HomeMy WebLinkAboutordinance.council.012-63ORDINANCE NO.
(Series of 19~---'
THE ANNUAL APPROPRIATION ORDINANCE: APPROPRIATING SUMS OF MONEY
TO DEFRAY EXPENSES AND LIABILITIES OF THE CITY OF ASPEN, COLO-
RADO, FOR THE CITY'S FISCAL YEAR BEGINNING JANUARY l, 1964, AND
ENDING ON THE LAST DAY OF DECEMBER, 1964.
WHEREAS, the City Council has, by ordinance, adopted
a budget for the City of Aspen for the fiscal year beginning
January 1, 1964, and ending on the last day Of December, 1964,
and:
WHEREAS, The City Council has, by ordinance, made
the proper tax levy in mills upon each dollar 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 fiscal
year for all properly authorized demands upon the treasury,
and:
WHEREAS, the City Council is now desirous of making
appropriations for the ensuing fiscal year.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL
OF THE CITY OF A~PEN, COLORADO;:
SECTICN 1: That the following appropriations a~e
hereby made for the City of Aspen, Colorado, for the fiscal
year beginning January 1, 1964, and ending on the last day of
December, 1964, from the General Fund for the payment of op-
erating expenses and capital outlay of the general government,
public safety, public works, recreation, public health, con-
tingencies, and for payment of the principal and interest on
the City's general debt:
Mayor and Council
City Clerk
City Treasurer
City Administrator
City Attorney
Planning Commission
Board of Adjustment
Police Dept. Traffic and
Criminal
Police Dept. - Police Magistrate
Police Dept. Dog Control
Fire Dept. Fire Protection
Public Works - Parks and
Recreation
Public Works - Buildings and
Grounds
Public Works - Streets and
Alleys
Public Works - Health and
Sanitation
Public Works- Building Inspector
Contingency
Debt Service (Bond & Interest)
6,240.00
17,624.31
1,343.60
5,498.00
3,050.00
3,574.00
lO0.00
26,557.00
930.00
115.00
3,360.00
2,625.00
11,290.00
55,690.00
5,000.00
4,267.60
6,986.64
2~425.00
Total General Fund $156,676.15
SECTION 2: That the sum of $117,531.00 is hereby
appropriated from the Water Fund for the following purposes:
Operating Expenses
Capital Outlay
Debt Service
$ '75,519.20
none
42~011.80
Total
$ 117,531.00
SECTION 3: That the sum of $185,662.80 is hereby
appropriated from the Electric Fund for the following pur-
poses:
Operating Expenses
Capital Improvement
Debt service
Contingencies
Transfers to Other Depts,
$ 94,322.00
a2,000.O0
32,936.25
11,~04.55
5~000.00
Total
$185,662.80
INTRODUCED, READ, AND ORDERED PUBLISHED as provided
by law by the City Council of Aspen, Colorado, at its regular
m~d at said City of Aspen, on the
, 1963.
ATTEST:
Mayor
4
FINALLY PASSED, ADOPTED AND APPROVED on
day of
this
- ' / ' Mayor
ATTEST:
O INANC NO.
SERIES
I , City Clerk
of the City of Aspen, C~lorado, do hereby certify that
the aforegoing Ordinance was introduced and read at a regular
meeting of the City Council of said City of Aspen on the
~/ day of ~, , 195--~ , and by order of
said City Council was published as a proposed ordinance as
the law directs and for mo~e than ten days prior to its
passage in the Aspen Times, legal newspaper; and that on
the ~ day of ~---- , 19~-~ , the said
proposed Ordinance was read and passed by the City Council
aforesaid, the said meeting of said City Council being a
regular meeting, and ordered published in the aforesaid
newspaper as the law directs.
WITNESS my hand and the official seal of the
0o orado, this day of
City of Aspen,
19~