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HomeMy WebLinkAboutordinance.council.019-65(Series of 19g~'Y AN ORDINANCE APPROPRIATING SUMS OF MONEY TO DEFRAY EXPENSES AND LIABILITIES OF THE CITY OF ASPEN, COLORADO, FOR TH~ CITY's FISCAL YEAR BEGINNING JANUARY 1, 1966, AND ENDING ON THE LAST DAY OF DECEMBER, 1966. WHEREAS, the City Council has, by ordinance, adopted a budget for the City for the fiscal year beginning January 1, and ending on the last day of December, 1966; and 1966, WHEREAS, the City Council has, by ordinance, made the proper tax levy and mills upon each dollar of the total assessed valu- ation of all taxable property within the City, such lev~ repre- senting 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, th~ Ci~-y Council is now desirous of making appropri- ations for the ensuing 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, 1966, and ending on the last day of December, 1966, 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 for the payment of principal and interest on any City general debt: GENERAL FUND City Council Planning Comm. & Board of Adjustment General Administration City Hall Maintenance Non-Departmental Legal Department City Clerk & City Treasurer Engineering Department Inspection Department Health Department Police Magistrate Court Police Department Parks & Recreation Fire Protection Street Department Contingency $ 9,515.00 1,370.00 11,410.00 10,020.00 23,280.00 5,275.00 18,480.00 6,000.00 12,390.00 6,450.00 1,240.00 79,255.00 6,475.00 3,990.00 53,225.00 5,035.00 Total General Fund $253,410.00 - 2 - Section 2: That the sum of $487,500.00 is hereby appropriated from the Water Fund for the following purposes: $ 61,075.00 Operating expense Capital Additions 329,500.00 Debt Service 60,714.00 Transfer to other accounts 36,211.00 Section 3: That the sum of $304,000.00 is hereby appropriated from the Electric Fund for the following purposes: $111,665.00 Operating expense CapitalAdditions 8,200.00 Debt Service 32,243.75 Transfer to other accounts 151,891.25 INTRODUCED, READ AND ORDERED PUBLISHED THIS ~ day of ~~ 1965 ' H~rald Pabst, Mayor ATTEST: Dorothy ~mann, /~y Clerk Finally adopted and approved this /~-~"day of 1965. DorothY~H~fman~/ ~ty Clerk STATE OF COLORADO) COUNTY OF PITKIN ) I, Dorothy Hoffmann City Clerk of the City of Aspen, Colorado, do hereby certify that the above and fore. going ordinance was introduced, read in full and passed first reading at a regular meeting of the City Council of the City of Aspen, Colorado, on the 4th day of October , 1965, and published in the Aspen times, a weekly newspaper of general circulation, published in the City of Aspen, Colorado, in its issue of October 8 , 1965, and was finally adopted and approved at a regular meeting of the City Council on October 18 , 1965, and ordered published as Ordinance ~o, 19 , Series of 1965 , of said City as provided by IN WITNESS WHEREOF, I have hereunto set my hand and seal of sai& City of Aspen. Colorado. this 19 day of October , 1965.