HomeMy WebLinkAboutORD 45-O�s- o
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AN ORDINANCE
AMENDING TIDa "ANNUAL APPROPRIATION OR.DII,NANCE" ADOPTED BY TIM' CITY
CGA' ISSION OF THE CITY OF BEAUMONT ON THE 30th DAY OF JUNE, 1944, SUCH
AN�AETNT PROVIDING FOR THE APPROPRIATION AND EXPENDITURE OF THE I14CO M
AND REVENUES OF THE VARIOUS DEPARTMENTS OF THE CITY.OF BEAUMONT, IN
ACCORDANCE WITH THE AMENDED ANNUAL BUDGET HERETOFORE ADOPTED AND APPROVED
FOR THE FISCAL YEAR 1944-45, AND DECLARING AN EMERGENCY.
WHETS, the City Com Lssi.on in regular session on Tune 30, 1944,
enacted an ordinance providi$g for the appropriation and expenditure of
the income and revenues of the various departments of the•City of Beaumont
for the fiscal year 1944-45; ,and
WBJ9?EAS,-under date Tanuary- 2$,_ 1945 the City Commission approved an
amended budget for the fiscal year 1944-45, a copy of which is attached
hereto for reference; and
WHEREAS, it is necessary to amend the "Annual Appropriation Ordinance"
adopted Tune 30, 1944, authorizing the expenditure of the income and revenue
for the fiscal year 194445, and to incorporate the emergency clause for
the purpose of suspending the rule requiring ordinances to be read on three
separate days before their passage.
NOZ4r, THEREFORE, BE IT ORDAINED BY THE CITY COMMISSION OF
THE CITY OF BEAUMONT:
Section 1
. That Section l of the "Annual Appropriation Ordinance" passed by the
City Commission of the City of Beaumont on the 30th day of Tune, 1944, be
amended so that the same shall read as follows:
"That there shall be and is hereby appropriated out of the revenue
derived by taxation and from the income accruing to the various departments
of the government of the City of Beaumont, the following sums for -each de-
partment or item for which an appropriation is required:
For the General Department as follows:
For the General Fund
For the Tyrrell Public Library Fund
For the Beaumont Municipal Hospital Fund
For the Abattoir
For the Department of Wharves & Docks
For the Department of Water Works �,
For the purpose of paying the accruing interest
and to provide a sinking fund for the payment
of the bonded indebtedness of the City of
Beaumont other than School bonded indebtedness
972 906 95
47 137 80
53 226 00
55 709 00
89 350 50
326 158 25
309 533 75
For the purpose of paying the accruing interest
and to provide a sinking fund for the payment of
the entire note indebtedness of..the City of -
Beaumont for all purposes 9 625 00
For the maintenance and operation of the City
of Beaumont Public Free Schools
For the purpose of paying the accruing interest
and to provide a sinking fund for the payment
of the bonded indebtedness of the City of
Beaumont Public Free Schools
374 000 00
132 842 50
�cC U S o
V -
w i +
Section 2
That since the passage of the "Annual Appropriation Ordinance" on
June 30, 1944, the amount of the annual budget for the fiscal year
1944-45 has been changed, and there being no ordinance in effect to
provide such changes in the appropriation and expenditure of the income
and revenues of the various departments of the City of Beaumont, creates
an emergency necessitating the suspension of the rule requiring ordinances
to be read on three several days before passage, wherefore, said rule is
hereby suspended --and it is enacted that this Ordinance shall be in full
force and effect from and after its passage and publication.
PASSEDthe affirmative vote of all members of the City Co mnission,
this the Aa y of January, A. D. 1945.
MAY 0 R
0
SCHOOL DISTRICT
Operations
v: .70
4 371
000
00 �. 3 000 00
w 374
000
00•
374
000
00 - - -
Bonded Debt
.24
127
200
00 -
127
2.00
00
132
842
50 5 642 50-D 70 381 70 64 739 20
TOTAL SCHOOL
DI:,TRICT .94
498
200
00 4� 3 000 00
501
200
00
506
842
50 5 642 50-D 70 381 70 w 64 739 20
GRAND TCT4L
w2.84
1 619
2'130
00 X903 752 25
*2 522
952
25
w2 564
BUDGET
1944-45
r
ESTIMATE OF
REVL+'NUE, MME' NDITURRb &
CA.SH BALANCEb
AS
141EN DED JANUARY 1,
1945
4
1944
UNINCU,,1BEkEC
UNINCUMBERED
TAX
REVENUE
PROPOSED
bURPLUS
CASH
BALANCE
CASH
BALANCE
= _
RATE
TAXES
OTHER
TOTAL
Ek1'EVDI`1'URE8
DEr'ICIT-D
7-1-44
7-1-45 (Est.
_
MUNICIPAL GOVEMuVIQTI'
r
General Dec)artment
General Fund
b1.05
k 619
500
00
-,242
840
00
862 340
00
972
906
95
4110
566
95-D
;.,159 3581
09
48
814
14
Hospital
-
-
26.200
00
26 200
00
53
226
00
27
026
00-D
39 534
74
12
508
74
Libr—r
.07
41
300
00
3
106
00
44 406
00
47
137
80
2
731
80-D
38-140
22
35
408
42
Abattoir
-
-
48
000
00
48 000
00
55
709
00
7
709
00-D
15 469
80
7
760
80
Port
-
-
96
000
00
96 000
00
89
350
50
6
649
50
7072
06-D
422
56-D
Water Works
-
-
416
000
00
416 000
00
326
158
25
89
841
75
195 838
73
285
680
48
General Bonded Lebt
.54
318
600
00
-
318 600
00
309
533
75
9
066
25
194'493
24
203
559
49
Wharf Bonded Debt
.24
14.1
600
00
-
141 600
00
134
296
25
7
303
75
89995
74
97
299
49
Etter Bonded Debt
-
-
59'331
25
59 331
25
59
331
25
-
13 466
52
13
466
52
Note Debt
-
-
9
'275
00
9 275
00
9
625
00
350
00-D
5 048
88
4
698
88
TOTAL j-U&,,1rAL
: 1.90
�l 121
000
00
;;900
752
25
42 021
25 �2
057
274
75
35
522
50-D
,}:744 296
90
,--?08
774
40
P52
SCHOOL DISTRICT
Operations
v: .70
4 371
000
00 �. 3 000 00
w 374
000
00•
374
000
00 - - -
Bonded Debt
.24
127
200
00 -
127
2.00
00
132
842
50 5 642 50-D 70 381 70 64 739 20
TOTAL SCHOOL
DI:,TRICT .94
498
200
00 4� 3 000 00
501
200
00
506
842
50 5 642 50-D 70 381 70 w 64 739 20
GRAND TCT4L
w2.84
1 619
2'130
00 X903 752 25
*2 522
952
25
w2 564
117
25 41 165 00-D 014 678 60 ;p773 513 60
F1
_N �3
CI'T'Y OF BEAUMONT, TE] AS
ANALYSIS OF RE(;;UIR E M TS
1944-45
AS AME10ED T,�NUARY 1, 1945
BUDGET
N 345
30 068 80 4
7 610
00
nee 9
459 00
-47 137 80
Schools
Debt Retirement -
-
374 00000
00
-
-
374 000 00
SUPPLIES L
`
30 068 80 P'
381 610
00
3 9
459 JOS
'421 137 80.
ACCOUNT
PER60141)1,
SPECIAL
22 46-7
00
CAP:iT.,- L
375 -00
53 226 00_ ..
NO.
DEPARTMENT
SERVICES
SERVICES
OUTLAY
TOTAL
G,ENERl L FUND
1.
Law
qp 10
210
00?
l -
504
00
'�
-420
00
_ 11
19400
2.
Engineering
9
411
00
900
00
-
10
311
00
3..
Street & Bridge
101
873
00
65
927
00
7
700
00
175
500
00
4.
Garbage
87
067,00
19
518
00
5
200
00
111
785
00
5.
Inspection
10
970
00
1
508
00
-
12
478
00
6.
Garage
6
726
50
2
618
00
12
00
9
356
50
7.
Health
22
590
00
7
044
00
-
29
634
00
8.
Park
46
737
45
7
130
00
340
00
54
207
45
9.
Magnolia Plunge
1
720
00
1
314
00
-
3
034
00
10.
Golf Course
8
171
00
1
080
00
-
9
251
00
11.
Tyrrell Park Golf
Course
4
807
00
514
00
-
5
321
00
12.
Keith Plunge
1
720
00
1
192
00
-
2
912
00
13,
Purchasing Dept.
]
452
00
660
00
22
00.
2
134
00
14.
Market House
1
950
00
1
164.
00
-
3
114
00 -
15.
Police
160
673
00
29
149
00
1
537
00
191
359
00
16.
Fire
189
521
00
22
110
00
17
256
00
228
887
00
17.
Tax
21
915
00
2
900
00
-
21
815
00
18.
City Clerk
9
320
00
1
500
00
-
10
820-00
19.
Corporation Court
16
090
00
450
00
-
6
540
00
20..
kdministrative
-.15
877
00
27
506
00
412
00
43
795
00
- ----- 21.
Pound Pen,---
3
49.5
00
600
00
-
4
095
00
22.
Airport
-
1
738
00 --
-
--
-
-. ]
-738
0---
00---
23.
23.
Fair ,Park
3
110
00
1
337
00
-
�1
74?
00
24.
Recreation
14
2?0
00
1
609
00.
-
15
8?9
00
Total General Fund
4740
035
95
$ 199
972
00
4 32
899
00
SY
972
906
95
UTILITIES
30.
Abattoir
27
186
001
16
523
00
12
000
00
55
709
00
40.
Harbor
49
387
50
39
406
00
557
00
89
350
50
50-5?. Water Works
121
562
00
144
596
25
60
000
00
326
158
25
Total Utilities
4198
135
50
4 200
525
25
72
557.00
471
217
75,
EDUCATION
60. Library
N 345
30 068 80 4
7 610
00
nee 9
459 00
-47 137 80
Schools
Debt Retirement -
-
374 00000
00
-
-
374 000 00
Total.Education
`
30 068 80 P'
381 610
00
3 9
459 JOS
'421 137 80.
?G. Hospital` = -
;;;
30`384 -00 '" ?
22 46-7
00
375 -00
53 226 00_ ..
DEBT SERVICE
Interest -
N 345
278
751,
-
ti;
345
278
75
Debt Retirement -
300.350
00
-
306
350
00
Total Debt Service ;: -
; 645
628
75
-
4
645
628
75
GRAND TOTALS ;;998 624 25 51 450 203 00 3115 290 00-2 564 117 25
J e
AN ORDINANCE
ENTITLED THE "ANNUAL APPROPRIATION ORDINANCE" PROVIDING FOR TRE
APPROPRIATION AND J PENDITURE OF TEE INCOME AND REVENUE OF THE VARIOUS
DEPARTMENTS OF THE GITY OF BEAUMONT, IN ACCORDANCE.VdTR THE ANNUAL
BUDGET HERETOFORE AD6 TED AND APPROVED FOR -TEE CURRENT FISCAL YEAR
1944-45, AND DECLARIN�,AN EMERGENCY.
BE IT ORDAINED BY THE CITY COMMISSION OF THE CITY OF
BEAUMONT, TEXAS:
Section 1
That' there shall be and is hereby appropriated out of the revenue
derived by taxation and from the income accruing to the various depart-
ments of the government of the City of Beaumont, the following sums for
each department or item for which an appropriation is required:
For the General Department as follows:
For the maintenance and operation of the City
of Beaumont Public Free Schools 343 400 00
For the purpose of paying the accruing interest
and to provide a sinking fund for the payment F
of the bonded indebtedness of the City of Beaumont =�
Public Free Schools 132 842 50
Section 2
There being no ordinance in effect making appropriations for the
fiscal year 1944-45, as required by the Charter of the City of Beau-
mont, and it being necessary that expenditures be authorized in
accordance with the annual budget, creates an emergency necessitating
the suspension of the rule requiring ordinances to be read on three
several days before passage, wherefore, said rule is hereby suspended
and it is enacted that this Ordinance shall be in full force and effect
from and after its passage and publication.
Passed by the affirmative of all members of the City Commission,
this the 30th day of June, A. D. 1944. /f
Mayor.
For the General Fund
944- -5-6-2-03;
For the Tyrrell Public Library Fund
46
074
20
For the Beatunont Municipal hospital Fund
54
031
00
For
the Abattoir
45
003
40
For
the Department of Wharves & Docks
76
044
20
For
the Department of Water Works
333
081
19
For
the purpose of paying the accruing interest
and
to provide a sinking fund for the payment of
the
bonded indebtedness of the City of Beaumont
other than School bonded indebtedness
503
161
25
For
the purpose of paying the accruing interest
and
to provide a sinking fund for the payment
of the entire note indebtedness of the City of
Beaumont for all purposes
9
625
00
For the maintenance and operation of the City
of Beaumont Public Free Schools 343 400 00
For the purpose of paying the accruing interest
and to provide a sinking fund for the payment F
of the bonded indebtedness of the City of Beaumont =�
Public Free Schools 132 842 50
Section 2
There being no ordinance in effect making appropriations for the
fiscal year 1944-45, as required by the Charter of the City of Beau-
mont, and it being necessary that expenditures be authorized in
accordance with the annual budget, creates an emergency necessitating
the suspension of the rule requiring ordinances to be read on three
several days before passage, wherefore, said rule is hereby suspended
and it is enacted that this Ordinance shall be in full force and effect
from and after its passage and publication.
Passed by the affirmative of all members of the City Commission,
this the 30th day of June, A. D. 1944. /f
Mayor.