HomeMy WebLinkAboutOrdinance 414 N.C.S. 11/07/1955A31
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ORDINANCE NO. 414 N. C. S.
Introduced by Councilman W. C.
BROWN
Seconded by Councilman GEORGE
A. NORWOOD
ORDINANCE TO. AMEND THE AN-
NUAL: APPROPRIATION ORDI-
NANCE NO. 399 N. C. S. FOR THE
FISCAL YEAR JULY 1, 1955 TO
JUNE 30, 1956 FOR THE PURPOSE
OF APPROPRIATING AVAILABLE
REVENUE NOT INCLUDED IN THE
ANNUAL BUDGET IN THE TOTAL
SUM OF $10,042.32 FOR THE FOL-
LOWING PURPOSES: (1) $1,930.00
ADDITIONAL FOR PUBLIC SAFE-
TY AND HEALTH_, (2) $3,000.00 FOR
STORM WATER IMPROVEMENTS;
(3) $2,818.10 FOR UNBUDGETED
RESERVE, AND (4) $2,294.22 FOR
PARKING METER RENTAL, PUR-
CHASE AND IMPROVEMENT OF
LOTS.
BE IT ORDAINED BY THE COUN-
CIL OF THE CITY OF PETALUMA
AS FOLLOWS:
Section 1. That Section 1 of Ordi-
nance No. 399 N. C. S. be and the
same is hereby amended to read as
follows:
"Section 1. - That the City Council
has considered the tentative budget
submitted by the City Manager, and
has made a final budget of the esti-
mated amounts required to pay the
expenses of conducting the business
of the City Government for the next,
ensuing fiscal year as set forth in
Resolution No. 1516 N. C. S. adopt-
ed on the 5th day of July, 1955, and
Resolution No. 1531 N. C. S., adopted
on the 8th day of August, 1955, and
basing its action herein upon said
budget submitted by the City Man-
ager and made up as provided by the
City Charter, the Council hereby an-
propriates the total sum of $951,518.51
for the uses and purposes of govern -
ment of this City for said fiscal year
commencing on July 1. 1955, and end-
ing June 30, 1956, which said total
amount of aporonriations does not
exceed the estimated revenue of the
City for said fiscal year."
Section 2. That Section 3 of said
Ordinance No. 399 N. C. S. be and
the - same is hereby amended to read
as follows:
"Section 3. FROM THE GENERAL
FUND:
A. For administration of
general government
including' all bureaus
of Department of Fi-
nance, and Records,
and the Departments
of City Attorney, City
Manager, Mayor and
City Council, City
Planning Commission
Retirement and Mis-
cellaneous and Fixed
Expenses .................. .._$132:278.00
B. For Public Safety and
Health including the
Fire Department and
all bureaus of the Po-
lice Department .....$212,875.00
C. For recreation, includ-
ing the Public Library
and all bureaus of
the Recreation De-
partment ........................ 74,738.00
D. For Public Works or
bureau's of , the De-
partment of Public
Works ............................ 152,526.00"
Section 3. That Section 8 of said
Ordinance No. 399 N. C. S. be and
the same is hereby amended to read
as follows:
"Section 8. FROM THE PARKING
METER FUND FOR RENTAL, PUR-
CHASE AND IMPROVEMENT OF
PARKING LOTS ................ 21,594.22"
Section 4. That Section 11 of said
Ordinance No. 399 N. C. S. be and
the same is hereby amended to read
as follows:
"Section 11. FROM THE UN-
BUDGETED, RESERVE FUND FOR
UNBUDGETED EXPENDITURES TO
BE MADE DURING THE FISCAL
YEAR ................. ...._............. 21,476.12
Section 5. That a new section No.
13b be and the same is hereby added
to said Ordinance No. 339 N. C. S., to
read as follows:
"Section 13b. FROM THE 1953
STORM WATER AND DRAINAGE
FUND FOR STORM WATER"-`IM>
PROVEMENTS ..............:::.. 3,000.00" -'
Section 6. That Section 14 of said
Ordinance No. 399 N. C. S. be and
the same is hereby amended to read
as follows:
"Section 14. The — Auditor is as
thorized and directed-to transfer the
following amounts to the General
Fund as revenue for the General
Fund:
A, from the - Parking Me-
ter Fund' -in support of
budgeted expenses for
traffic, 'maintenance
an, d , administration
costs . ............................... 12,000.00
and from .the Parking
Meter Fund-to the
General Fund f o T
money due `said Gen-
eral Fund for traffic
maintenance and ad-
ministration costs —
1954 -55 ---- _--- - - - - ----- - - - - -- 8,476:78..
B. From the Wicker-
sham Park Fund in
support• of budgeted
exoenses for main-
tenance `thereof ............ 393.75
C. Fnom the Special Gas-
oline Tax Fund in
support of budgeted
expenses for engi-
neering and projects
on State Highways
and Streets of Major
Importance 15,696.00
D. rom the 1953 Sani-
t ^ry Sewer Construc-
tion Fund in 'support
of budgeted expenses
and sani - sewer proj-
ects ........._.._................... 7,252.00
E. From the' Equipment
11. Fund to
purchase equipment 12,100:00
F. From Unbudgeted Re-
serve to General Fund
to cover salary of
traffic officer .............. 1,930.00
Total Transfers to Gen-
cr ] Fund ......$57,848.53
Section 7. That Section 15 of said
Ordinance No. 399 N. C. S. be and
the same is hereby amended to
read as follows:
"Section 15. The Auditor is au-
thorized and directed to transfer the
following amounts from the General
Fund to the following reserve funds:
A. Equipment and Re-
placement, Fund for
depreciation 11,275.00
B. City Hall Construction
Fund ... ----------- _.._.._....... 8,637.00
C. Unbudgeted Reserve 20,791.10
D Parking Meter .Fund
(a /c sale of old City
Hall) -- -- ----- -------------- --.:.. 1,875.00
Total Transfers from
General Fund .................... $42,578.10"
Ordered published this 24th day
of October. 1955.
AYES: Councilmen Adams, Bige-
low, Brown, Gustafson, Norwood, and
illavor Schoeningh.
NOES: Councilman King.
ABSENT: None.
Signed: VINCENT J. SCHOENINGH,
Mayor of the City of
Petaluma.
Attest:
GLADYS R. WALLIN,
- City Clerk.
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I hereby certify that the within ordinance was published in full once in the
Petaluma Argus- Courier, a daily paper of general circulation, published within
the City of Petaluma, to -wit: October 27, 1955; and that the said Petaluma
Argus - Courier is the official newspaper of the City of Petaluma.
I hereby certify that the whole number of :members of the Council of the
City of Petaluma is seven, and that the foregoing ordinance was. passed by the
Council at its meeting of the 7th day of November, 1955, by the following vote,
to -wit:
AYES: Councilmen..Adams, Bigelow, Brown, Gustafson Norwood and Mayor
Schoeningh.
NOES: Councilman King.
ABSENT: None. = o
ATTEST:
(SEAL) City Clerk
The foregoing - Ordinance Number 414 N..C. S., having been regularly
passed and presented to me this 7th day of November, 1955; is hereby approved
by me this 7th day of November,' 1955..
EFFECTIVE DATE: December 7, 1955.