HomeMy Public PortalAboutORD07035 1:1SECTION 3. This Ordinance shall take effect and be in force4 rom
11and after its passage and approval.
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:Passed: February 6, 1961 Approved:_ February 7, 1961
C. F. Whaley /s/ C. F. Whaley /s/
!President of the Council Mayor
J�ORDINANCE NO. 7034
IAN ORDINANCE PROVIDING, FOR THE CONSTRUCTION OF SEWERS IN SEWER
DISTRICT NO. 100 WITHIN THE CITY OF JEFFERSON, MISSOURI.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF JEFFERSON, MISSO I,
AS FOLLOWS:
SECTION 1. That the City Council of the City of Jefferson, Missour ,
hereby declares that it deems it necessary for the health and comfo t
,of the inhabitants of the City, and for sanitary purposes, that
there must be constructed as soon as possible in Sewer District No.
100, as established by Ordinance a sanitary sewer and it is ordered
that the same be made and constructed without unnecessary delay and
that the said district sewer by connected with and into the present
sewer at Station 7 plus 95.
SECTION 2. That the said sewer shall begin at Station 7 plus 95 of
an existing sewer in the south side of Livingston Street, between
lCastle Street and Meier Street; thence easterly along the southerly
side of Livingston Street 97.35 feet; thence turning an angle of
85 degrees 50 minutes to the left 215.37 feet; thence turning an
angle of 85 degrees 19 minutes to the right 240.48 feet.
SECTION 3. Said sewer shall be constructed in all respects as
provided by Ordinance and shall be constructed of standard glazed
sewer pipe, shall be constructed according to the plans and
specifications of the City Engineer.
SECTION 4. This Ordinance shall take effect and be in force from
and after its passage and approval.
Passed: February 6, 1961 Approved: February 7, 1961
C. F. Whaley /s/ C. F. Whaley /s/
President of the Council Mayor
ORDINANCE NO. 7035
AN ORDINANCE TO APPROPRIATE MONEY FOR THE MONTH OF JANUARY, 1961.
BE IT ORDAINED BY THE COUNCIL OF THE CITY OF JEFFERSON, AS FOLLOWS:
SECTION 1. There is hereby appropriated out of any money in the
City Treasury not otherwise appropriated, the following.
REVENUE FUND
Accounts and Claims------------------------------------$18,496.96
TRAFFIC AND VEHICLE FUND Accounts and Claims------------------------------------$ 4,861.23
PARK FUND
Park Board - Mill Tax $9,762 .20
Utility Tax $18,320.39-------------------$28,082.59