Loading...
HomeMy WebLinkAboutRes 14-78 04/19/1978 '- RESOLUTION NO. /4- 7 g A RESOLUTION MAKING CERTAIN APPROPRIATION TRANSFERS WITHIN THE ANNUAL BUDGET ADOPTED FOR FISCAL 1977-78 WHEREAS, the Mayor and Board of Trustees of the Village of Mount Prospect have passed and approved Ordinance No. 2342, which set the finances of the Village under the "Budget Officer System"; and WHEREAS, pursuant to the aforesaid Ordinance and the statutes of the State of Illinois made and provided, an annual budget for 1977-78 was passed by the Corporate Authorities of the Village of Mount Prospect by Resolution 10-77 on April 26, 1977; and WHEREAS, said budget has heretofore been amended by Resolution No. 23-77 passed on June 7, 1977, Resolution 29-77 passed on August 2, 1977, Resolution 33-77 passed on September 6, 1977"and Resolution 46-77 passed on December 20, 1977 by the Corpo- rate Authorities of the Village of Mount Prospect and WHEREAS, the Mayor and Board of Trustees of the Village of Mount Prospect have reviewed certain transfers and additions to the aforesaid budget for 1977-78 and WHEREAS, the Mayor and Board of Trustees of the village of Mount Prospect believe the following changes for fiscal 1977-78 to be in the best interests of the Village of Mount Prospect: NOW, THEREFORE, BE IT RESOLVED BY THE MAYOR AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: SECTION ONE: That the fiscal 1977-78 budget for the Village of Mount Prospect, Illinois is hereby amended as follows: Original Item As Currently Budgeted To Amount Transferred From Revised Item Budgeted GENERAL FUND: 010 216 228 387 VILLAGE BOARD Meetings & Conventions Organizational Memberships Other Supplies $ $ $ 335 $ 1,965 8,910 2,300 2,300 8,775 2,100 135 200 $ 13,175 $ 335 $ 335 $ 13,175 011 VILLAGE CLERK 213 Publish Legal Notices 230 Printing 374 Office Supplies 411 Copy Machine Rental $ 2,500 $ 300 $ 800 150 1,200 200 1,600 1,400 6,100 $ 2,050 $ 3,000 $ $ 1,200 600 220 3,400 1,500 125 495 8,000 8,000 15,125 $ 2,215 $ 9,200 $ 2,800 950 1,400 3,000 $ $ 8,150 012 100 213 230, 232 240 ELECTIONS Personal Services Publish Notices Printing & Supplies Rental Polling Places Voting Machine Rental $ $ 1,800 820 4,900 620 $ 8,140 $ -1--= J/f--7? Original Item ,"As '.", Amount Revised Currently Transferred Item Budgeted To From Budgeted 021 FIRE & POLICE COMMISSION 213 Publish Notices $ 50 $ 180 $ $ 230 228 Organizational Memberships 90 110 200 230 Printing 100 150 250 240 Tests, Investigations 5,000 1,100 6,100 $ 5,240 $ 1,540 $ $ 6,780 022 ZONING BOARD OF APPEALS 213 Publish Notices, Ordinances $ 3,000 $ 200 $ $ 3,200 240 Hearing Expense 4,000 1,500 5,500 $ 7,000 $ 1,700 $ $ 8,700 023 PLAN COMMISSION 231 Printing-Compo Plan $ 1,000 $ $ 1,000 $ 024 BUSINESS DISTRICT DEVELOPMENT & REDEVELOPMENT COMMISSION 231 Printing, Mailing, Graphics $ 1,000 $ $ 750 $ 250 030 MANAGER'S OFFICE 233 Automobile Expense $ 1,000 $ $ 400 $ 600 374 Office Supplies 900 150 1,050 411 Copy Machine Rental 2,000 1,300 3,300 910 Automotive Equipment 5,500 800 4,700 $ 9,400 $ 1,450 $ 1,200 $ 9,650 040 FINANCE DEPARTMENT 100 Personal Services $ 142,398 $ $ 7,000 $ 135,398 245 Equipment Maintenance 3,500 200 3,700 391 Vehicle License, Decals 2,500 700 1,800 $ 148,398 $ 200 $ 7,700 $ 140,898 042 TELEPHONE SERVICE 100 Personal Services $ 7 , 64 0 $ $ 500 $ 7,l40 235 Switchboard 28,000 4,000 32,000 $ 35,640 $ 4,000 $ 500 $ 39,140 050 LEGAL DEPARTMENT lOa Personal Services $ 59,729 $ $ 3,000 $ 56,729 221 Outside Legal Services 24,000 3,000 27,000 228 Organizational Memberships 400 400 800 230 Printing 4,000 2,000 2,000 240 Other-Court Expenses, Experts, Printing 12,OOO 2,000 10,000 356 Library Reference Material 1,600 250 1,850 $ 101,729 $ 3,650 $ 7,000 $ 98,379 060 ENGINEERING 227 Maps & Plats $ 1,500 $ $ 1,000 $ 500 233 Auto Maintenance 1,900 600 2,500 24~ Microfilm of Records 2,500 2,500 $ 5,900 $ 600 $ 3,500 $ 3,000 070 BUILDING & ZONING DEPARTMENT 233 Auto Maintenance $ 850 $ 600 $ $ 1,450 245 Microfilm of Records 5,000 5,000 $ 5,850 $ 600 $ 5,000 $ 1,450 - 2 - Original Ite:m 'As. "" Amount Revised , . . . Currently Transferred Item Budgeted To From Budgeted" 301 PUBLIC RELATIONS 297 Explorer Scout Crossing Control $ 3,000 $ 800 $ $ 3,800 302 INSURANCE 224 Insurance Premium $ 180,000 $ 31,000 $ $ 211,000 240 Insurance Appraisal Update 7,500 7,500 245 Unemployment Compensation 15,000 10,000 5,000 $ 202,500 $ 31,000 $ 17 , 500 $ 216,000 304 EMPLOYEE BENEFITS 504 Sick Leave Benefit $ 27,000 $ 3,500 $ $ 30,500 340 SIDEWALKS 215 New Sidewalks $ 30,000 $ 7,650 $ $ 37,650 237 Repair Wing Walks 1,000 600 400 240 Curb & Gutter Repairs 2,500 300 2,200 $ 33,500 $ 7,650 $ 900 $ 40,250 390 PROJECTS 977 Special Census $ 20,000 $ $ 6,805 $ 13,195 981 Transfer of funds to Library 70,000 70,000 982 Palm & Tamarack Improvement 22,000 22,000 $ 42,000 $ 70,000 $ 28,805 $ 83,195 TOTAL - GENERAL FUND $3,762,920 $ 184,400 $ 184,400 $3,762,920 STREET & BRIDGE FUND 410 STREET MAINTENANCE (NOC) 100 Personal Services $ 402,108 $ 24,000 $ $ 426,108 450 STREET EQUIPMENT 233 Equipment Repair Parts $ 35,000 $ 5;800 $ $ 40,800 365 Gasoline 13,500 2,500 16,000 $ 48,500 $ 8,300 $ $ 56,800 TOTAL - STREET & BRIDGE FUND $ 450,608 $ 32,300 $ $ 482,908 GARBAGE COLLECTION SERVICE 550 GARBAGE COLLECTION SERVICE 217 Collection by Contract $ 930,200 $ $ 44,300 $ 885,900 ILLINOIS MUNICIPAL RETIREMENT FUND 701 ILLINOIS MUNICIPAL RETIREMENT FUND 514 Municipal Contributions for Employees Retirement Fund $ 165,900 $ 12,000 $ $ 177,900 TOTAL - GENERAL AND RELATED FUNDS $5,309,628 $ 228,700 $ 228,700 $5,309,628 - 4 - Original f- II' Item<As ~~:;'\' Amount Revised , . - . Currently Transferred It.~m Budgeted To From Budgeted' WATERWORKS & SEWERAGE FUND 120 OVERHEAD 100 Personal Services $ 468,840 $ $ 40,000 $ 428,840 230 printing 2,000 400 2,400 231 postage 7,800 2,000 5,800 235 Telephone & Alarms 7,500 2,500 10,000 249 Engineering Analysis Distribution System, Sewer & Water Rates 13,000 7,000 20,000 $ 499,140 $ 9,900 $ 42,000 $ 467,040 180 PUMPS & CONTROLS 219 Electrical Energy $ 160,000 $ 10,000 $ $ 170,000 220 WATER MAINS 381 Repair Materials $ 30,000 $ $ 7,000 $ 23,000 250 WATER METER SERVICE 381 Repair Parts $ 5,000 $ 3,000 $ $ 8,000 271 MOTOR EQUIPMENT 233 Motor Equipment Repairs $ 24,700 $ 3,000 $ $ 27,700 365 Gasoline 13,000 3,000 16,000 $ 37,700 $ 6,000 $ $ 43,700 272 OTHER EQUIPMENT 381 Repair Materials $ 3,000 $ 400 $ $ 3,400 291 EMPLOYEE SICK LEAVE BENEFIT 540 Sick Leave Benefit $ 3,000 $ 1, 100 $ $ 4,100 300 SANITARY SEWERS 219 Electrical Energy - Lift Stations $ 200 $ 300 $ $ 500 390 PROJECTS . 973 Well Station #17 $ 480,000 $ $ 19,700 $ 460,300 977 Sewer Connection - Oak ton & Elmhurst 70,000 38,000 108,000 $ 550,000 $ 38,000 $ 19,700 $ 568,300 TOTAL - WATERWORKS & SEWERAGE FUND $1,288,040 $ 68,700 $ 68,700 $1,288,040 SECTION TWO: That this Resolution shall be in full force and effect from and after its passage and approval in the manner provided by law. AYES: 0 , NAYS: 0 PASSED AND APPROVED This /f-d day of ;pd /#1 h L ,~.M.LiM- JI /{,fUvd_A- ~ Mayor , 1978 ATTEST: il~;I .-tV. ~~ Village Clerk - 5 -