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HomeMy WebLinkAboutOrdinance 691 N.C.S. 08/19/1963i i I , i I ( j - ORDINANCE NO. 691 N:C.S. ..: .... 2,609:00 ment Fund ...:..: 40;000:00 INTRODUCED BY COUNCILMAN' (c) Repayment of Principal and -In (d) W a t e r Dept n Maintenance (), assess,nent',Bonds and Interest. and Operation Fund ... 260,190.00 JOHN W. . CAVANAGH, JR. SEC erest on Planning I:oari 1;500,00 (g) From Water Dept'. .Maintenance ONDED,BY COUNCILMAN HERBERT (d) Off= S�reet Parking Interest and . and Operation Fund to Water • C'.ORD ' GANS. Redemption . 15,313.00 Dept Surplus Revenue Fund ANNUAL APPROPRIATION TOTAL TO DEBT FUND ..,_, 45;300.00 ...$81,625.00 INANCE FOR THE FISCAL Section 1S That the amounts a s YEAR.JULY;1, 1963' TO JUNE ",30; 1964 Section S. TO' THE P A R K I N G ,propriated under the above Sections BE IT ORDAINED BY''THE CQUN- METER FUNll for operating.. ex; of this Ordinance, shall be expended - penses_ .. _: $23;469,0il `and used, "in accordance .and in com- CIL_ OF. "THE CITY OF PETALUM A, aect b. TO" TH&.S A N I T,;A,R.Y Section 1. S, SEWER MAINTENANCE AND CON nuance with the: annual budget ere - AS' FOLLOWS' the City Council tofore adopted by the City Council STRUCTION k`UND for, maintenance Lin Resolution No. 3256 N.C_S., has considered - the tentative budget ' nd calptal : operation a protects`. 'that - changes in such bud with re- get w but submitted by the City Manager„ and -- .$125.851.03; lction to_ the appropriat ors within has ". a final budget, of the esti• ection, 7. TO THE- RECREATION each :respective Section of 'this Or- mated amounts required to `pay the SWIMMING POOL FUND for opera dinance may be changed and altered e the S 'C ty mente business, of the tion the Swiniing Pool . -,$3,710 by,- resolution ution adopted by, the City b1 resol Section 8. `TO THE SPECIAL. GAS mini tratThe City Manager may ad- next ensuing fiscal. year as set forth TAX. STREET IMPROVEMENT FUND ively make changes wit hin in' Resolution, No. 3256 N C S:, adopted for street r surfacing and over the 'budget as approved by Resole- on the 5th day of August _1963, and lay $37;000.OG tion No. 3256 N.C.S. so long as the basing its action herein upon said Section 9. TO THE "THOMAS LEE i changes remain within the object budget 'submitted. the City Main. CHARITY FUND for dispensing of� category and so long as the total ger and made up as, &ovided by the charity" ............. -.$250.03 amounts, for the cate- . various object . Uity , the Council =hereby au Section ... TO THE 1953 ceed SANI Charter propriates the total, sum of $1811,• TARP SEWAGE SYSTEM CON, Bones do .not ex, as a result of 731.00 for the uses ,and purposes o he change, the amounts as. set forth. Government of? tt 4 City ,for said'( STRUCTION FUND for sewer and in the approved - budget._ la` and enlargements .. and Section 16. That the Council hereby fiscal year commencing '. on `July,. I , equip rent replacement .......$55;000.05 fin_c's" and deter mines that the amount 1963 and ending June 30, 196 at i' " Sxet - ion 11, .TO THE' 1953 STORM of appropriations provided' for, hera- said total ;amount oft approFs�ations WATER AND. DRAINAGE CON- ,b does'_ not, exceed the estimated rev - does not exceed'th6 estimated reve eisuP of the City - for the `fiscal year rue of ther:City forisaid fiscal year. , lacementt and costruc_tion ending June 30, 1964. Section 2. ;That the money, hereby P Section `_12.; TO THE MONTCLAIR Section 17. That .all ordinances?. expenses o• _or appropriated for said MANOR No_ 1 DRAINAGE FUND for 5 of rr rdinances, in conflict here.a conducting the business of the .Cit with are r hereby repealed. for said ensuing ;year, be, and th drainage in f 13. TO THE FO LLOW NG Section, IS.. is Ordinance is here - same is, hereby appropriated to and for the'' respective ,departments; of= pr lie FUNDS of the 'Wate; Department for b declared to be necessary for the flees, boards, commissroiis purposes the uses and'p'srposes of the Water imrrrediate eservation of the p � and uses:as' hereinafter set forth. Department: peare, health and safety a the Section '3 TO 'THE G_ E,N E R.A 'L (a) : R coir cti on, ins ^f FPtaluma, and shall take effect rovement and financing of-the fin be, in force from FUND: and after. its ( a), For administration of general p . ' - $152;565.00 final passage by an unanimous vote government, including ; all bu- enterprise :- .......... .. of the members of the City Council reaus, of the Department .:of :b) BOND INTEREST FUND 120;175.00 .present at the time of its adontinn. f Finance and Records, and the c) .BOND RETIREMENT 40:000:00 Tli^ reason for the urgency of the- Departments of City Attorney, FUND Ordinance is due primarily to the City, Manager,_ Mayor and City (d) MAINTENANCE AND OPERA: ;fast that there„ are not sufficient Council; City Planning. Commis- TION FUND for general opera moneys appropriated for the ordin slop, Retirement and Miscellan: trop and r aintenance 260.190 Or r „n.vng expenses of . the City f ^a eons and Fixed .Expenses . Section ld The - Auditor is, author thirty (30) days from and after its °- . $188;499:00` Lzed and dieected to transfer the assage, and that its passage (b) For Publ Safety and 'Health; following amounts nec ^ssary to carry on the function including the Fire Department; . (a) from Special Tax Fund to :Gen of this City, and, particularly u $ 19,000.00 !' all bureaus; of the: Police De- eral Fund .: l Fu -� - to - r,^_lating ea lth and safety from the protection of pub]` partment and Inspection General nd Daht peace,. hea and (b) Fr5m $95 417A` Service . Fund . - -- -- 1;600.0. after its passage. . (c) For Public Works or bureaus (c) From Unrei G e n e r a I Section 19.. The City Clerk, be. r^ of the Department of 'Public Fund, _ to Restricted General, ch' is: hereby directed to nu blish Works _; 87;379.00 191,465.00' Fund Reserve for” Acquisition ri s Ordinance for the perlori and In (d) For Recreation, including the; and L: orovnmentss . ... rh,. manner required by the City Public Library and all bureaus (d) From Parking Meter to Off- I rh ^rter. i of the Recreation Department, Street Parking Interest and, Ordered published this 5th day of 114,039.00 Redem ,)tion 15,313 -00 a iigust, 1963. (e) For General Contingencies (e) ' From, Unre-tricted G e n ex a_1 AVESi -COUNCILMAN BATTACLTA, ...... . . ....... enc -$26,234:00 F'und to Restricted . Genera RAINE IN l BRD, CAVANAGH COL (f)' For Reserve- for Acguision and. Fund Reserve for Equipdf 00 REBBER. ANS, and MAYOR VAN I Improvement 84,300.00_ Replacement _.- TOTAL TO GENERAL FUND fl ;From Water Revenue Fund to TT07S: NONE. _ $900.074.00 , the following, ABSENT:. NONE II Sect for 4. TO THE DEBT'SERVICE (a)` Water Dept Surplus Rev- NORMAN P. VAN, BEBBEF bond" 'redemption :and enue Fund Mayor { in follos , (b)..wate:r Dept Bond I120r75t00 Attest: GLADYS R. WALLIN e w (a)' General Obligation Bonds -,and Fund pt. City Clerk I teres t - -_- . .....................$62;103.00 (c) Water De Bond Retire•. .i 1 - d hereby certify that the within ordinance was published in full once in 'h&Petaluma Axgus-Courier, a d aily paper of general circulation, published within the City of, Petaluma, to wit: August 9, 1963, and. that the said Petaluma Argu8 -is the official newspaper of the City of Petaluma. I hereby certify that the whole number of. members of the Council of the City of Petaluma is seven, and that the foregoing ordinance was passed by the Council at its meeting of the 19th .day of A ugust, 19'63, - by the following vote, to-wit: AYES`: Councilmen Battaglia, Brainerd, Cavanagh, Jr., Ellis Gans-, and Mayor Van Bebber. NOE'$, None. ABSENT: Councilman Colin. ATTEST: City Clerk. (SEA L) The foregoing Ordinance - Number 691 N(:C.. S, having been regularly passed and presented to me this 19th day of August, 1963, is hereby approved by Me this 19th day of. ,August, 1963, I 'XI EFFECTIVE DATE: A ugu st 19, 1963 Mayor. WA