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ORDINANCE 353-68
ORDINANCE NO.353 n THE ANNUAL APPROPRIATION ORDINANCE:APPROPRIATING SUMS OF MONEY TO DEFRAY EXPENSES AND LIABILITIES OF THE TOWN OF ESTES PARK,COLORADO,FOR THE TOWN’S FISCAL YEAR BEGINNING JANUARY 1,1969,AND ENDING ON THE LAST DAY OF DECEMBER,1969. I WHEREAS,the Board of Trustees has,by Ordinance,adopted a budget for the Town for the fiscal year beginning January 1,1969,and ending on the last day of December,1969,and; WHEREAS,the Board of Trustees has,by Ordinance,made the proper tax levy in mills upon each dollar of the total assessed valuation of all taxable property within the Town such levy representing the amount of taxes for Town purposes necessary to provide for payment during the Town’s said fiscal year of all properly authorized demands upon the treasury,and; WHEREAS,the Board of Trustees is now desirous of making appropriations for the ensuing fiscal year. NOW,THEREFORE,BE IT ORDAINED BY THE BOARD OF TRUSTEES OF THE TOWN OF ESTES PARK,COLORADO: Section 1.That the following appropriations are hereby made for the Town of Estes Park,Colorado,for the fiscal year beginning January 1,1969,and ending on the last day of December,1969,from the General Fund for the payment of operating expenses and capital outlay of the general government,public safety,public works,public health,contin gencies,and for payment of the principal and interest on the Town’s general debt: General Government Public Buildings &Parks Library Police Department Fire Department Public Health Street Department C.C.Manor Sewer Bonds &mt. Prospect Mtn.Sewer Bonds &Int. Advertising Planning Commission Inspection Department Civilian Defense Engineering Contingency Total General Fund 33,560.00 66,350.00 3,400.00 68,250.00 3,530.00 11,000.00 127,857.00 120.00 9,120.00 10,000.00 4,000.00 6,500.00 100.00 1,400.00 452.00 $345,639.00 Section 2.That the sum of $770,081.77 is hereby appropriated from the Light and Power Fund for the following purposes: Operating Expenses Capital Additions Debt Service $640,840.52 98,000.00 31,241.25 Q © ORDINANCE NO.353 (Continued) Section 3.That the sum of $39,290.00 is hereby appropriated from the Public Library Fund for the following purposes: Operating Expenses $7,390.00 Capital Additions 31,900.00 $39,290.00 Section 4.The Board of Trustees herewith finds,determines and designates that this Ordinance is necessary for the immediate preservation of the public peace,health and safety,and whereas an emergency exists, this Ordinance shall take effect and be in force five (5)days after its final passage,adoption and publication. Passed and adopted this 14th day of October,1968. Mayor Attest: Town Clerk