HomeMy Public PortalAbout2478-1970 - Appropriation - The Motor Vehicle Highway Fund 1971 BudgetPrescribed by State Board of Accounts City Budge } ': .
ORDINANCE NO. 2478-197(,
AN ORDINANCE APPROPRIATING THE SUM OF $438,020.00 FRO'! THE "°IOF 3r' is, ir;
FUND OF THE CITY OF RICHMOND, WAYNE COUNTY, NDIAl1A, FOR THE PURVOSF
THE EXPENSE OF THE MOTOR VEHICLE HIGHWAY FUND OF SAID C177 ,-CR T�!i. C?J-
1971, BUDGETING THE SAME, LIMITING THE USE THEREOF AND F::XII -Fat:
SHALL TAKE EFFECT.
SECTION 1. BE IT ORDAINED by the Common Council of tlo� i itv or ltacnr; ;r:
that there be and there is hereby appropriated the sur) o-`" $433,021" .,") i
Vehicle Highway Fund of said C-sty, and that he sa;nF� sha"I bz se. A .,:;
for the various items and expenditures as fo o,is
MOTOR VEHICLE HiGHt.AY FUND BU`)GE:T :"06� 1071
1. SERVICES PERSONAL
11.
Salaries and Wages, Regular
111. Salary - Commissioner
10„001)
112, Salary - Clerk
5,.459.00
113. Salary - Inventory Clerk
4,000.00
114. Payrolls
1 7,500.on
115. Technical Advisor {City Engr.)
2,190.00
2. SERVICES CONTRACTUAL
21.
Communication and Transportation
211. Freight, Express and Drayage
50.0�
212. Postage
2i.09
213. Traveling Expenses
150.00
214. Telephone and Telegraph
423.00
22.
Heat, Light, Power, Sewage and Wate*
221. Electric Current
11,500.00
224. Water
351).1-)
24.
Printing and Advertising
241. Printing, Other Than Off. Spl�;.
100.00
25.
Repairs
251. Buildings and Structures
2,Ci00.01
252. Equipment
3 , )01.,'10
26. Other Contractual Services
261. Rental of Equipment i 50).00
262. Repair to Traffic Lights 1,800.1'>
263. Other Contractual Services 2 i.30
3. SUPPLIES
31. Fuel and Ice
311. Coal 1,20.).on
32, Garage and Motor
321. Gasoline 8.,500.00
322. Oil 1 , 16 , 00
323. Tires and Tubes 1,501.00
324. Other Garage and Motor Supplies 3,30).00
33. Institutional and Medical
332. Medical Surgical and Dental 30.00
36. Office Supplies
361. Official Records 3'i.00
362. Stationery and Printing 6:3.0c
363. Other Office Supplies 17i.00
37. Other Supplies 20;00o.00
8rdinance No. 2478-1970
Page 2
4. MATERIALS
42. Street, Ailey and Sewer Materials
425. Streets, Alleys, Curbs & Sidewalks 89,975.00
426. Sewer Materials 6,000.00
43. Parts of Equipment 10,80(1.00
44. Parts of Structures 2,000.00 108'77E�00
5. CURRENT CHARGES
51. Insurance 10,000.00
57. Hospital Insurance 5,000.00 15,('j0"-,.0:-
6. CURRENT OBLIGATIONS
62. Social Sec
uFitty-City"s Share OAST 10,:320.00
64. Cont.-Public Employees Retirement 17,35F.00 2i.67.,.0")
7. PROPERTIES
72. Equipment
722. Motor Equipment 25,000.00
723. Traffic Signs and Guides 3,50C.00
726. Other Equipment 2,500.00 31,003;
TOTAL 438 , ii2 .00
SECTION 2. That all said expenditures as provided for ire Section 1, shall ^e made
and performed between January 1, 1971, and December 31, 1971, inclusive,
SECTION 3. That said monies as appropriated and budgets are res'&I cted rsc ?'!y
to and for the use of construction, re -construction and maintenance of tko trai�.s
and alleys of the City of Richmond, Indiana, pursuant to Chaper 278 Acts of 1951.1
passed by the General Assembly of the State cf Indiana.
SECTION 4. This ordinance shall be in full force and effect from and after its
passage by the Common Council, the signature of the President affixe6 and t-he
approval of the Mayor of the City of Richmond, Indiana.
PASSED by the Common Council of the City of Richmond, Indiana this t.: ;f
August, 1970.
President
Attest
City"�i"erk"".�'
SUBMITTED by me, Lotte Hoskins, City Clerk, to the Mayor of the City o`= 'ic mon€
Indiana, this day of August, 1970.
C ty Cea^a
APPROVED by me, Byron E. Klute, Mayor of the City of Richmond, IndiaiLa, wh'
day of August, 1970.
�iay r
Attest:___
City Clerk