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HomeMy WebLinkAboutORD 71-27APPROPRIATION ORDINANCE AN ORDINANCE ENTITLED THE "ANNUAL APPROPRIATION ORDINANCE" ADOPTING A BUDGET FOR THE ENSUING FISCAL YEAR BEGINNING JULY 11 1971 AND ENDING JUNE 30, 1972, IN ACCORDANCE WITH THE CHARTER OF THE CITY OF BEAUMONT; APPORTIONING THE FUNDS OF THE CITY OF BEAUMONT; REPEALING ALL ORDINANCES OR PARTS OF ORDINANCES IN CONFLICT HEREWITH. WHEREAS, the City Manager of The City of Beaumont sub- mitted to the City Council a budget estimate of the revenues of said City and the expenses of conducting the affairs there- of for the ensuing fiscal year beginning July 1,-1971 and ending June 30, 1972; and, WHEREAS, after notices and public hearings held in accordance with the requirements of the Charter of The City of Beaumont, the City Council desires to make certain changes and increases and decreases in.said budget estimate as shown upon Exhibit "A" and Exhibit "B",as amended, attached to this ordinance; and, WHEREAS, the City Council is of the opinion that said budget estimate, as so changed, should be approved and adopted as required by the Charter of The City of Beaumont; NOW, THEREFORE, BE IT ORDAINED BY THE CITY OF BEAUMONT, TEXAS: Section 1. That the budget estimate, above set forth, submitted to the City Council by the City Manager is hereby changed and increased and decreased in the particulars set forth in Exhibit "A" and Exhibit "B" attached hereto and said budget estimate, 0-71-.2-1 G -as- -7/ /I with the changes and increases and decreases therein as shown upon said Exhibit "A" and Exhibit "B", as amended, is in all things adopted and approved as the budget estimate of all of the current expenses as well as the fixed charges against said City for the fiscal year beginning the lst day of July, 1971 and ending the 30th -day of June, 1972. Section 2. That there is hereby appropriated out of the General Fund the sum of $11,988,140.00 for the following purposes: Operations ...................... $11,3385140.00 Contingency ............................. 1503000.00 Payment to Capital Improvement Fund..... 500,000.00 Total... $11,988,140.00 Section 3. That there is hereby appropriated out of the Sewer Fund the sum of $1,879,664.00 for the following purposes: (a) Sewer Revenue Fund: Operations .......................... $ 938,664.00 Payment to Interest and Sinking Fund 616,000.00 Payment to General Fund ............. 300,000.00 Property Owner Refunds.............. 25,000.00 Total... $ 1,879,664.00 Section 4. That there is hereby appropriated out of the Water Works Revenue Fund the sum of $2,460,605.00 for the following purposes: Operations .............................. $ 1,144,604.00 Debt Service.... .................... 7965001.00 Payment to.General Fund............. ... 5003000.00 Property Owner Refunds....... 20,000.00 Total... $ 2,460,605.00 -2- Section 5. That there is hereby appropriated out of the General Debt Service Fund the sum of $1,813,699.00 for the purpose of paying the accrued interest on bonds and redeeming same as they mature: Bond Interest Requirements .............. $ 6305699.00 Bond Maturities ......................... 13,181,000.00 Bank Exchange Charges ................... 21000.00 Total... $ 1,813,699.00 Section 6. That there is hereby appropriated from the following funds the sums indicated for the purposes stated: (a) Temperance Hall Fund Women's Christian Temperance Union.: $ 780.00 (b) Hotel -Motel Occupancy Tax Convention and Tourist Bureau....... $ 47,000.00 Section 7. All ordinances or parts of ordinances in conflict here- with are hereby repealed. PASSED by the City Council this the C I day of June, 1971. Mayor - f 'w Environmental Control THIRD PUBLIC HEARING. on 1971-72 Proposed Budget June 25, 1971 Proposed Proposed New Budget as Appropriation Filed EXHIBIT.B As Amended Amount of Increase 403 A-2 $ 7,191 $ 4,794 $ 2,397 403 A-3 24,818 17,418 7,400 403 B-6 1,800 1,600 200 403 E-4 350 300 50 403 F-6 1,050 800 250 403 G-5 2,428 1,501 927 403 G-8 2,221 1,423 798 403 G-9 1,116 638 478 403 Z-2 7,200 200 7,000 $ 48,174 $ 28,674 $ 19,500 c