HomeMy WebLinkAboutOrd 3043 09/02/1980 RDINANCE NO. 3043
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, 1980
AND ENDING APRIL 30, 1981.
BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT
PROSPECT, COOK COUNTY, ILLINOIS:
SE.CTION ONE: That the sum of Four Million One Hundred Two Thousand Six Hundred
Thirty-One Dollars ($4,102,631.00) the same being the total amount to be levied
of budget appropriations heretofore made for the corporate and municipal purposes
for the fiscal year beginning May 1, 1980 and ending April 30, 1981, as approved
by the President and Board of Trustees of the village of Mount Prospect be and
the same is hereby levied on all taxable property within the Village of Mount
Prospect according to the valuation of said property as is, or shall be assessed
or equalized by State and County purposes for the current year 1980. The budget-
ary appropriations theretofore having been made heretofore by the President and
Board of Trustees of the Village of Mount Prospectwere passed and approved by
Resolution Number 1780 at a meeting herof regularly convened and held in the said
Village of Mount Prospect, Illinois on the 15t~ day of April, 1980, and thereafter
duly published according to law; the various ob~.cts and purposes for said budget-
ary appropriations were heretofore made are set fSrth under the column entitled
"Amount Appropriated", and the specific amount herein levied for each object and
purposes is set forth under the column "Amount Levied" as follows:
RTICLE I - GENERAL CORPORATE PURPOSES
Public Representation
010101 -Mayor & Board of Trustees
Personal Services
Mayor
Liquor Commissioner
Trustees
Services
Organizational Memberships
Meetings
Annual Audit
Hearing Expense
Commodities
Recognition Supplies
Other Supplies
010102 - Advisory Boards & Commissions
Services
Organizational Memberships
Printing
Publish Notices, Ordinances
Hearing Expense
Tests & Investigations
Commodities
Office Supplies
020101
Sub-Total
Village Mana.ger's Office
Personal Services
Assistant village Manager
Administrative Secretary
Micro Film Technician
(Part-time)
Micro Film Coord. (PT)
Longevity
Salary Increases (Dept. Wide)
Services
Organizational Memberships ~
Training & Meeting Expense
Printing
Postage
Copy Machine'Costs
Outside Legal Services
Disbribution Newsletters & Folding
Oversize Microfilming
Oversize Microfilming-Engineering
Equipment Maintenance
Farmers Market
Contractual Services
AMOUNT
APPROPRIATED
2,000
2,000
7,200
AMOUNT
LEVIED
$ 11,200 $ None
10,000
1,000
7,000
500
$ 18,500 $ None
5OO
1,500
$ 2,000 $ None
100
250
3,600
4,500
8,000
$ 16,450 $ None
200
$ 200 $ Nons
$ 48,350 $ None
41,500
23,251
14,137
10,400
5,000
350
2,608
$ 97,246 $ None
900
19,550
4,000
450
3,300
106,000
8,000
3,150
2,100
5OO
50O
3,000
151,450
Page 2
20101 -
Village Manager's Office (Cont'd)
Comraodities
Office Supplies
Film for 3401 Camera and Duplicate
Film Processing
Reader Printer Paper
Storage Jackets
Auto Maintenance
Other Supplies
AMOUNT
APPROPRIATED
AMOUNT
LEVIED
$ 1,500 $ -
3,905 -
612 -
350 -
958 -
650 -
100 -
$ 8,075 $ None
~apital Expenditures
Office Equipment
$ 900 $
$ 900 $ None
Sub-Total
$ 257,671
$ None
030101 -
Management Services Department
Finance Division
Director of Management Services
Asst. to Dir.~ of Mgt. Services
Comptroller
Secretazy II
Senior Account Clerk
Account Clerk I
Data Entry Clerk
Switchboard Operator
Longevity
Part-time/Temporary
Sick Leave Benefit
Salary Increases (Dept. Wide)
21,188
21,000
28,000
13,000
35,500
25,600
9,500
10,165
3~150
10,000
37,000
14,858
$ 228,961
$ None
Contractual Services
Organizational Memberships
Printing
Postage
Copy Machine Costs
Office Equipment Maintenance
Data Processing Service
Equipment Rental (Key Punch Machine)
Telephone Service
Insurance Premium-General
Insurance Premium-Hospitalization
Unemployment Compensation
Equipment Lease (Computer)
$ 300
2,150
8,300
2,700
3,500
13,500
2,556
37,000
200,000
254,369
10,000
13..,.007
$ 547,375
$ None
Commodities
Office Supplies
Vehicle Licenses Decals
Dog Licenses
Other Supplies
4,675
2,000
400
5O0
$ 7,575 $ None
Capital Expenditures
Office Equipment
$ 2,000 $
$ 2,000 $ None
Sub-Total
$ 785,911
$ None
030102 - Village Clerk's Office
Personal Services
Director of Management Services
Appointed village Clerk
Clerk/Typist
Offset Operator
Longevity
7,062
17,400
19,500
5,000
350
Sub-Total
$ 49,312 $ None
Page 3
30102 -
040101 -
vill~_ Clerk's Office (Cont'd)
Contractual Services
Memberships
Printing
Postage
Copy Machine Rental
Publish Notices
Mag-Card Rental
Recording Expenses
AM0ONT
APPROPRIATED
200
3,400
3,050
4,500
5,000
2,700
1,100
~MOU~
LEvIED
Commodities
Office Supplies
Mag-Card Supplies
Business License Decals
Offset Repairs & Supplies
$ 19,950 $ None
2,500
100
900
3,500
Sub-Total
$ 7,000 $
Police Department
Personal Services
Chief
Deputy Chief
Commander
Lieutenant
Watch Commander
Shift Sergeant
Police Officers
Investigators
Juvenile & Investigations
Juvenile Officer
School Counselor
Police Assistant
Office Supervisor/Sec.
Secretary II
Records Clerks
Crossing Guards
Explorer Crossing
Bike Safety Aide
Overtime
Holiday Pay
Incentive Pay-EMT
Incentive Pay-Breathalyzer
Incentive Pya-Investigative
Longevity
S~lary Increases (Dept. Wide)
Foreman
Mechanics
Overtime
$ 76,262
Services
Membershi~ Fees
Training
Printing
Postage
Copy Machine Rental & Supplies
Car Allowance
Telephone
Animal Impounding Services
Physical Examinations
Equipment Maintenance
Cathode Ray Tube
Other Services
Radio
33,500
28,498
55,148
52,782
126,675
72,837
852,987
89,940
44,970
22,485
22,485
63,000
13,750
23,000
35,000
42,100
5,000
10,000
60~715
57 076
4 950
4 900
6 000
22 700
45 000
,929
26,438
1,500
1,829,365
150
18,200
2,850
4,750
12,000
400
5,400
2,500
3,000
2,000
6,800
2,750
10,000
$ 70,800
Non e
None
126,675
20,338
852,987
1,000,000
None
Page 4
040101 -
Police Department (Cont'd)
Commoditi es
Office Supplies
Clothing Allowance
Ammunition & Targets
Food for Prisoners
Photo Supplies
Crossing Guard Equipment
Other Supplies
Gasoline (75,000 gal. @ $1.40)
Squad Emergency Equipment
Mechanics Training
Repair Parts - Vehicles
Capital Expenditures
Office Equipment
Radar Equipment
Photo Equipment
040201
Sub-Total
Fire Department
Personal Services
Chief
Deputy Chief
Administrative Aide
Captain
Lieutenant
Firemen
Firemen/Paramedic
Radio Operator
Senior Mechanic
Mechanic
Firemen/Inspectors
Plumbing Inspector
Structural Inspector
Electrical Inspect6r
Office Supervisor/Secretary
Secretary II
Secretary I
Part-Time Radio Assistants
Emergency Operation
Officer, Part-time
Secretary, Part-time
Overtime
Incentive - Advanced FF
Incentive - Paramedic
Holiday Pay
Paid-On-Call
Longevity
Salary Increases (Dept. Wide)
Services
Organizational Memberships
Training
Printing & Literature
Postage
Copy Machine Costs
Telephone
Medical Exams
Radio Maintenance
Equipment Maintenance
Linen Services
Elevator ~ Mechanical Inspections
Electric for Public Warning
Siren Maintenance
AMOUNT
APPROPRIATED
LEVIED
$ 2,750 $ -
26,900 -
3,200 -
500 -
2,700 -
5OO -
1,400 -
105,000
3,000 -
1,000 -
38,,p,gp
$ 184,950 $ None
$ 2,500 $ -
1,800
500 -
$ 4,800
$ 2,089,915
$ 33,500
28,500
21,913
107,668
218,505
591,035
358,870
23,203
19,154
18,154
61,932
20,852
39,911
19,817
11,075
22,758
9,567
2,097
1,500
4,000
90,000
30,750
23,250
43,707
14,980
25,950
134,500
$ 1,977,148
$ 58O
17,900
3,700
1,250
2,500
6,000
6,000
8,310
31,000
4,800
4,800
150
1,400
$ 88,390
$ None
$ 1,000,000
$ None
$
$ None
Page 5
40201 -
Fire Department (.Cont'd)
Commodities
Office Supplies
Reference Material (Part for Resale)
Clothing Allowance
Photographic Supplies & Visual Aids
Gasoline ($1.40 gal.)
Chemicals
Oxygen Tank Refills
Ambulance Supplies
C.P.R. Training
Tools
Other Supplies
Capital Expenditures
Office Equipment
Fire Station Furnishings & Equipment
Physical Conditioning Equipment
Sub-Total
040301 - Central Dispatch Services
Contractual Services
Sub-TOtal
050101 - Health Services Department
Personal Services
Health Services Director
Secretary
Sanitarian
Environmental Interns
(Temp. Pt.time)
Blood Donor Chairperson
Salary Increases
(Dept. Wide)
Services
Organizational Memberships
Printing
Postage
Copy Machine Costs
Rodent Control
Transportation of Materials
Support Services-Student Workers
Testing Services
Other Services
Commodities
Office Supplies
Reference Materials
Training Materials
Technical Supplies
Other Supplies
Capital Expenditures
Equipment
Sub-Total
m~ou~
APPROPRIATED
$ 1,915
45O
18,550
1,500
19,000
2,000
400
3,000
85O
1,.600
2,035
$ 51,300
$ 200
1,500
i00
$ 1,800
$ 2,118,638
$ 178,000
$ 178,000
$ 19,740
10,780
16,000
1,355
1,200
7,000
$ 56,075
$ 166
2,240
400
2,200
2,270
5,306
7,378
2,489
1,400
$ 23,849
$ 1,105
225
200
600
400
.$
AMOUNT
:'LEVIED
None
None
None
None
None
None
$ 2,530 $ None
$ 600 $
$ 600 $ None
$ 83,054 $ None
Page 6
5Q201 -
Heal~.. Services Department (Cont'd)
Senior Citizen Division
Personal Services
Health Services Director
Senior Citizens Coordinator
Part-time Nurse
Part-time Secretaries
Employment Counselor
Outreach Caseworker Supervisor
Services
Organizational Memberships
Printing
Postage
Gas & Mileage Reimbursement
for Volunteers
Corm~unication/Telephone
Transportation
Other Supplies
Commodities
Office Supplies
Medical Supplies
060101 -
Sub. Total
.C.cmmunity Development Department
.Engineering Division
Personal Services
Village Engineer
Secretary
Civil Engineer
Traffic Engineer
Engineering Assistant
Draftsman/Inspector (PT)
Other (Summer Student)
Longevity
Services
Organizational Memberships
Postage
Copy Machine Costs
Equipment Maintenance
Maps & Plats
Miscellaneous Engineering Studies
Commodities
Engineering Supplies
Electrical Energy/Maintenance
Capital F~x~enditures.
Engineering Equipment
Sub-Total
AMOUNT
APPROPRIATED
AMOUNT
LEVIED
$ 3,760 $ -
15,783 -
4,300 -
10,099 -
1,100 -
ll,Opp -
$ 46,042 $ None
66
610
600
2,100
1,565
17,500
600
$ 23,041 $ None
$ 445 $ -
600 -
$ 1,045 $ None
$ 70,128 $ None
$ 30,837
11,500
23,250
22,500
50,164
4,500
3,500
2,200
$ 148,451
$ None
$ 400 $ -
350 -
1,000 -
300 -
2,000 -
1,000 -
$ 5,050 $ None
$ 2,500 $ -
85,000 -
$ 87,500 $ None
$ ,1,500 $ -
$ 1,500 $ None
$ 242,501 $ None
page 7
60101 -
080101 -
Comer Development Department
Planning Division
Personal Services
Director
Planner
Secretary II
Secretary I (Part-time)
Zoning Officer
Engineering Assistant
Longevity
Salary Increase (Dept. Wide)
Services
Organizational Memberships
Printing/Photocopying
Postage
Commodities
Office Supplies
Film/Film Processing
Photographic Supplies
sidwell Map Update
Capital ExpenditUres
Office Equipment
Photographic Equipment
Sub-Total
Community & Civic Services
Contractual Services
Historical Society Activities
VFW Memorial Day Parade
Share of July 4th Parade
Share of Fireworks Display
Sign Material
Emergency Barricades
Electricity
Wreath Rental
Christmas Decorations (Straw,
Live Wreaths, etc.)
AMOUNT
APPROPRIATED
$ 24,000
19,200
7,000
3,300
20~973
3,920
35O
16,676
AMOUNT
LEVIED
$ 95,419 $ None
$ 225 $ -
4,500 -
800 -
$ 5,525 $ None
$ 1,000 $ -
300 -
300 -
300 -
$ 1,900 $ None
$ 1,000 $ -
500 -
$ 1,500
$ 104,344
$ None
$ None
· $ 1,000
500
2,000
1,000
150
150
230
4,100
200
$ 9,330 $ None
Personal Services
Maintenance Person $ 3,066 $ -
Maintenance Personnel 150 -
Overtime: Police 9,000 -
Public Works 1,500 -
Fire 1,500 -
$ 15,216
$ 24,546
$ 6,079,320
Sub-Total
TOTAL - GENERAL CORPORATE
$ None
$ None
$ 1,000,000
ARTICLE II - GARBAGE COLLECTION SERVICE
050106 - Solid Waste Disposal
Collect by Contract
807,700
$ 807,700
Page 8
RTICLE III ~NTENANCE OF PUBLIC
~ ~LITIES
070101 - S~treet Division
Per~sonal Services
Director $ 15,050
Deputy Director 11,575
Superintendent 22,400
Secretary 17,375
Custodian 75,376
Maintenance Personnel 203,468
Maintenance Personnel (Part-time) 33,930
Foremen 51,402
Fores ter 18,200
Mechanics 44,726
Mechanics (Part-time) 4,500
Longevity 6,634
Overtime 51,150
Salary Increases (Dept. Wide) 10,226
AMOUNT
APPROPRIATEU
$ 566,012
Services
Postage
Copy Machine Costs
Equipment Rental
Radio Maintenance
Cleaning Draperies
Water & Sewer
Storage Unit Rental
Repairs (A/C Heating)
Refuse Disposal
Winter Weather Forcast Services
Contractual Tree Trimming
Parkway Tree Replacement
(Resident's Share $35.00)
Emergency Sidewalk Replacement
$
Commodities
Uniforms $
Gasoline ($1.40 gal.)
Chemicals
Small Tools
Safety Training
Fuel for Heat
Custodial Supplies
Paint
Maintenance Supplies & Repairs (V.Hall)
Weed Killer, Lawn Fertilizer, etc.
Patching Materials
Street, Sweeper Supplies
Sand/Gravel
Refuse Container
Plow Blades
Plow & Salt Spreader Repair Parts
Rebuild 4 ~xisting Truck Mounted Leaf Boxes
Replace Fatigued Metal (On Existing Leaf
Machines)
Repair Parts
Supplies for Inlet & Catch Basin Repair
Sign Making Materials (Miscellaneous)
Street Traffic Marking Paint
Street Traffic Marking Misc. Supplies
Emergency Barricades
Tree, Bush, Flower Replacements & Fert2
Repair Parts
Parkway Restoration after Snow Removal
Main. Supplies & Repairs (Public Safety)
Main. Supplies & Repairs (Public Works)
Main. Supplies & Repairs (Statio~ #2)
Main. Supplies & Repairs (Station $3)
Main. Supplies & Repairs (35 S. Main)
Main. Supplies & Repairs (Sr. Center)
Guard Rail Replacement & Supplies
Miscellaneous Supplies
Commercial Ice Melt
$ 300
1,000
7,000
3,000
250
1,000
1,500
4,000
17,500
8OO
80,000
20,000
1,500
AMOUNT
LEVIED
$ None
137,850 $ None
8,850
58,800
5,650
4,775
750
14,000
11,000
300
11,000
5,000
2,000
3,500
1,500
800
1,500
3,000
3OO
1,200
2,600
3,500
4,000
1,500
200
1,500
2,500
61,000
1,000
10,500
8,000
3,800
2,500
85O
4,500
1,200
4,700
2O0
$ 247,975
$ None
Page 9
MAI~--.~CE OF PUBLIC ·
FACIL~ IES (Cont'd)
AMOUNT ~ 'AMOUNT
APPROPRIATED L~'IED
070101 -
Streed Division (Cont'd)
capital Expenditures
Office Equipment
Lawn Mower Replacements
Construction-4 New Truck Mounted
Leaf Boxes
1,000 $
350
250
$ 1,600 $ None
Sub-Total
$ 953,437
$ None
070201 -
MAINTENANCE OF PUBLIC FACILITIES
Water & Sewer Division
Personal Services
Director
Deputy Director
Superintendent
Secretarial
Engineer
Foreman
Maintenance Personnel
Maintenance Personnel (Part-time)
Mechanics
Mechanics (Part-time)
Longevity
Sick Leave Reimbursement
Overtime
Department Wide Raises
15,050
11,575
23,540
18,225
14,500
36,518
283,897
15,930
37,334
4,500
7,600
3,500
43,100
523,524
Services
Organizational Memberships 300
Training & Meeting 750
Printing 3,500
Postage 16,000
Copy Machine Rental 1,200
Annual Audit~ 7,000
Data Processing 29,05Q
Equipment Rental 1,400
Telephone Alarms 10,000
Insurance Premium - General 85,000
Insurance Premium - Hospitalization 35,631
Illinois Municipal Retirement Costs 68,000
Radio Maintenance 3,000
Equipment Maintenance 1,500
Refuse Disposal 5,000
Service Charge 88,000
Contributions Re: Chicago Water 15,000
Water Conservation Program 1,500
Contractual Repairs 9,000
Rent & Taxes (Well #12) 5,000
Electro-Rustproofing 3,800
Contractual Painting 500
Engineering/Computer Analysis/Water System 2,500
Reimbursement for Read-O-Matic '
Installations 13,500
Other Services 2,000
Electrical Energy 289,100
None
Commodities
Office Supplies
Uniform Service
Film Processing
Gasoline
Chemicals
Small Tools
Training Materials
Fuel for Heating
Paint
· Maint. of Landscape & Fencing
Plow ~lade~
Repair Parts '
~uergency Barricades
Phosphate Feeders & Chlorinators
697,231 $ None
2,000 $ -
6,800 -
1,000 -
39,200 -
26,300 -
3,200 -
800 -
5,000 -
1,100 -
1,800 -
500 -
83,000 -
1,200 -
600 -
Page 10
MAIN ,~NCE OF PUBLIC
FACILITIES (Cont 'd)
AMOUNT
APPROPRIATED
070201 -
Water & Se~er Division (Conttd)
Commodities (Cont 'd)
Level Recorders
Supplies for Restoration of Parkways
Hydrants
Plastic Seals
New Meters (Incl.Replacement Program)
Other Supplies
1,500
6,500
7,000
1,000
25,000
i i~ll
Capital Expenditures -
Water & Sewer Fund
Replace Sedan
RadiO Equipment (Replacements)
Lawn Mower, RePlacement
Clothing Lockers/Storage Shelves
Gasoline pow~ered Pumps & · Emergency
Lighting Generators
Two Valve Insertions
Well #17
Share of OversiZe Water Main Costs
Busse Road Water Main
Well #3 Rehabilitation & Extra-
ordinary Repairs
Lubrication Equipment
Two Floor Jacks
Bearing Pullers
Backhoe Bucket
$ 215,500
k%{OUNT
LEV IED
$ None
Sub-T0t~al
$ 5,500 $ -
2,000 -
300 -
500
070202 - Parking System Division
Personal Services
Maintenance Personnel
1,000
5,000
240,000
40,000
350,000
140,000
1,000
1,500
1,000
5.,000
$ 792,800
$ 2,229,055
$ Non e
$ None
$ 8,816 $ None
Services
Insurance ' ' ~ $ 6,000 $ -
Illinois MUnicipal Retirement Fund 1,200 -
Land Lease 12,000 -
$ 19,200 $ None
Commodities
Uniforms $ 100 $ -
Cold Patch 200 -
Repair Parts 2,000 -
Striping Lots 2,000 -
$ 4,300
$ None
Capital Ex~enditures
New Meters $ 500 $ -
Parking Bumpers 1,000 -
ResUrfacing 12,000 -
Bicycle Racks 500 -
Site ~cq~isit~?~ &Preparation 150,000 -
$ 164,000
Sub-Total $ 196,316
TOTAL - MAINTENANCE OF PUBLIC
FACILITIES $ 3,378.,.8.08 ....
$ None
$ None
$ None
Page 11
RTICLE IV - k~ENUE SHARING
AMOUNT
APPROPRIATED
010102- Advisory Boards & Commissions
Consultant Services - Comprehensive
Plan
AMOUNT
LEVIED
$ 35,000 $ -
040101 - Police Department
Capital Expenses'
Police Vehicle (Replacements)
Visa-Bar Assembly Unitrols
Radios
$ 35,000 $ None
87,600
3,500
15,000
040201 -
Fire Department
Capital Expenses
Office Equipment
Ambulance & Rescue Equipment
Radio Equipment
Photographic Equiment
Fire Fighting Equipment
Self Contained Breathing Apparatus
Turnout Clothing
Underwater Unit Equipment
Traffic Unit Equipment
Emergency Equipment
$ 106,100
50O
12,000
9,850
605
11,270
2,500
5,750
600
1,000
80O
060101 - Community Develo~men~ Department
Capital Expenses
New Sidewalks
Repair Village Sidewalks 50/50
Repair Wing Walks
Repair Curbs & Gutters
MSD ORDER Re: Huntington Commons
$ None
070101 -
$ 44,875 $ None
25,000
17,500
2,500
4,000
18,000
$ 67,000
Public Works Department
Capital Expenditures
Office Equipment & Furniture $ 750
Replace 1974 Dodge 6,000
Replace Two Dump Trucks 60,000
Radio Equipment-Replacement 2,000
Emergency Roof Repairs 2,000
Public Safety Building New Pitched Roof 70,000
Automatic Fire Detection Device 1,000
Solar Screening (V/Hall-Trustee's Room) 1,500
Draperies (Public Safety) 1,500
Security Gasoline Dispensing Unit 1,700
Maint. of Annex (110 NorthweSt Hy.) 15,000
Repair offices at Public Safety Building 6,000
Concrete Cutting Saw 1,800
Development of Property-Weller/Central 6,000
Hydraulic Tree Sprayer 9,500
Hydraulic Transmission Jack 1,200
Engine Testing Electronic Equipment 10,000
R/R Row Beautification 20,000
Construction/Beautification
2 Entrance Markers 6,000
Improvement to Park Entrance at
Weller & Central 6,000
Plant Trees in Central Business Dist.' 5,000
Intersection Beautification
Busse Avenue, Wille Street,
Northwest Highway lp,,O00
TOTAL - REVENUE SHARING FUND
$ 242,950
$ 495,925
$ None
$ None
$ None
Page 12
RTICLE V - C AL EQUIPMENT REPAIR
REPLACEMENT FUND
070201 - Maintenance of Public Facilities
Water & Sewer Division
Capital Expenses
Replace 1968 Truck/Crane
040201 - Fire Department
Capital Outlay
TOTAL - CAPITAL EQUIPMENT REPAIR
& REPLACEMENT FUND
AMOUNT
APPROPRIATED
$ 52,000
$ 52,000
$ 50.,000
$ 50,000
$ 102,000
AMOUNT
LEVIED
$ 52,000
$ 52,000
$ 50,000
$ 50,000
$ 102,000
ARTICLE VI - MOTOR FUEL TAX FUND
060101 - Community Development Department
Services
Pavement Markings
Traffic Light Maintenance &
Electric 1980
Traffic Light Maintenance &
Electric 1981
Capital Expenditures
Resurfacing
Central & Rand Roads
Westgate Road
Traffic Lights willow & Busse
Street Lighting Program
070101 - Maintenance of Public Facilities
Street Division
Commodities
Patching Materials
Sand/Gravel
Prime Coat
Salt
Sign Making Materials
090601 - Public Benefit
S.A. #71 Co 0081
Principal & Interest
$ 20,000
53,000
27,000
$ 100,000
$ 400,000
140,000
25,000
75,000
200,.000
$ 840,000
$ 40,000
8,000
2,000
45,000
10,000
$ 105,000
$ 14,944
$ 14,944
$ None
$ None
$ None
$ None
TOTAL - MOTOR FUEL TAX FUND
$ 1,059,,,9~?
ARTICLE VI - COMMUNITY DEVELOPMENT FUND
060201 - Community Development
Personal Services
Director
Planner
Secretary I
Secretary II (Part-time)
$ 6,000 $ -
4,800 -
4,600 -
.2..,200 -
$ 17,600 $ None
Page 13
60201 -
AMOUNT
COMMUR~TY DEVELOPMENT FUND (Cont'd) APPROPRIATED
Community Development (Cont'd)
Services
Organizational Memberships $ 125
Fringe Benefits 4,000
Training & Meetings 600
Legal Notices 200
Printing & Photocopying 300
Postage 200
Legal &Appraisal 500
Com~odities
Office Supplies
LEVIED
$ 5,925 $ None
$ 3O0 $ -
$ 300 $ None
Program Areas
Senior Citizen Site Acquisition $ 400,000
Senior Citizen Site Improvements 60,000
Low & Moderate Referral Service 24,000
Handicapped Access Program 50,000
Citizen Participation 2,000
Residential Rehabilitation 190,000
Cc~mercial Rehabilitation 75,000
Contingency 28.,805
TOTAL - COMMUNITY DEVELOPMENT FUND $
829,805 $ None
853,630 $ None
A~ICLE VIII - PUBLIC BENEFIT FUND
Special Assessment ~71
Principal & Interest $ 3,070
Special Assessment ~73
Principal & Interest 4,666
Special Assessment #71 Co 0081
Principal & Interest 799
TOTAL - PUBLIC BENEFIT FUND
$ 8,535 $ None
$ 8,535 $ None
ARTICLE IX - GENERAL OBLIGATION BOND
AND I~EREST FUND
090400 - G. O. Bond & Interest
Municipal Building Bonds Issue of 1961
and Interest thereon $
Library Building Bonds Issue of 1961
and Interest thereon
Fire Equipment Bonds Issue of 1964
and Interest thereon
Public Works Building Bonds Issue
of 1964
and Interest thereon
Fire Station Building Bonds
Issue of 1964
and Interest thereon
Corporate Purposes Bonds Issue of 1973
and Interest thereon
Corporate Purposes Bonds Issue of 1974
and Interest thereon
Losses ih Collection
15,618
14,595
11,395
22,970
22,145
159,600
391,500
43,573
TOTAL - GENERAL OBLIGATION BOND
AND INTEREST FUND
679,396
Page 14
10,990
22,970
22,145
159,600
378,200
41,573
$ 635,478
~0uNT
ARTICLE X - POLICE PENSION FUND APPROPRIATED
090100 - Police Pension Fund
To be paid out of proceeds as
provided by law for setting apart,.
formation and disbursements of
a Police Pension Fund
AMOUNT
LEVIED
$ 318,400 $ 303,307
ARTICLE XI - FIREMEN'S PENSION FUND
090200 - Firemen's Pension Fund
To be paid out of proceeds as
provided by law for setting apart,
formation and disbursements of
a Firemen's Pension Fund
$ 420,500 $ 386,151
ARTICLE XII - ILLINOIS MUNICIPAL
RETIREMENT FUND
090300 - Illinois Municipal Retirement Fund For General & Related Funds
For Library Purposes
TOTAL - ILLINOIS MUNICIPAL
RETIREMENT FUND
$ 228,500 $ 204,500
51,575 51,575
$ ,280,0.75__ $ 256,075
ARTICLE XIII - CORPORATE PURPOSES
CONSTRUCTION 1973
Services
Sewer Rehabilitation Plans
Capital Expenditures
Sewer Rehabilitation (lst Phase)
Weller Creek Foot Bridge & Bank
Stabilization
TOTAL - CORPORATE PURPOSES
CONSTRUOTION 11973 FUND
$ 400,000 $
$ 400,000 $ None
$.. 400,000 $
300,000
$ 700,000 $ None
$ 1,100,000 $ None
ARTICLE XIV - LIBRARY FUND
100000 - For Library Purposes
Operation and Maintenance
$ 661,345 $ 611,920
$ 661,345 $ 611,920
TOTAL - LIBRARY FUND
SUMMARY
General Corporate Purposes
Garbage Collection ~Service
Maintenance of Public Facilities
Revenue Sharing Fund
Capital Improvement, Repair or
Replacement Fund
Motor Fuel Tax Fund
Community Development
Public Benefit Fund
General Obligation Bond & Interest Fund
Police Pension Fund
Firemen's Pe~sio~ Fund
Appropriated
From Other
sources
$ 6,079,320 $ 5,079,320
807,700 -
3,378,808 3,378,808
495,925 495,925
illinoisMunicipal~i~em~' F~j~d ~ 280,075
C0rp~o~ P~6~'C6h~6~{ion Fund - 1973 1,100,000
Library Fund
102,000 -
1,059,944 1,059,944
853,630 853,630
8,535 8,535
679,396 43,918
318,400 15,093
420~500 ~4~349
124,000
Page 15
To be
Levied
$1,000,000
807,700
102,000
635,478
303,307
386,151
256,075
1,100~000 -
~6i~5: '~ .':49,~25'~ 611,920
$16,2415,578 $12,142,947 $4,102,631
ECTION TWO: That the Village Clerk of the Village of Mount Prospect is hereby
directed to certify a copy of this ordinance and is hereby authorized and directed
to file a copy of the same with the County Clerk of Cook County, Illinois, within
the time specified by law.
SECTION THREE: That, if any part or parts of this Ordinance shall be held to be
unconstitutional or otherwise invalid, such unconstitutionality or invalidity,
shall not affect the validity of the remaining parts of this Ordinance. The
President and Board of Trustees of the Village of Mount Prospect hereby declares
that they would have passed the remaining parts of this Ordinance if they had
known that such part or parts thereof would be declared unconstitutional or
otherwise invalid.
SECTION FOUR: That this Ordinance shall be in full force and effect from and
after its passage and approval and recording as provided by law.
AYES: Farley, Floros, Murauskis, Richardson, Wattenberg
NAYS: None
A~SENT: Miller, Krause
PASSED THIS 2nd day of September 1980
APPROVED THIS 2nd day of September 1980
CarolYn H.~Krause, Village Pr 'd
ATTEST:
Carol A. ~ields, Village C er
Page 16