 AN ORDINANCE FIXING THE APPORTIONMENT OF THE PU3,LIC FUNDS OF THE CITY OF PADUCAH, KENTUCKY, FOR THE YEAR 1943, and appropriating the public revenue and income of the City TO SUCH PURPOSES BE IT ORDAINED BY THE BOARD OF COMMISSIONERS OF THE CITY OF PADUCAH, KENTUCKY: er. ur mTnnr i Totals 16430.00 The public funds and revenues of the city of Paducah, I Kentucky, for the definite purposes and under the definite heads and departments pursuant to a budget prepated and sub- mitted by the City Manager be the Board of Commissioners shall be apportioned and appropriated as .follows: to -wit: GENERAL GOVERNMENT 100 Salary of Mayor $1800.00 101 Salary* of Commissioners 6000.00 102 Salary of City Manager 3600.00 103 Salary of City Stenographer 1740.00 104 Office Equipment .00 '105 Supplies -Advertising -Etc 144.00 106 Telephone & Telegraph 180.00 107 Subscription & Dues 12.00 ;108 Traveling Expense .00 110 Water Rentals 48240.00 111 Advertising .00 Totals 61716.00 MAINTENANCE & IMPROVEMENT ->CITY HALL 200 Salary of Janitor & Fireman -EK 860.00 201 Salary of Elevator Operator 734.00 i' 201A Extra Janitor & Elevator Op 150.00 202 Repairs to Bldg -Bowler -Etc 300.00 203 Misc, materials & Supplies 984.00 204 Fuel 960.00 205 Water Rentals 96.00 Totals 4084.00 ;ASSOCIATIONS & DONATIONS ,1300 Friendly Home for Children -W 1800.00 301 Friendly Home for Childred-C 600.00 303 Mothers Club 600.00 ,1304 Settlement House 780.00 305 Carnegie Library 7000.00 .307 Pauper Burials 600.00 309 WPA Projects 1004.00 11 1309A State School Lunch Program .00 310 Barks -White 11004.00 '!310A Swimming Pool 4500.00 310B Keiler Park 6781.00 !1 312 Salvation Army 360.00 314 Parks -Colored 3000.00 ,315 I' Red Cross 1000.00 �i Total 39029.00 ILEGAL DEPARTMENT �i400 Salary o Corporation Cm 3080.00 !1401 Sal of Asst " It 1200.00 402 Sal of Legal Stenographer .00 403 Stationary -Stamps -Supplies 150.00 404 Suits & Claims 4000.00 405 Legal Services -Back Taxes 8000.00 405A Back Tax Collections -Personal .00 Totals 16430.00 837 Totals -49301.11 PUBLIC HEALTH DEPARTMENT FINANCE DEPART14ENT 6 Salary o City Physician -White -Sa ar;/ o Treasurer $2480.00 Sal of City Physician -Colored 502 Salary of Auditor 1400.00 432.00 503 Sal of City Clerk-IIicense Inspr 684.00 1605 Drugs -Supplies & Alcoholic Admr 2202.67 Incineratpr expense 504 Sal of Machine Operator 1100.00 3500.00 505 Sal of Clerk -Improvement Acct 1400.00 611 505A Sal of 2 Clerks 2080.00 Special T.B. Fund 505B Sal of 2 Clerks 1840.00 240.00 506 Sal of Extra Clerks 1088.40 Totals 509 Sal of Tax Assessor's Clerk 1213.40 Maintenance of Equipment 510 Sal of Tax Assessor 1700.00 701 511 Sal of Board of Equalization 755.00 Sal of hief of Detectives 513 Prtg-Postage-Supplies 2004.00 514 Office Equipment 576.00 515 Advertising 2004.00 516 Auditing Expense 2100.00 43800.00 X518 Contingent Fund 14953.64 705 518A Family Service 8400.00 .'519 3000.00 Electa2cal Inspections 204.00 800.00 520 Civilian Defense Emergency 1500.00 1521 Pad Municipal Housing Com 300.00 Totals -49301.11 PUBLIC HEALTH DEPARTMENT DEPARTMENT 6 Salary o City Physician -White 2400.00 Salary Sal of City Physician -Colored 1580.00 1601 602 Dog Innoculations 432.00 i' 604 Incinerator I{eeper 684.00 1605 Drugs -Supplies 516.00 ;608 Incineratpr expense 36.00 ;609 McCracken County Public Health Dept 3500.00 610 Salary Inspector Weights & Measures .00 611 Weights & Measures -Supplies .00 612 Special T.B. Fund 500.00 613 Repairs to Building 240.00 614 Paducah Housing Bureau .00 Totals Purchase of Equipment 9888.00 POLICE DEPARTMENT Maintenance of Equipment 700 Salary of Uhlef 2780.00 701 Salary of Asst Chief 2000.00 ,702 Sal of hief of Detectives .00 1702A Identification Bureau 1880.00 1'703 Sal of Captains 8920.00 703A Sal of Lieutenant 1820.00 704 Sal of Patrolmen "A" 43800.00 Sal of Patrolmen "B" 705 Sal of Electrician & Act. Captain 1940.00 '706 Sal of Police Judge 3000.00 706A Sal of Judge's Secretary 800.00 707 Salary of Jailer 1640.00 707A Sal of Repairman & Asst Jailer .00 708 Equipment & Supplies 1000.00 709 Maintenance of Autos & Motorcycles 1000.00 709A Sal of tiuto Mechanic .00 710 Maintenance of Radio Equipment 504.00 710A Sal of Radio Mechanic 72.00 711 Gas & Oil 3000.00 712 Traffic Lights & Signal System 1200.00 713 Shhkionary-Stamps-Etc 600.00 714 Feeding prisoners 1920.00 715 Traveling Expense 150.00 716 Maintenance -City Jail 120.00 717 Pro Rata Sal of Chief Mechanic .00 718 Office Expense -Police Judge 204.00 719 Street Marking Paint -Brushes 480.00 720 Salary of Dog Catcher 1160.00 721 Uniform Fund .00 Total 79990.00 FIRE DEPARTMENT Salary of Chief 2480.00 801 Salary of Asst Chief 1880.00 802 Salary of Captains 9400.00 804 Sal of Switchboard Operators 4920.00 805 Salary of Mechanic 2060.00 806 Salary of Class "A" Firemen 41338.00 806A Salary of Class "B" Firemen .00 807 Purchase of Equipment 9233.92 808 Maintenance of Equipment 636.00 838 809 Maintenance of Vire Alarm System $ 204.00 810 Misc. Stores & Supplies 540.00 881 Gas & Oil 408.00 812 Laundry 240.00 813 Lights -Gas -Telephone -Ica 960.00 814 Fuel 258.00 815 Maintenance of Buildings " 240.00 816 Tires 84.00 817 Emergemcy Firemen .00 818 Traveling Expense .00 819 Uniform Fund .00 Totals 978 Repairs to Equipment 74771.92 STREET DEPARTMENT 60.00 Totals Salary o -uperintendent 2300.00 902 Salary of Clerk 1280.00 904 Salary of Watchman or night mechanic 1280.00 905 Salary of Mechanic 1st Class 1512.00 ',906 Salary of Mechanic 2nd Class 1256.40 906A Sal of General Repairman 1376.00 907 Sal of Flusher Operator 1480.00 908 Sal of Repairmen 3768.00 909 Sal of Machine Grader Bran 2513.20 911 Sal of Truck Drivers 5692.00 912 Sal of Teamsters 2280.00 913 Sal of Night Cartmen 2280.00 913A Sal of Day Cartmen 4080.00 914 Wages -Laborers 3060.00 914A Sal of Part Time Watchman 708.00 915 Purchase of New Equipment 1560.00 916 Maintenance.of Equipment 1920.00 917 Gas -Oil -Grease -Kerosene -Etc 2400.00 918 Tools 180.00 919 Materials & Supplies 300.00 920 Forage` 552.00 921 Lumber 48.00 922 Pipe 24.00 923 Asphalt -Cement -Road Oil 1500.00 924 Water Rent -Lights -Etc 192.00 925 Machine Shop -Electric Welding 18.00 926 Repairs to Cross Creek Bridge .00 Totals 43559.60 ENGINEERING DEPARTMENT 950 Salary of ity gineer .00 950A Engineer's Car Expense .00 951 Sal of Acting Engineer 2220.00 952 Salary of Chief Draftsman .00 953 Salary of Chief of Party .00 954 Salary of Rodman 1240.00 955 Salary of Asst Draftsman .00 955 Secretary 960.00 956 Materials & Supplies 120.00 957 Telephone & Telegraph 24.00 958 Salary of Chainman 1120.00 959 Salary of Promotional Engineer .00 TotAls 5684.00 SEWER DEPARTMENT V70 Wages of 2 men 2512.00 976 Gas-OiT-Grease 135.00 977 Materials 48.00 978 Repairs to Equipment 48.00 979 Water Rent -Flush Tanks 60.00 Totals 2803.00 PUBLIC INTEREST _ ,TO77 Pr1_n_c1P__a7 & Interest on bonds 57118.75 1001 Interest on Bank Iroans 240.00 1002 Trans of Remittances 181.51 Totals 57540.26 OAK GROVE CE14ETERY 1300 Sal o uperintendent 1400.00 1301 Wages of Laborers 4616.00 1303 Maintenance of Equipment 24.00 1304 Maintenance of Buildings 36.00 1305 Gas -Oil -Grease 120.00 1306 Tools -Materials -Supplies 360.00 1307 Lights -Fuel -Water -Telephone 156.00 Totals 6712.00 839 JiMARKET HOUSE Sa o Market Master $$1640.00 II 1402 Maintenance of Buildings 24.00 1403 Materials -Supplies -Etc 11404 Lights 90.00 -Water -Etc 96.00 iI 1405 Repairs & Improvements 1800.00 IITotals 3650.00 CITY SCALES 1500 Salary of Weighmaster 800.00 1501 Maintenance & Repairs 6.00 1502 Fuel 18.00 1503 Aupplies 36.00 Totals 860.00 AIRPORT 1700 Old Airport 1200.00 INSURANCE 180 Insurance -All types 1200.00 1801 Bonds -All Employees 1560.00 Totals 2760.00 I 1900 Lights-Street-,Nahit Way -Etc 17040.00 RIVERSIDE HOSPITAL 2040Riversi e Bond Approp 18000.00 2041 Riverside Equipment -Contracts 5670.63 2042 Riverside Operating Deficit -Etc .00 2030 Riverside Hospital .00 2030A Equipment for Riverside Hospital .00 Totals 23670.63 2100 Light Bulbs -All Departments 312.00 2101 Ice -All Departments 408.00 AIRPORT 22=77aintenance 5000.00 2200 Interest -Airport Bonds 535.88 Totals 5535.88 GRAND TOTALS 507055.40 SECTION 2. The apportionment and appropriation of the public funds and revenues of the City of Paducah for the year 1943, pursuant to the Budget adopted by the Board of Education 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 jas 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 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; Mand provided further that the levy for the benefit of the Paducah Junior College shall be paid by said City to the Treasurer of ,saiq college: 840 il SECTION 3. That on the 15th day of December, 1943, an approximate Amish estimate shall be made of the amount necessary to pay maturing claims until the 1st day of January, 1944, and all accounts 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. i SECTION 4. The increases in salaries paid to employees of the City of Paducah, including policemen and firemen, in excess of the I amount paid in 1942, as provided in the foregoing apportionment of public funds, such pay increases to begin May 1st, 1943, shall be effective during the remainder of the year 1943 and until an apportionment ordinance is adopted by the Board of Commissioners in the year 1944, i SECTION 5. it The necessity of fixing a rate of taxation in time to permit during the month of April the payment of taxes by persons who wish to take advantage of the discount allowable under the statute required the immediate adoption of an i ordinance apportioning the public funds for the year 1943; u therefore, in order to presenve and protect the public interest, it welfare and safety of the citizens and taxpayers of the City i of Paducah, an emergency is hereby declared to exist and this ordinance shall be in full force and effect from and after i I its adoption. i Ma yor— Introduced, March 30, 1943 Passed by the Board of Commissioners, April 6th, 1943 Recorded by Rudy Stewart, City Clerk, April 7th, 1943.