HomeMy WebLinkAboutordinance.council.043-68RECORD OF PROCEEDINGS
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ORDINANCE NO. ~/~
Series of 1968
AN ORDINANCE APPROPRIATING SUMS OF MONEY TO DEFRAY EXPENSES AND
LIABILITIES OF THE CITY OF ASPEN, COLORADO, FOR THE CITY'S FISCAL
YEAR BEGINNING JANURY 1, 1969, AND ENDING ON THE LAST DAY OF DECEMBER,
1969.
WHEREAS, the City Council has, by resolution, adopted a budget
for the City for the fiscal year beginning January 1, 1969, and ending
on the last day of December, 1969, and
WHEREAS, the City Council has, by ordinance, made the proper
tax levy in mills upon each dolar of the total assessed valuation of
all taxable property within the City, such levy representing the
amount of taxes for City purposes necessary to provide for payment
during the City's said fiscal year of all properly authorized demands
upon the treasury; and
WHEREAS, the City Council is now desirous of making appropriat-
ions for the ensuring fiscal year;
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF ASPEN, COLORADO:
.Section 1: That the following appropriations are hereby
made for the City of Aspen, Colorado, for the fiscal year beginning
January 1, 1969 and ending on the last day of December, 1969, from
the General Fund for the payment of operating expenses and capital
outlay of the general government, public safety, public works,
recreation, public health, contingencies and
and interest on the City's general debt:
Police Magistrate
City Clerk
City Treasurer
Planning & Zoning
Board of Adjustment
Health & Sanitation
for the payment of principal
2,850.00
14,465.00
1,200.00
1,400.00
515.00
18,335.00
RECORD OF PROCEEDINGS
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Building Inspection
Tourism
Police
Parks & Recreation
Fire Protection
Streets
Contingency
Debt Retirement
Non-Departmental
Debt Retirement - Registered Warrants
Total General Fund
$ 15 332.00
32~920.00
92.268.00
25 780.00
5 400.00
68~806.00
30.447.31
2,180.00
26,675.00
54,583.19
393,156.50
~ATER FUND
Contingency
Debt Retirement
Non-Departmental
Transmission & Distribution
Purification
Total Water Fund
120,701.40
8,687.10
3,777.00
46,658.00
24,013.00
203,836.50
ELECTRIC FUND
Contingency'
Debt Retrement
Non-Departmental
Transmission & Distribution
Total Electric Fund
17,094.00
30,062.50
2,570.00
148,610.00
198,336.50
CENTRAL ADMINISTRATION FUND
City Council
City Administrator
Engineering
Finance
Legal
Bldg. Oper. & Maint.
Com~nunications
Non-Departmental
Total Central Administration Fund
5 400.00
23.148.50
22 921.00
47.902.00
11.825.00
21 866.00
35 478.00
8 950.00
177,490.50
..POLICE PENSION FUND
Other Charges
Surplus
Total Police Pension Fund
3,405.90
10,394.10
13,800.00
N.° 13
RECORD OF PROCEEDINGS
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SPECIAL ASSESSMENT 1963
Debt Retirement
Surplus to 1970
Total Special Assessment 1963
SPECIAL ASSESSMENT ~66-1
Debt Retirement & Other Charges
Surplus to 1970
Total Special Assessment f/66-1
.SPECIAL ASSESSMENT ~67-1
Improvement Expenses
Debt Retirement
Surplus to 1970
Total Special Assessment ~/67-1
16,337.50
8.42
16,345.92
27,425.00
48.67
27,473.67
30,262.50
56.22
30,318.72
Section 2: Because of the matters and things hereinabove set
forth, the City Council of the City of Aspen, Colorado, hereby finds,
determines and declares that an emergency exists and that this ordinance
is necessary for the immediate preservation of public peace, health
and safety.
INTRODUCED, READ AND ORDERED PUBLISHED THIS //~DAY OF
ATTEST:
City Clerk
FINALLY ADOPTED AND APPROVED THIS
Mayor Pro Tem
.... DAY OF , 1968.
ATTEST:
Mayor
City Clerk
N.° 14