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HomeMy WebLinkAboutORDINANCE 138-530 ...--- —4 ORDINANCE NUMBER 138 ANNUAL APPROPRIATION ORDINANCE FOR THE FISCAL YEAR BEGINNING JANUARY 1,1954 AND ENDING DECEMBER 31,l954 Be it Ordained By the Board of Trustees Of The Town of Estee Park,Coloradoi Section 1.That our of the moneys and revenues to be derived from the collection of general taxes during the year 1954 and levied by the Board of Trustees of The Town of Estee Park,Colorado,on all taxable property within the corporate limits of said Town for the year 1954 in the total amount of Twelve and Two—Tenths (12.2)mills on each dollar of assessed valuation of said property,which collections are estimated at $28,7?6.06 ,and from the moneys derived from the general and miscellaneous revenues during the year 1954,ettimated at $46,700.00 making a total estimated amount to be derived from taxes,general and miscellaneous revenues and cash on hand,in the sum of 75,476.06, there is hereby appropriated for the fiscal year beginning January 1, 1954,the following amounts for the following respective purposes,to-.wit: General Government $4,690.00 Public Bldgs.&Parks 6,475.00 Police &Fire Depte.11,900.00 Public Health 10,076.96 Streets 26,061.60 Stanley Park 3,?50.O0 Advertising 460.00 Liquor License Return 1,572.50 Country Club &Golf Course 3,790.00 Water Department 1,000.00 Contingent 700.00 Recreation Development 5,000.00 75,476.06 Section 2.That out of the moneys and revenues to be derived from the operation 01’the Town of Estee Park Municipal Water System during the year 1954,estimated at $4o,ooo.oo there is hereby appropriated the following amounts for the following purposes,to—wit: Salaries 8,000.00 Maintenance 10,500.00 Office Expense 500.00 Rents 6,ooo.oo Vehicle Expense 1,500.00 Debt Service 6,912.50 Miscellaneous Expense 700.00 New Construction &Equipment 3,100.00 37,212.3ci ... I I I P . 4 •. Section 3.That out of the moneys and revenues to be derived from the operation of the Town of Estee Park Municipal Light &Power Department during the year 1954,estimated at 185,575.00 there is hereby appropriated the following amounts for the following respective purposes,to—wit: Bonds &Interest Payroll Purchased Power Materials &Supplies office Expense Rents Insurance Administration 4 27,075.00 60,000.00 35,000.00 37,000.00 2,500.00 18,000.00 2,000.00 4,000.00 185,575.00 : --‘S - .5 - 5555 S ‘S55_55 .5 .555.- 5. :-- S Section 4.The Board of Trustees herewith finds,determines and declares that this Ordinance is necessary for the immediate preservation of the public peace,health,and safety,and whereas in the opinion of the Board of Trustees an emergency exists,and that this Ordinance shall take effect and be in force after its final passage and adoption. Introduced,read,passed and adopted and ordered published this 23rd day of November,1953. Clarence A.Graves,Mayor At test: S.., E: 1.GENERALPROPERTYTAX2.SPECIFICOWNERSHIPTAXMOTORFUELTAXOCCUPATIONTAXLICENSES&PERI4ITSLIQUORLICENSES?.POLICECOURTFINES8.COUNTRYCLUB&GOLFCOURSE9.INLIEUOFTAXES10.RENTS.-DEPARTMENTAL1954Budget28,7?6.064,00o.oo2,300.004,250,00900.001,850.001,200.00—-4.>TOWNOFESTESPARKGENERALFUNDONLYREVENUE3.5.6.1954Budgetwith1953and1952Comparison1952ActualRevenue28,027.613,154.911,942.5?4,225.00863.502,000.00“$5.5011,009.781,000.0016,200.001,000.00641.531953Revenue3mo.Est.27,750.0014,227.272,343.974,250.00950.001,850.001,200.0014,565.181,000.00i6,o5o.oo1,900,00-76,086.4211.12.13.‘4.CONTRI3UTIONSMISCELLANEOUSLIQ,UORCCC.TAXCIGARETTETAX71,252.401,000.0024,000.004oo.oo1,800,005,000.0075,476.06—.—-‘1•••--•- A •GENERAL GOVERNMENT: Clerical Liability Insurance Compensation Insurance Legal Expense Auditing Printing &Publishing Office Expense Election Expense 3.PUBLIC BLDG-S.&PARKS: Wages Lighting Supplies Fuel Property Purchase Insurance Public Library 1952 Dieb. *2,050.00 439 .22 242.00 335.25 200.00 312.60 287 •41 204.62 4,071.10 450.00 731.88 2,165.91 1,977.55 2,040.00 450.75 100.00 7,916.09 9,712.06 720.36 1,350.40 8 •75 11,791.57 560.00 749.40 •00 2,079.40 5,004.82 55.00 632.?3 5,122.92 1,536.60 6,312.50 18,66437 415.08 960.00 1,700.00 15,864.00 1,000.00 476.11 64,937.92 2,190 •00 853.17 259.00 315.00 225.00 4oo.oo 150.00 4,392.17 1,500.00 715.00 1,950.00 1,700.00 423.95 100100 6,388.95 10,950.00 825.00 608.83 15.00 12,398.83 240.00 200.00 600.00 2,000.00 3,040.00 2,755.33 7,400.00 302.86 875.00 9,200.00 1,536.60 2,000.00 3,410.00 27,149.79 796.10 46o.oo 1,572.50 18,681.29 1954 Budget 2,190.00 900.00 275.00 325.00 225.00 4o 0 •00 150.00 225.00 4,690.00 1,500.00 725.00 2,000.00 1,700.00 450.00 100.00 6,475.00 11,000.00 800.00 100100 11,900.00 240.00 6oo.oo 9,236.96 10,076.96 ‘7,000.00 300.00 800.00 5,000.00 1,536.60 2,425.00 9,000.00 26,061.60 3,750.00 46o •00 1,572.50 3,790.00 1,000.00 700.00 5,000.00 V -4%• ... TOWN OF E$TES PARK,GENERAL FUND ONLY,DISBURSEMENTS,1952—1953—1954 1953 _____ Dieb. ______ C.POLICE &FIRE DEPTS. Police Wages Police Expense Police,New Equipment Fire Department D.PUBLIC HEALTH: Inspect ions Street Cleaning City Dump Collections E.STREETS Parking Lot Improvements Wages Engineer Garage Supplies Street Lights Property Purchase New Equipment L.RECRIiATION DEVELOPMENT F.STANLEY PARK C.ADVERTISING H.LIQ,UOR LICENSE RETURN I.COUNTRY CLUE &GOLF J.WATER DEPARTMENT K.CONTINGENT -., 700.00 —— 75909.63 FISCALYEARBEGINNINGJANUARY1,195422,462.3037,461.581,866.9061,790.78BUDGETSUMMARY1953Budget25,952.3438,500.0065,952.341953Actual25,952.3438,250.00s55.OQ64,?5?.31954Budget36,629.5938,500.001,500.0076,629.59B.DISBURSEMENTS:Salaries?,55?.508,000.007,974.008,000.00Maintenance:WagesSuppliesOfficeExpenseRentsVehicleExpenseDebtService:PrincipalInterestMiscellaneousExpenseNewConstruction&Equipment7,500.003,000.00500.006,000.001,500.004:?•:.‘“;;..••.TotalDisbursementsH4•4,35,838.4440,000.0028,12?.?537,212.50WATERFUNDONLY1952ActualTOWNOFESTESPARKA:REVENUE:OpeningsurplusWaterRentsMisc.IncomeTotalRevenue&Surpluc5,000.004,000.004,200.001,500.004,538.961,569.42402.704,200.001,415.915,000.002,275.00637.938,241•02650.00350.003,600.004,350.001,600.001,300.005,000.002,093.?55,000.002,093.754oo.oo560.009,656.25800.005,000.001,912.50700•003,100.00 TOWNOFESTESPARKINCOME:SaleofElectricEnergyConstructionDepositsOpeningSurplus3.DISBURSEMENTS:Bonds&InterestPayrollPurchasedPowerMaterials&SuppliesOfficeExpenseRentsInsuranceAdministration175,000.0010,000.00_62.675.08247,675.0E•A.LIGHTANDPOWERDEPARTMENTONLY1953195S169,668.7917,627.19187,295.98BUDGETSUMMARY,CALANDERYEAR195419545178,000.0035,573.5426123.50239,697.04[V30,826.262?,48?.6027,075.0055,976.0462,700.0060,000.0020,094.8230,000.0035,000.0032,329.7936,795.0037,000.001,862.272,436.002,500.001,200.001,200.0018,000.001,935.801,998.362,000.006,147.503,605.004,ooo.oor’9-_%-f-.4161,172.48177,021.96125,575.00