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Ordinance No. 0109 09-25-1958� � u � . . OF�ICIAL PU�LICATION ORDINANCE NO. 109 AN OR�iNANCE ADOPTING THE BUDGET FOR FISCAL YEAR 1959 � The City of Fridley Ordains: 5ection 1. That the annual budget of the City of Fridley for � the fiscal ycar 6c�ioning January 1, 1959 which has been submitted by the City b4anascr and modified and approved by the City Council � is hereby adontcd; the totals of the said budget and the major divi- slons Yhereof being as follows: REVENUE AVAILABLE Current Revenue � Gencral PreszrtY Tax ........� ......................$151,809 Licenses and Peti2ni�ts .............................. 19,i00 Fines and Forfcitures .............................. ll,050 From Other Agencies .............................. 9,500 Sezciae Charg's ................................... 3,050 Non-Revenue Rzczipts ............................. 40,060 TOTAL ...................$234�969 Gen°ral Propzrty Tm�es `or O[her Funds Debt Sercice Fund .................................$ $455 Public Emp'oyees Rctirement Fund ................. 2,835 Fireman Rcliet Fun�3 .............................. 4,200 TOTAL ALL FUNDS ......$245,459 REQUIREMENTS � MaYOr and Council ....................................$ 3.975 ._ Manager .............................................. 9�530 Municipal Court ....................................... 6�035 Elections and Voters Reaistcation ....................... 6S0 Finance ............................................... 33319 Legal ................................................. 5,000 Boards and Commissions ............................... 160 �. Genera] Governmznt Building .......................... 6,980 Public Safct3' ......................................... 59 �52 Protective Inspection .................................. 12,925 High�vaYS ............................................. 7Q953 Sanitation and Waste Removal .......................:. 620 Conservation of Health ................................ 340 R.ecreation and Parlcs .................................. 12,500 � EmergencY Apy_ _: r;ation .............................. 12,800 TOTAL GENERAL GOV. $231,969 � Debt Service Fund ....................................$ 3�455 � . Public Employees Retirement Fund ..................... 2,535 Firemans Relief Fund .................................. 4,200 TOTAL ALL FUNDS .....$245,459 Section 2. That the City Manager be directed to cause the appropriate accounting entries to be made in the books o£ the City. Adopted by the City Council 25th day of September 1958 FRANK C. LaGRANGE, JR.. � 1j7ayoT Attest: / j� SUZANAT� MISKOWIC �� / City Clerk �- � 7 4 lst Reading: 9ept 4, 1958 �� �� � 2nd Reading: Scpt. 25, 1955 � � NEWS, October 2, 1958 ��. � t!/LG