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HomeMy Public PortalAbout01672 O R D I N A N C E NO. 1672 AN ORDINANCE, making supplementary appropriations for the personal services expenses of the District, the Coldwater Creek Trunk Subdistrict, and Subdistrict No. 150 (Sugar Creek) for the fiscal year beginning July 1, 1967 and ending June 30, 1968, amounting in the aggregate to One Hundred Nine Thousand Nine Hundred Fifty Dollars and no cents ($109,950.00) which sum is hereby appropriated from the unappropriated surplus of the General Fund and the special funds named for the use of the several departments, offices, etc. of the District and Subdistricts. 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 the unappropriated surplus of the District General Fund the sum of Eighty Thousand One Hundred Five Dollars and no cents ($80,105.00) for personal services expenses of the Maintenance Department of the District for the fiscal year beginning July 1, 1967, and ending June 30, 1968. Section Two. There is hereby appropriated and set apart out of unappropriated Operating Funds of Subdistrict No. 150 (Sugar Creek) the sum of One Thousand Nine Hundred Seventy- five Dollars and no cents ($1,975.00) for personal services expenses of the several departments of such Subdistrict for the fiscal year beginning July 1, 1967, and ending June 30, 1968, as follows: Secretary-Treasurer $ 25.00 Secretary-Treasurer - Collections 58.00 Department of Finance Billing and Machine Records 192.00 Waste Water Treatment Plants Department 1,700.00 Total from Operating Funds of Subdistrict No. 150 (Sugar Creek) $ 1,975.00 Section Three. There is hereby appropriated and set apart out of unappropriated revenue of the Coldwater Creek Sewer Revenue Fund, Coldwater Creek Operation and Maintenance, the sum of Twenty Thousand Four Hundred Fifteen Dollars and no cents ($20,415.00) for personal services expenses of the several departments of such Subdistrict for the fiscal year beginning July 1, 1967 and ending June 30, 1968, as follows: Secretary-Treasurer $ 221.00 Secretary-Treasurer - Collections 522.00 Total Department of Secretary-Treasurer $ 743.00 Department of Finance A. Purchasing - General Office Services 644.00 B. Billing - Machine Records 1,728.00 Total Department of Finance $ 2,372.00 Waste Water Treatment Plants Department 16,930.00 Maintenance Department 250.00 Personnel Department 120.00 Total Coldwater Creek Operation and Maintenance $20,415.00 -2- Section Four. There is hereby appropriated and set apart out of unappropriated revenue of the Construction Fund for the Mississippi River Subdistrict the sum of Seven Thousand Four Hundred Fifty-five Dollars and no cents ($7,455.00) for personal services expenses of the several departments of such Subdistrict for the fiscal year beginning July 1, 1967, and ending June 30, 1968, as follows: Executive Director $ 3,067.00 Legal Department, Right-of-Way 1,295.00 Survey & Inspection Department, Inspection 3,093.00 Total from Construction Fund for the Mississippi River Subdistrict $ 7,455.00 Section Five. This ordinance, being an appropriation ordinance, shall take effect immediately upon its enactment. The foregoing Ordinance was adopted October 30, 1967. -3-