HomeMy WebLinkAboutORD 41-SAPPROPRIATION ORDINANCE
AN ORDINANCE ENTITLED THE "ANNUAL APPROPRIATION ORDINANCE"; ADOPTING A BUDGET
FOR THE ENSUING FISCAL YEAR BEGINNING JULY 12 1948 AND ENDING JUNE 30, 1949,
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,
Mt.'V'Y .rr
WHEREAS, the City Manager of the City of Beaumont has submitted to the City
Council a budget estimate of the revenues of said City and the expenses of conducting the
affairs thereof for the ensuing fiscal year, beginning July 1, 1948 and ending the 30th day
of June, 1949, and which said estimate has been compiled from detailed information obtained
from the several departments, divisions and offices of the City, containing all of the in-
formation as required by the Charter of the City of Beaumont; and
WHEREAS, the City Council has received said City Manager's estimate and a public
hearing thereon has been duly -called -and -held in accordance with the Charter of the City of
Beaumont and the City Council is of the opinion that the same should--be-approved-and adopted_
as required by the Charter of the City of Beaumont; and
WHEREAS, there being no ordinance in effect making appropriations for the fiscal year
1948-49 as required by the Charter of the City of Beaumont, and it being necessary that ex-
penditures be authorized in accordance with the annual budget through the enactment of an
Appropriation Ordinance, creates an emergency necessary for the protection of the public peace,
property, health and safety, and providing for tYe.usual daily operation of all municipal depart-
ments, necessitating the suspension of the rule that all ordinances be read on three several
days before their passage, and said rule should be suspended;
NOW, THEREFORE, BE IT ORDAINED 137Y THE CITY OF BEAUMONT:
Section 1. That the budget estimate of the revenues of the City of Beaumont and the
expenses of conducting the affairs thereof for the ensuing fiscal year, beginning July 1,
1948 and ending June 30, 1949, as submitted to the City Commission by the City Manager of
said City, be, and the same 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 1st day of July, 1948 and ending the 30th day of June, 1949.
Section 2. That the sum of $1,602,170.00 is hereby appropriated out of the General
Fund for the payment of operating expenses and capital outlay of the city government as here-
inafter itemized, to -writ:
General Government
167
695
Public Safety
580
373
Highways
135
388
Sanitation & Waste Removal
199
887
Conservation of Health
36
654
Hospital
85
500
Library
53
349
Recreation
82
685
Charities
14
220
Miscellaneous
35
201
Building Maintenance
40
000
Capital Outlay
125
000
Contingent Appropriation
46 218
$1 602 170
Section 3. That the sum of $404,485.00 is hereby appropriated out of the Slater Works
Fund for the operating expenses and capital outlay of the municipally owned water works as
hereinafter itemized, to -writ:
Administrative & General $ 7 650
- Commercial
37
620
Production:
General
l0
069
Main Pumping Plant
44
140
Lawsons Crossing Plant
2
392
Wiess Bluff Plant
4
670
Lower Canals
8
340
14iess Bluff Canals
2
600
Filtration Plant
39
845
Distribution
91
472
Debt Service
155
687
Total $ 404 485
Section 4. That the sum of $256,803.00 is hereby appropriated out of the tdharf`and
Dock Fund for the operating expenses of the municipally owned wharves and docks and here-
inafter itemized, to -wit:
Operations 248 553
Debt Service 8 250
Total $ 256 803
Section 5, That the sum of $413,373.00 is hereby appropriated out of the General
debt service fund for the purpose of paying the accruing interest and redeeming the serial
bonds as they mature, on the general debt service bonds as hereinafter itemized, to -wit:
Serial Bond Maturities 207 500
Interest Payments 205 373
Exchange 500
Total 413 373
Section 6. That the sum of $121,831.00 is hereby appropriated -out of the Wharf &
Dock debt service fund for the purpose of paying the accruing interest and redeeming the
serial bonds as they mature, on the wharf and dock debt service bonds as hereinafter
itemized, to -wit:
Serial Bond Maturities $ 57 750
Interest Payments 63 981
Exchange 100
Total $ 121 831
Section 7. That the sum of $186,434.00 is hereby appropriated out of the Water Works
debt service fund for the purpose of paying the accruing interest and redeeming the serial
bonds as they mature, on the water works debt service bonds as hereinafter itemized, to -wit:
Serial Bond Maturities 133 500
Interest Payments 52 884
Exchange 50
Total
186 434
Section 8. That the stun of $9,350.00 is hereby appropriated out of the Notes
Payable Fund for the purpose of paying the accruing interest and redeeming the serial notes
as they mature, on the serial notes as hereinafter itemized, to -fait:
Serial Note Maturities
8
100
Interest Payments
1
250
Total
$
9
350
Section 9. All ordinances or parts of ordinances in conflict, herewith are hereby
repealed.
Section 10. There being no ordinance -.'n effect makin ,appropri tions for t e fiscal
year 1948-4 , s requir by e Ch ter bf e City(f B umont, 't being eces r3'
that expend' res be auth i d in ac o ante � tktheZuabudet t oug the e.actment
of an Appro 'ation Ordina , creates emergency ary the p t ctionf the
public pea , roperty, he and safe and provi for usual d�: y o -tion of
all m�nic''al d partments ne ssitzng a suspe ion t e e th al di noes be
read on ree se eral da, s
be
ttheir pas ��e, t erefore,; said x�1 is her sues ;en -
ed and i, is enac d th this Or finance shat in full 'once an effect from and lifter
its pas age.
PASSED by the affirmative vote of all members of the City Council, this the %7,
day of June, A. D., 1948.
Mayor
7
4Lj kms: Crir !
APPROPIRL&TION 01RDDTA?3CE
AN ORDINANCE EtuTI U:M 1112 "a NIMLIAL API LOT';:�I�'�l`TOTT C��ZidT4?X1;11; ADOPTING A BUDGET
s R 'MEiISUINIG FISCAL TT"AR 71.—GE1?'117,,G, JULY 1, 1948 ID M D7I?O JUniE 3O, 1949p
IN ACCO. UA CE WIT'r1 T1E; l",ITUI.n":"t THE CI Y i-% I3.ar,C�'-'. ML — APPM, TIO1,1IIM T:rLT-, �" MIDS
OF THE CITY OF UVVIUMOY.I; '2i;F 1 L.TL;iµ ALL GIDP.'�TICES 911 FARTS OF OPLIDITTIA1,7 CBS IN
CO17LICT HERE11I773, 2ID
M-FEdiEAS, the City Manager or the City. o:.: 7_e uLoD_t has submitted to the . Ciity
Council a budget esti-a.ta of the revenues of amici City and the expenses of conducting, the
affairs thereof for the ensuing fiscal year,, July 1, 1948 and ending the 30th day
of Juno, 1949, and which said estimate has been compiled from detailed information obtairod
fro:, the several departments, divisions anal, offices of the City, containing all o--" L., e in-
formation as required by the Charter of the City of Donaunont, and
- WEREAS, the City Council has receivod said City Managerts estimate and a p+abli.c
hearing thereon has been duly called and held in accordance with the Chaster of the City of
Evaumont and the City Council is of the opinioiA thnt thr, same should be approved and adopted
as required by tho Charter of the City of Doa nmont; anfl
19i. 1TIMS, there being no ordinance in effect makin._; appropriations for the fiscal yn r
1948-49 as required by the Charter of the City of r.e .vZo t, and it being necessary that en -
pendituros be authorized in accordacace with tho annual bnc?get through the enactncnt of =
Appropriation Ordinance, creates an emorgcncy noes^arS- for the protection of the public ponce,
property, health and safety, and providing for the unur-1 Gaily oporation of all municipal, do.,7art-
nents, necessitating the suspension of tho riilo -chat c ll ors inaaces 1:o read on throe sseverr'l
days before their pasnage, and said rule chonlrl he ,1Npol def—;;
x301;,
171;�iT'1'OZ�,. F -s 1T 02MAT?_;D 3Z E -T< CITY OE D'---"IR1ONT:
Section 1. That the budget estir.,ato of the revenues of the GJ. -,-,y of Boaurtont and thr.•
expenseo of conductin;; the affairs thereof for tY_).o c,zsuing fiscal year, boginning July 1,
1.94.8 and eneing Juno ' 30, 1949, an suLzii.tte,2 to tho cj..- gy "cumission by the City Yanager of
said City, be, and the sa^e Is in all thin�!s adopted a41c3 c pprove� as the budget estir�.ate of
all of the current e:r.�ensos as well as: tho~ f:ixoO charge's against said City for the fiscal
year beginning the 1: t day of July, 194"C' and cndin.r, t.hc ' tDth On.- of Juno' 19'19.
Secti.cn 2_. That the our of "1.602,170.00, is herehy aprro�ria,tn.-1 ou'6 of the General_
Fund for the pay ._ont bf' oporEltin cxmnros , and ea.t i ,n1 outlay of tho city covornment as hcrc-
inafter itemized, to -wit: -
General Government
167
695
Public Safety -:.580
373
11lighways
135
.388
Sanitation �_ Waste iomoval 199
887
Conservation of Uealth
36
654
Hospital.
85
500
Library .
53
349
Recreation
82
685
Charities
ll.
220
1-3scel7-aneous
35
201
i lilc'in„ rairztenr?nce
40
000
Capital Clotlay
125
000
Contini7ert Anrr•onrin•6ion
46
218
4. (102
170
Section 3. That the sum of 1,;aV,04,14.85.00 � s hereby appropriated out of the 1.7oter "Yorka
Hind for the operating expenses and capi•'_al outlr yof tho °�uLnicioally cn;ncd attar worts as
hereinafter itemized, to -wit:
r u.Ininistrative i'- General w 7 650
Ccrnmercial
37
620
Production
Gonornl
la?
X69
Main unpin,* -lent
44
140
L:awoons Croscin.- Pl-=t
2
392
1Tiess ;tuff n1 a:nt
4
670
Z.owcr CanUs
S
340
1liosc Fluff Canals
2
600
Filtra.tiori Illi t
39
8,45
Distribution
91
472
Debt Service
-155 &S7
Total 0 404 485
Section Tha, t' thd sun of 00 is hercIry- appropriated out of the ElLarf and,
Dock Fund for the operating ex-pences of tho nu-4nicipally _oi--m.cd wharves and docks and hero-
inafter itamized to -wit 4
Operations C! 2 J1 553
Debt Service 8 220
T OtA ty 256 803
Section 5. - That t1ho s= of C'Ma3o373.00- io herolqy ar�
propriated out of tho Gon ral
debt service fund for the purpos e* of, payinrg, the accruing interest and redecoing the -serial
bonds as they mature, on the L-�enoral'debt bondo as heroinafter itemized., to -wit:
Ser -'al 1.30-nd �.tlliritior, 207 500
205' 373,
Exchange 01)
37 -13
Total C�, 4 3
Section 6, That the ml: of 'AP -1 8
Q , 31.00 "Is he -:e` 'appropilaced` out -of-. t.110 1Jh-j arr &
Dock debt service fund f6r,the purpose of paying- the accruing Interest and -r`edecmin� the -
serial bonds a * s they mature, on the wharf and dock debt service bonds as hereinafter
itemized,to-wit:
Serial'Boliid Kartxnritics, 57 750
Interest-Fayments '63 981
? chane 100
Total 121 831
17 That tSe� sum of. ��.186
Section 7L - ,434.00 is hero r. appropriated out of the. Uater lloyIin
debt service fund for the purpose of payim, tbo ael-rulne- interest and redeon.in�,,- the serin-1
bonds as they-mature.2 on the wa-tor i-!orks debt oervico bonds as heroinafter itaT_n_1zedj,.. tuo..;vitt.
Serial Bond "Mratari tiesQ 133 500
interest parents 52 884
50
6
Totnl 18 434
L' That _1r, hereLrr, q i
Section 8. the mm of,"",'101350.00 ppropriated out of the 110tes
Payabl- a Amd for -the rurpose of preeing the accruing-L-qt9resit red redeeming; the aerial notce
as they mature, on ' the 'sorial notos as horcinaft.or -4-tcnized., to-li-ILt:
8 i0o
Seri' l.!Tote Orf turitioc
Interoat Payments
Total Cell,
9 350
Section 9.. A21 -ordinances or parts of ordinances in conflict herewith are hero' by
repealed.
Section I There being no ordinance in effect r.Ding appropriations for the fiscal
year 194.8-/,9,- as required by the Charter of the City cf" Boamwnt, and it being necessar7
that expenditures be authorized in accordLnnee iAth tlici' anvzual budg.ot tbrotigh the enact--c-n-t
of an Appropriation Ordinancet creates nn enargoncy nocasoary for tho protection of t1he
public peace., property, 'health and aafet,,,r,, and prowl.dinr, for tho usual daily operation, of
all municipal departments, nonessitatin.r.- tho tnisponsion of who rule that all ordirwriws uo
read an throe several days before, thoir paso-agc, vherpforo, said rule is' hereto* suspen-
ed anti _it is an' acted that this Ordinance abalj bo in yNill force and effect f�'om and -after
its passage.
PASSED by the affirmative votue of al mp-mbera of Unto -City 0wrc411_,. Chic the
day of June# A. D.,, 1948.
Mayor