HomeMy WebLinkAboutOrd 993 09/01/1964
r-.-
~
1
(,,~
/..
ORDINANCE NO. fl]
AN ORDINANCE AUTHORIZING THE LEVY AND COLLECTION OF TAXES
FOR THE CORPORATE AND MUNICIPAL PURPOSE$ OF THE VILLAGE
OF MOUNT PROSPECT FOR THE FISCAL YEAR BEGINNING MAY 1, 1964
AND ENDING APRIL 30~ 19650
BE IT ORDAINED BY THE PRESIDENT M~D BOARD OF TRUSTEES OF THE VILLAGE
OF MOUNT PROSPECT, COOK COUNTY \l ILLINOIS:,
Section 10 That the sum of Five Hundred Tt'lenty Thousand., Seven Hundred
and Fifty Nine Dollars (520,759000), the same being the total amount to be levied
of appropriations heretofore made for the corporate and municipal purposes for
the fiscal year beginning May 1,1964 and ending April 30,1965, as appropriated
for the current fiscal year by said Annual Appropriation Bill, be and the same is
hereby levied on all taxable property within the Village of Mount Prospect accord-
ing to the valuation of said property as is, or shall be assessed or equalized
by State and County purposes for the current year 19640 The appropriations
theretofore having heretofore made in and by ordinance adopted by the President
and Board of Trustees of the Village of Mount Prospect at a meeting hereof regu~
larly convened and held in the said Village of Mount Prospect, Illinois on the 21st
day of July, 1964 and thereafter duly published in the Mount Prospect Independent,
a newspaper published in and having a general circulation within said Village of
Mount Prospect on the 30th day of July, 1964 and the Mount Prospect Herald, a ne\-lS-
paper published in and having a general circulation within said Village of Mount
Prospect on the 30th day of July, 1964, according to law; the various obje~ts and
purposes for which said appropriations were heretofore made are set forth under
the column entitled, "Amount Appropriated" and the specific amount hereby levied
for each object and purpose is as set forth under the column entitled\) "Amount
Levied" as follows:
c
(,
~""--.:l_~
ARTICLE I - GENERAL CORPORATE PURPOSES
A - CONTROL
-
11. Village Board
Salary of Village President
Salary of Trustees
Transportation
Organizational Memberships:
Illinois Municipal League
Management Information Service
Northwest Municipal Conference
NoE. Met. Area Plan Commission
National Municipal League
North Suburban Council on Refuse Disposal
Office Supplies
Sub Total
lli-!:!!!.age ~
Salary of Village Clerk
Personal Services, Secretarial
Publication of Legal Notices
Printing
Postage
Recording Fees
Organizational Memberships
Transportation
Illinois Municipal League Confer0nce
Office Supplies
rile Cabinet (1)
Sub Total
!~. M,!ni~ga:~ :Code
Reprints for Cede
Sub Total
14. Insurance
~~~~~
Fire
Comprehensive and Fleet Auto Liability
Workmans Compensation
Bonds - Public Officials
Business Interruption
Sub Total
~..~.._ Te1~~I!!..,~!E--:~~__
Personal services, operator
Telephone
Typewriter
Desk and Chair
Sub Total
Po 2
Amount
Appropriated
$ 1,125000
2,700000
1,995.00
~20000
79.00
53000
420000
10000
200000
525.00
a.c.
$ 7,527000
$ 750.00
9,264000
1,050.00
105000
262000
210,,00
20000
210000
158000
893.00
90000
-~ii'~
$13,012000
--.- -.;- ~~.
$ 1,575000
~---
$ 1~575000
..:'bd'",~
$ 1,707000
81>392000
3,336000
~50000
115000
~--~ ~ --"...--
$ll~,OOOoOO
~ -:'"-
$ 3,65~000
5,68~..OO
~~6000
174000
~T""""~~
$ 9~958000
Amount
Levied
._~
$ 394,,00
946000
1~7000
147000
184000
~..-.o..r~
$ 11)818000
~---_._- .::. -
$ 263000
3,2~6000
368000
37000
92000
313.00
"'~'='--~- --~. - ,"-~~
$ 4,319..00
-=.~~- -- .... -,..-~
$ 552...00
~~~,~~~~
$ 552..00
....~.......,:...t
$ 598000
2,940000
1,169000
158000
~OcOO
~~~
$ 4..905000
~....:.>~----
$ 1,280000
11l99LOO
156...00
61000
~---;r--:-~~
$ 3,488000
.~._-_.--""---~~~
c
1S, Vil!a.~t M~aJ!er's OffiP.C:
Salary of Village Manager
Personal Services, Assistant, Secretary
Postage
Telephone
Travel
AUto Maintenance
Organizational Memberships
Expenses as Host Committee I.CoM.A.
Office supplies
Other equipment
Sub Total
16. Police and Fire Commission
---A~
Personal Services, Clerical
Organizational Memberships
Legal Publications
Travel
Printing
Other Services
Office Supplies
File Cabinet (1)
Sub Total
I
.
180 Planning Commission
Travel
Office Supplies
(Other Supplies .
I'
Sub Total
I'
I
I
I
I
I
I
I
I
190 Board of Appeals
Personal ServicQ;, Secretary
Travel
Other Services
Other Expense
Print Zoning Book
Qffice Supplies
Sub Total
TOTAL - CONTROL
o
Amount
. ~fR.r?Pr~.~!.e~
$14,525.00
11,334.00
263.00
300.00
525.00
315000
63.00
105000
1,050.00
100.00
$28,580.00
Amount
Levied
. .... ,
$ 5,ae9.00
3,9?1.00
92.00
105.00
110.00
368.00
35000
-"
$ 9.770.00
$ 390.00 $ 137000
412000
263000 92.00
368.00
420.00 147000
420.00 147.00
131.00 46.00
100.00 35000
$2,504000 $ 604000
$ 53.00 $
53.00
27.00
$ 133000 $ None
$ 450.00 $ 158000
210000
28.00
73.00
1,575000 552.00
79.00
$2,415.00 $ 710.00
$79,704.00 $26,166000
c,
o
'P_ 4
o
28ls Building~ns~ection De~artrnent
Salary Supto of Building
Personal Services, Inspectors
Personal Services, Clerical
Printing
Postage
Travel
Organizational Memberships
Other Services
Meetings and Conventions
Elevator Inspections
Office Supplies
Other Supplies
282.. Architectural Committee
v ~
Plan Examination Service
Sub Total
C - PUBLIC BUILDINGS AND GROL~DS
TOTAL - STAFF AGENCIES
Sub Total
2910 Public Buildings
..e~.:....t>...c -.biiIII._
Personal Sarvices
Sewer Charge
Repairs by Contract
Painting Municipal Building
9Jpplies
Janitorial Supplies
Fuel for Heating
Paint
Mght Fixtures
Installation of Target Range
Hater Soft.aner
292 c Public Gro.mds
Supplies
Sub Total
Sub Total
TOTAL .. PUBLIC BUILDINGS AND GROUNDS
Po 5
o
Amount
Appropriate'!..
$ 8,400000
13,866..00
3,338..00
2,100..00
158.,00
2,205000
105.,00
53.,00
630.,00
210000
525.,00
210,,00
$31.800000
$ 1..5qQ&Q
1,5~
$131..007.,00
Amount
Levied
'"1
$ 2,943000
4,858000
1,170000
736000
55000
74..00
184000
74..00
~~~~
$10,094.,00
$ 525000
526000
$43,,078.,00
$ 8,354.,00 $ 2,927.,00
101..00 35..00
3,150..00 1,104000
1,5'75..00 552.00
603~OO 239.00
7H8..00 276000
3,7DOoOO 1,32lt.OO
2:~O .00 74000
200..00 70..00
10,000,,00
1,500000 526000
...c..~._~~.o..~ ...c.-e--:"--_~~___:.-.4
$30.3!.~LOO .LJ-427.,O-L-
$ 1.050..00 $ 368..00
$ 1,050.,00 $ 368.,00
$31,391.,00 $ 7 ~49~"OO
o
D - PUBLIC SAFETY
3010 Police De~artment Ope~ation~
Salary, Chief
Salaries of Policemen and Policewoman
Salaries, Desk Clerks
Printing
Postage
Telephone
Travel
Other Services
Radio Maintenance
Motor Vehicle Maintenance
Other Equipment Maintenance
Organizational Memberships
Training (FBI Academy)
Other Training - Schools, etco
Ammunition and Targets
Clothing Allowance
Food (for prisoners)
Gasoline
Breathalizer Supplies
Office Supplies
Pictures, Photo Supplies
Other Supplies
Electric Clocks (3)
Lockers
Radio for Car
Purchase of Police Cars
Identi-Kit
File Cabinets
Furniture
Typewriter
Shoulder Patches
Stars and Badges
Dark Room Equipment
Siren
Sub Total
3030 Traffic Lights
_.~ ~
Electrical Energy
Contract for Maintenance
Repair Parts
Directional Controls
Sub Total
3040 g~~si~~Guards
Personal Services, Crossing Guards
Supplies
Sub Total
Po 6
o
Amount Amount
Appropri~ Levied
$ 10,375000
209,023000
19,975.00
1,680000
131000
2,100000
525000
263000
1,5'15000
7,140,,00
263000
53,,00
1,575,,00
1,575000
1,733000
3,300000
158000
7,875000
158000
893000
630000
630000
53000
176000
760000
10,000000
150000
300,,00
300000
300000
225000
100000
200000
70000
$ 3,635000
73,233000
6,998.00
589000
46000
736000
552000
2,502000
92000
607000
1,156000
55,,00
2,759000
55000
313000
221000
221000
62000
266000
3,504000
5~.oo
105,,00
105000
105000
79000
35000
70000
- ~~ ~ - --:'" .....:::J ...~_. - .-' .....~..,.. ". ....~
$284.264000 $98~154000
$ 1,260,,00
1,733000
210000
3~500000
~~~=
$ 6.703.,00
$ 19,160..00
158..00
$ 441000
607000
74000
1,226000
".. ~ " - '~"'- ., ..,. .
$ 2",348000
~~ ~=-~~
$ 6.713000
55000
$ 19ft318000 $ 6.763000
o
o
Amount Amount
311. Fire Department Operations Appropriated Levied
Salary, Chief $ 10,375.00 $
Salaries of Firemen 165,932.00
Paid on call Volunteers 15,000.00
Organizational Memberships 53.00
Printing 53 .00
Postage 26.00
Telephone l,~70.00
Travel 683.00
Other Services 525.00
Radio Maintenance 1,575000
Vehicle Maintenance 1,050000
Other Equipment Maintenance 525.00
Training Expense 1,050.00
Hydrant Rental 1,000000
Chemicals, Fire Fighting ~20.00
Clothing Allowance 2,700.00
Office Supplies 263.00
Pictures 157.00
Tools ~20000
Other Supplies 1,575.00
Gasoline and Oil 1,575.00
Oxygen Tanks and Refills 315000
Hose 2,500.00
Other Fire Equipment 500000
Files and Other Office Equipment 600000
Radio Receivers (6) 700.00
Turn Out Clothes 600000
Station Hagon 3,000.00
Radio Remote Station and Intercom 300000
Sub Total $21~,9~2.00 None
312. Bureau of Fire Prevention
Organizational Memberships $ 16.00
Traning Expense 263000
Postage 252.00
Printing and Literature 1,312.00
Photographs and Photo Supplies 210000
Office Supplies 105.00
Camera 100.00
Projector 150000
Sub Total $ 2,~oaoOo None
32. Health
Personal Services, Health Officer $ 500000 $ 175.00
Personal Services, Inspector 2,702.00 9~7000
Dog Catcher by Contract 1,260000 4~l.OO
Printing 105000 37.00
Car Allowance 284..00 100.00
Office Supplies 210.00 7~.OO
Sub Total $ 5,,061000 $ 1..77~.OO
33.. Hospi~alization Insurance $ 16,3~800~ $
~_.~
Sub Total $ 16,,338.00 None
Po 7
c
CI
Amount
Levied
Amount
AP1roprlated
$ ,050000
$ 1,050.00
34. Employee Activities
$ None
Sub Total
35. Village Court
.........
Personal Services, Clerk of Court
Sub Total
$ 135.00
$ 135000
$
$
390000
390.00
36. Prosecutor
.c -
Salary, Prosecutor
Travel
Other Services
$ 841000
37.00
37.00 .
$ 2,400000
105000
105,,00
$ 2,610.00
..
---4>-......b-_~
$ 915000
Sub Total
~-
$ 553,084.00 $110,094.00
TOTAL - PUBLIC SAFETY
E - ENGINEERING
.-~~.- ._. - -----.c:.
!8. Eng~~_~n-s__~artmant
Personal Services, Village Engineer
Parsonal Services, Engineering Department
Maps
Consulting Services
Organizational Memberships
Meetings and Conventions
Supplies
File Cabinet
Desk and ChaIr (1)
Drafting 'fable and Chair (1)
Other Equipment
Small Tools and Equipment
TOTAL - ENGINEERING
$ 11,413000 $ 3,999000
13,275000 4,651.00
787000 276000
1.575.00 552000
105000
315000
630.00 241.00
100000 35000
200000 70~OO
215000 75000
500.00 175000
250.00 8S000
~,~~.:=..= ~~
$ 29,365000 $10,,162000
$ 3,000000 $
6,000000
700.00
F - CONSTRUCTION PROJECTS
~'---7'"--~""""'~~ ~
Foot Bridge Repairs
Bridges over Weller Creek - Plans & Specs
Edward Street Sewer
Additional Projects during the year that
are not otherwise appropriated - - 10,000000
~..c--;zr---:~ ~~~
TOTAL - CONSTRUCTION PROJECTS $ 19,700000 $ none
G - OTHER OPERATIONS
---
510 St~eet Llght~
Electricity $ 26,250000 $ 9,197.,00
Other Services 1,050000 368000
-
Sub Total $; 27",300000 $ 90565000
520 Trees
. '""-
Tree Replacement $ 2,625000 $ 920000
~---~-~
Sub Total $ 2..625000 $ 920.00
Po 8
c
o
^~un~ Awou.nt.
/lppropriated Levied
53. Sidewalks
Material for Sidewalk Repairs $ 1,050.00 $ 368"OQ
New Village Walks 2,500.00 876000
Repair of Village Walks 2.500.00 876,,00
Sub Total $ 6,050.00 $ 2,120,,00
54. Planning Consultant
.~ "- :- :- .".-. _.- -~ ~
South of Village -
Planning Area $ 3,938.00 $
Comprehensive Zoning Maps and Ordinances 4,200000
North of Village -
Planning Area 3,938000
Comprehensive Zoning Maps and Ordinance 5,250000
Other Planning Studies 6,300.00
_.--..-._.~ -----.~_.... ..~..-. -.-.
Sub Total $ 23tl626000 $ None
57. SpecialConsus $ 3.675.00 $
Sub Total $ 3,675000 $ None
58 .7~~V.~.Y..S~
Insurance Appraisal $ 1,500.00 $
Salaries and Wages 2,000000
-- -- -... "'- ...~.. .. -';7
Sub Total $ 3fl500000 $ None
TOTAL - OTHER OPERATIONS $ 6611776000 $12.605000
GRAND TOTAL - GENERAL CORPORATE $911,027000 $209,600,,00
Po 9
o
o
Amount Amount
Appropriated Levied
ARTICLE II - GARBAGE COLLECTION SERVICE
55. Garbage Collection Servi~.
Collection by Contract $122,850.00 $
GRAND TOTAL - GARBAGE COLLECTION $122,850.00 $ None
ARTICLE III - STREET AND BRIDGE FUND
I" .
4000. Labor Street Department
Salary, Superintendent $ 8,300.00 $ 5,219.00
Personal Services, Maintenance 55,297.00 34,776..00
...
Sub Total $ 63.597.00 $39..995000
41000 Street Maintenance not Othe~~ise
Classified
Clothing Service $ 1,100000 $ 692000
Miscellaneous Supplies 578.00 363000
~~~
Sub Total $ 1.678.00 $ 1.,055000
41010 Supervision
-
Travel $ 79000 $
Supplies 37000
h ~
Sub Total $ 116000 $ None
4104. Asnhalt Street Patching
Patching Materials L!,575.~e $ 990000
~-
Sub Total $ 1,,575000 $ 990,,00
4105. Spreading Salt
Salt $ 7,000000 $ 4,402000
Sub 'l'otal $ 79000000 $ 4,,402000
4107. Snow Removal
-
Equipment Rental $ 5,,250.00 $ 3,,301000
Sub Total 5.250000 $ 3..301o~
11-1090 Street Name Markers
- ~---
Sign Making Materials $ 1,785000 $ 1,122000
St~eet Sign Posts 368.00 231000
Sub Total $ 2..153.00 $ 1..353000
41100 Street Traffic Marking
--~-~.. -: ~ ~
Paint $ 525000 $ 330000
Supplies 52000
Sub Total $ 577000 $ 330,,00
4ll}~'!-~~t ~.!!..~~@.!.
Signs $ 2,100.00 $ 1,321000
Posts 525.00 330,,00
Other Supplies 210..00 132000
Sub Total $ 2,835000 $ 1,783000
Po 10
o
ARTICLE III - STREET AND BRIDGE FUND. CONT'D
4114. Street Tarring
Tar
Other Supplies
Sub Total
421. Tree Trimming
Trimming by Contract
Tree. Brush and Stump Removal
Storm Damage Trimming
Sub Total
~22. Tree Spraying_
Spraying by Contract
Sub Total
432. Inlet Repairs
Supplies for Inlet Repairs
Sub Total
~,,--.Equi"p"'D~~
Lubricants
Tires
Repairs - Motor Equipment
Repairs - Other Equipment
Other Services and Supplies
Gasoline
Snow Plow (1) .
Other Equipment
Street Sweepers (2)
End Loader
Tow Chaine
Tire Chains
New Truck
Sub Total
GRAND TOTAL - STREET AND BRIDGE FUND
P. 11
o
Amount Amount
Appropriated Levied
$ 866.00 $ 545.00
210.00 132.00
$ 1..076.00 $ 677.00
$ 30.000.00 $
2.625000
7".875000
$ 40.500.00 $ None
$ 8~400.00 $
6 80400000 $ None
y
$ 210.00 $ 132.00
-.:.::..:. :O7""'---~ -.4!>~ ~_,.,.~_......_...,r"
$ 210.00 $ 132000
$ 368.00 $ 231000
525000 330.00
40200.00 2z641000
1,,050000 660000
2,100.00 1.321,,00
2,730000 1,717000
1.200.00 755..00
1,000.00 629.00
9,841000' 6.188000
40653.00 2.926.00
200.00 126.00
500000 314.00
5.000,,00 3,144.00
-~-_.- -:0-- ~-y" -_. ....... .. ,-, _.- _.....-
$ 33,,367.00 $20.982.00
$16Bf;S3'~"OO ~75.000.00
c
o
AMOUNT AMOUNT
ARTICLE IV - PUBLIC BENEFIT APPROP~IATED LEVIED
sa.. Public Benefit Disbursements
Special Assessement 153
Installment #9 due 1-1-65 $ 120.00 $ 120.00
Interest thereon due 1-1-65 i5.00 8 .0-0-
~ a...
Sub Total $ 135.00 $ 128.00
Special Assessment # 54
Installment # 9 due 1-1-65 $ \:527.00 $ 627.00
, Interest thereon due 1-1-65 . 75.00 .38.00
-----
Sub Total $ 702.00 $ 665000
-
Special Assessment # 55
Installment # 9 due 1-1-65 $ 211000 $ 211.00
Interest thereon due 1-1-65 26.00 13 ;01>
Sub Total $ 237.;00 $ 224,tOO
Special Assessment # 56
Installment # 9 due 1-1-65 $ 90.00 $ 90.00
Inteeest thereon due 1-1-65 11.00 6.00
Sub Total $ 101.00 $ 96000
,
Special Assessment # 57
Installment # a due 1-1-65 $ 938.00 $ 938.00
Interest thereon due 1-1-65 169.00 113.00
Sub Total $ 1,107.00 $1,051.00
Special Assessment # 59
Installment # 5 due 1-1-65 $ 3,165.00 $
Interest thereon due 1-1-65 .190.00
$ 3,355.00 $ None
Sub Total
Special Assessment # 60
Installment #6 due 1-1-65 $ 963.00 $ 963.00
Interest thereon due 1-1-65 289.00 232.00
Sub Total $ 1,252.00 $1,195.00
Special Assessment # 61
Installment # 5 due 1-1-65 ;; 1,047.00 $1,047.00
Interest thereon due 1-1-65 377.00 315.00
Sub Total $ 1,424.00 $1,362.00
Special Assessment # 62
Installment # 3 due 1-1-65 $ 597.00 $ 597.00
Interest thereon due 1-1-65 287.00 251.00
.Sub. Total $ 884900 $ 848.00
Page 120
o
ARTICLE IV - PUBLIC BENEFIT - CONT'D
.
58. Public Benefit Disbursements, Cont'd
Special Assessment #63
Installment #1 due 1-1-65
Interest thereon due 1-1-65
Installment #2 due 1-1-66
Interest thereon due 1-1-66
Sub Total
-
Losses in Collections at 7%
Sub Total
GRAND TOTAL - PUBLIC BENEFIT
o
Amount
Ap~ropriated
$ 1,910.00
573.00
1,910.00
1,032.00
$ tt,lI-25.00
$
770.00
770.00
$ 15,392..00
ARTICLE V - GENERAL OBLIGATION BOND AND INTEREST FUND
59. Debt Service
Municipal Building Bonds issue of 19l1-6
and Interest thereon
Municipal Building Bonds issue of 1961
and Interest thereon
Library Building Bonds issue of 1949
and Interest thereon
Library Building Bonds issue of 1961
and Interest thereon
Fire Equipment Bonds issue of 1959
and Interest thereon
Public Works Bldg. Bonds issue of 1964
and Interest thereon
Fire Station Bonds issue of 1964
and Interest thereon
Fire Equipment Bonds issue of 1964
and Interest thereon
Losses in Collections at 7\
GRAND TOTAL - GENERAL OBLIGATION
BOND AND INTEREST FUND
ARTICLE VI - CIVIL DEFENSE
,
17. Civil Defense Commission
Printing
Office Supplies
Sub Total
271. Civil Defense Education
Printing and Literature
Sub Total
GRAND TOTAL - CIVIL DEFENSE
ARTICLE VII - POLICE PENSION FmlD
:- 'i
To be Paid out of proceeds as provided
by law for setting apart formation and
disbursement of a Police Pension Fund
GRAND TOTAL - POLICE PENSION FUllD
P. 13
$ 10,500.00
11,5B2~00
3,321.00
16,420.00
7,063.00
16,945.00
16,153.00
12,291000
3,895.00
$ 98.170.00
$
105.00
105,,00
-~
$
210,,00
$
$
$
420.00
--- -~
420.00
630000
$ 22,950000
$ 22,950000
Amount
Levied
$
.41 ~
$ None
$ 390.00
390.00
$5,959.00
$10,250.00
11,419000
3,321000
16,070.00
6,875.00
16,945.00
16,153.00
12,291.00
3,876.00
$97..200.00
$ 100.00
100000
~~~c..~~
$ 200.00
$ 400000
~':>
$ 400000
$ 600.00
,$22,,900000
$22,900.00
D
ARTICLE VIII - PARKING SYSTEM REVENUE FUND
Personal Services, Repair Man
Land Lease
Insurance
Equipment rental
Painting Signs
Training Expense
Hospitalization Insurance
Uniforms '
Repair parts
Illinois Municipal Retirement Fund
MeteJ:> Payment
Paving Lot at Main and Busse
GRAND TOTAL - PARKING SYSTEM REVENUE
FUND
~~-
ARTICLE IX - ILLINOIS MUNICIPAL RETIREMENT FUND
Illinois Municipal Retirement Fund for the
purpose of paying Municipal Contribution
for Municipal Employees to the Illinois
Municipal Retirement Fund
GRAND TOTAL - ILLINOIS MUNICIPAL
RETIREMENT FUND
ARTICLE X - FIREMEN'S PENSION FUND
To be paid out of proceeds as provided by
law for setting apart, formation and
disbursement of a Firemen'" s Pension Fund
GRAND TOTAL - FlREHEN" S PENSION FUND
o
Amount Amount
Ap~J:>opriated Levied
$ 1,200.00
4,200.00
1,470000
525.00
105000
105..00
210000
105000
840..00
60000
2,000..00
2,200000
$13.020.00
$16,000.00
$16,000.00
$12,715000
$12,715000
$ -
$ None
$i6,OOOoOO
$16.000000
$12,700000
$12,700,,00
o
ARTICLE XI - WATERWORKS AND SEWERAGE FUND
10. Personal Services
Salary of Superintendent
Labor - Maintenance and Repair
Sub Total
11. ~upervision
Tl'8ve1
Sub Total
12. Overhead
Engineering Services
Printing
Postage
Telephone
Other Services
Annual Audit
Travel
Ol'gani~ationa1 Memberships
Equipment Maintenance
Damp Watel' Commission
Office Supplies
Other Supplies
Adding l-!achine
Sub Total
14. Service Charge
J.
Direct Service Charge to General Fund
Sub Total
15~ Debt Service
..,. Series of -1963
Principal
Interest
.Reserve Bond Account
Depreciation, 11iIpl'ovement and Extension
Sub Total
17. Buildings and GrOunds
~ ~ T e:v';'""<;t 7- .---~..------- -
Electricity
Fuel, Heating
Heating, Public Works Building
Other Supplies
Fire Extinguishers
Landscaping
Hat1en Well and Other Building Repairs
Sub Total
P.. 15
o
Amount Amount
A~ropriated Levied
$ 10,375.00 $ -
60~593.00
$ 70,958.00 $ None
$
368.00
368.00 $ None
$ 7,350.00
1,523.00
1,470.00
1,575.00
840.00
1,995.00
525,,00
131.00
263.00
3,000.00
525.00
368.00
200.00
tJ-
$ 19,786.00
--------- .....- --""--:
$ None
$ 12,000000
$ 12,000.00 $ None
$ 40.000.00
48,163.00
12,000,,00
12,000.00
$ 112,163.00 $ None
$ 315,,00
11l938.00
1,050.00
1,575.00
200.00
1,750,,00
1,000,,00
$ 7,728000 $ None
o
o
.\
APPROPRIATION 'ORDINANCE 19~=65 (continued)
.__._~--.... r"..... ../h(." ". ... ~_ r__..~
Amount
Appropriated
Amount
Levied
ARTICLE XI - WATERWOR~~ }EQ SEWBRAGE FUND CON'T.
-18.. Plun~ $
Repairs to Wells by Contract $ 26,250000
Electrical Energy 57,750.00
Fuel, Engine 210.00
Lubricants 315000
Repair Parts 1,050000
Chemicals ,7,875.00
Other Supplies 472AOO
Sub Total $ 93 922000 $ None
-~.._._...-
190 Water Reservoirs
Electro Rustproofing $ 840.00 $
Other Services 603000
Well 64 Reservoir Roof 1,050000
Other Supplies 525000
Emergency Overflow Well g 3 2..000000
Sub Total $ 5,,018000 $ None
200 Fire Hvdrant Maiutenanc~ $
Repairs by Contract $ 1,050000
Miscellaneous Services 1,650.00
Paint 315.00
Repair Parts 100500.00
Hydrants 5,775.00
Gravel 420000
Bankrun Fill 1,050.00
Black Dirt 157000
Sod 630.00
- Sub Totill -$ 20.947~O $-HQne
,2+0 Main Valve MalDtenance_ $
Miscellaneous Services $ 525.00
Repair Parts 1,050.00
Sub Total $ 1.575.00 S None
'220 Water ~1ains_
,
Repairs by Contract $ 1,575.00 $
Repair Materials 6,300.00
Connection to Des Plaines 2,500.00
Connection to Arlington Heights 4,000000
New 8" Main Extension - Wapella to
Nawata on Golf Road 4,500.00
Main Extension along Rand Road 7.000000
Sub Total $ 25,875000 $ None
Page 160
o
()
Amount Amount
A~pI'Opriated Levied
ARTICLE XI - WATERWORKS AND SEWERAGE FUND, CONT'D
23. Water Services
Miscellaneous $ 158..00 $
Repairs by Contract 1,050.00
Pipe 420..00
Fittings 840.00
Other Supplies 525.00
Gravel and Black Dirt 577.00
Rental of Welder for Thawing 1,000.00
Sub Total $ 4,570.00 $ None
24. Water T~p!':'
Taps by Contract $ 525..00 $
Pipe 210.00
Fittings 1~837.00
Other Supplies 157.00
Sub Total $ 2,729.00 $ None
251. Water Meter Installation
Meters $ 5,460..00 $
Fittings 210..00
Sub Total $ 5,670.00 $ None
2520 Meter Readi!.L.
Other Supplies $ 53000 $
Sub Total $ 53000 $ None
253.~eter Testing
Repair Parts $ 3,150000 $
Other Supplies 315000
Small Tools 105000
Sub Total $ 3,570.00 $ None
26. Other Maintenance Not Classified
-= ~--- ~.:. - "- :
Supplies $ 105000 $
Sub Total $ 105.00 $ None
~.e!C!~_.E~JJ~.m_e~t_
Lubricants $ 368000 $
Repairs to Motor Equipment 1,575000
Gasoline 1,890.00
Back Hoe 3,616.00
2,1/2-Ton Pick-up Trucks 4,.000.00
1 Station Wagon 2,500.00
1 Cab for Backhoe 800.00
Sub Total $14,749.00 $ None
P. 17
~
o
Amount Amount
Appropriated Levied
ARTICLE XI - WATERWORKS AND SEWERAGE FUND, CONT'D
2720 Other Equipment
Uniforms $ 1.200.00 $
Repairs 630.00
Other supplies 341.00
Tools 787000
Boots 52000
Emergency Flasher Lites 252000
Suction Hose 165000
Emergency Gas Masks 450.00
Converter AftC. & DoC. 500.00
'rest Kit 400.00
Propane Tank w/Assembly 150.00
Office Furniture 700.00
Acetelyne Welding and Cutting Torch 400000
Tool Box Mounted on #9 Truck 215000
Concrete Breaker 600.00
Foul Weather Suits 150.00
Steel Plates 300000
Sub Total $ 7,292000 $ Non~
28. Illinois Munic~l .!!ti:..re~nt Fund
Municipal Contributions for Municipal
Employees to the Illinois Municipal
RetiRment Fund $ 5..460.00 $
Sub Total $ 5,460000 $ None
29. Insurance
Insurance per Ordinance $ 3,150000 $
Hospitalization 2,100.00
Sub Total $ 5t,250.00 $ None
"
30. Sewer and Ditches
,
Repairs by Contract $ 3,100000 $
Supplies 1.050.00
Sub Total $ 4,150000 $ None
!! ~}\,n..n~.l:.,~~;:&.<!.
Charge by General Fund for
Services during the Year $ 18,000000 $
Sub Total' $ 18.000000 $ None
$441,917000 $ None
-
-
GRAND TOTAL - WATERWORKS AND SEWERAGE FUND
Po 18
o
o
Amount Amount
Appropriated Levied
Po 19
o
o
SUM MAR Y
From Other To Be
.... ; Appropriated Sources Levied
General Corporate Fund $ 911,027.00 $ 701,427,,00 $209,600.00
Garbage Collection Service 122,850.00 .122,850.00
Street and Bridge. Fund 168,334.00 93,334.00 75,000.00
Public Beufit Fund 15,392.00 9,433,,00 5,959.00
General Obligation Bond & Interest Fund 98,170.00 . 970.00 97,200.00
Civil Defense Fund 630.00 600~00
Police Pension Fund 22,950,,00 50.00 22~900..00
Parking System Revenue Fund 13,020.00 13,020.00
Illinois Municipal Retirement Fund 16,000.00 - , 16,000.00
Firemen's Pension Fund 12,715.00 --~- 12,700.00
Waterworks and Sewerage Fund 441,917.00 441,917.00
Public Library. 98,550.00 17,775.00 80,800.00
Totals $1,921,555.00 $1,400,776,,00 $520,759.00
Section 2..
That the Village Clerk is hereby directed to file a certified copy
of this ordinance with the County Clerk of Cook. County, Illinois, within the ..
time specified by law. ..,
Section 3.
'- ~
That this ordinance shall be in full force and effect from and after
its passage and approval according to law.
PASSED this FIRST day of SEPTEMBER. 1964"
AYES: I~ I ~) il-~'~--<--L} ~J gL, et...:1R-~
NAYS: \.-~
AB SENT: "'-<1""'--t...
APPROVED this FIRST day of SEPTEMBER. 1964.
Clarence O. Schlavo
Village Presiden
ATTEST:
12~ ~ uJ~
Ruth C:-W'flson "
Village Clerk
Po 20