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HomeMy Public PortalAbout00089 O R D I N A N C E NO.89 AN ORDINANCE making supplemental appropriations out of unappropriated revenues of the District for payment for personal services during the fiscal year beginning July 1, 1956 and ending June 30, 1957, in t.he sum of Sixty-six thousand four hundred eighty-seven dollars and fifty-two cents ($66,487.52), and reappropriating out of the sum appropriated by Section 12 of Ordinance No. 82 the sum of Six thousand eighteen dollars and ninety-six cents ($6,018.96) for the purpose of reimbursing the treasury for prepaid bond expenses properly chargeable against the proceeds of the Maline Creek Trunk Subdistrict bonds, which sum of Six thousand eighteen dollars and ninety-six cents ($6,018.96) is in addition to the sum appropriated by Section 13 of Ordinance No. 82; WHEREAS, by Ordinance No. 85, increases in pay were granted to all classified employees of the District, and by Ordinance No. 86 increases in pay were granted to certain unclassified personnel of the District; and WHEREAS, such increases were not reflected by the general appropriation Ordinance No. 82 of the District and it is necessary to appropriate sufficient sums to provide for such increases; and WHEREAS, in the appropriation of Seventeen thousand five hundred forty dollars and eighty cents ($17,540.80), by Section 13 of Ordinance No. 82, to reimburse the treasury of the District for prepaid bond expenses in connection with the bonds 2 issued under and pursuant to Ordinance No. 60, the sum of Six thousand eighteen dollars and ninety-six cents ($6,018.96) of such prepaid expenses was omitted; NOW, THEREFORE, BE IT ORDAINED BY THE BOARD OF TRUSTEES OF THE METROPOLITAN ST. LOUIS SEWER DISTRICT: Section One. There is hereby appropriated and set apart out of unappropriated District revenues the sum of Sixty-six thousand four hundred eighty-seven dollars and fifty-two cents ($66,487.52) for increased salaries authorized by Ordinances Nos. 85 and 86 for the several departments for the fiscal year beginning July 1, 1956 and ending June 30, 1957, as hereinafter detailed. Section Two. Executive Director's Office Personal Services . . . . . . . . . . . . $ 1,685.14 Section Three. Department of Finance Personal Services . . . . . . . . . . . . 3,604.17 Section Four. Legal Department Personal Services . . . . . . . . . . . . 3,015.12 Section Five. Maintenance Department Personal Services . . . . . . . . . . . . 39,828.48 Section Six. Design Department Personal Services . . . . . . . . . . . . 5,491.75 Section Seven. 3 Construction Department Personal Services . . . . . . . . . . . . 11,737.60 Section Eight. Secretary-Treasurer's Office Personal Services . . . . . . . . . . . . $ 1,125.26 Section Nine. There is hereby reappropriated and set apart out of the sum of One Million six hundred eighty- three thousand five hundred eighty-five dollars and no cents ($1,683,585.00) appropriated by Section Twelve of Ordinance No. 82 the additional sum of Six thousand eighteen dollars and ninety-six cents ($6,018.96) for the purpose of reimbursing the treasury of the District for prepaid bond expenses properly chargeable against the proceeds of the sale of bonds issued under and pursuant to Ordinance No. 60, said sum having been omitted from the sum of Seventeen thousand five hundred forty dollars and eighty cents ($17,540.80) appropriated by Section Thirteen of Ordinance No. 82. 4 The foregoing Ordinance was adopted July 23, 1956.