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HomeMy WebLinkAbout670 - ADMIN Ordinance - City Council - 1959/01/0512/ 18/58 ORIGINAL ORDINANCE NO. 670 1 DEC. 22 1958 D AN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS PROVIDING APPROPRIATIONS FOR SALARY INCREASES FOR YEAR ENDING DECEMBER 31, 1959 The City of Ste Louis Park Does Ordain: Section a. That the sum of $223.937.00 be transferred from the Emergency Appropriation of the General Fuad. Account 101 - 497 - 49, to the following accounts is the general fund to provide appropriations for salary increases for the Fiscal Year 1959! 402-10 4051-10 4052-10 4053-10 4054-10 411-10 412-10 413-10 421-10 422-10 424-10 408-10 432-10 499-70.07 499-70. 09 499-70. 11 City Manager City Clerk Treasury Assessing Accounting Police Protection Fire Protection Protective Inspection! Engineering Street Maintenance Traffic Signs, Signals, Markings Planning & Zoning Storm Sewer Maintenance Tranofer to Park Fund Transfer to Recreation Fund Transfer to Civil Defense Fund Total General Fund $ 208.00 381.00 104.00 871. 00 223.00 7, 574.00 4,956.00 1. 705.00 823. 00 4.422.00 215.00 83-. 00 288.00 962.00 1, 030.00 92.00 $ 23.937.00 Section 2. That the estimated revenues of the Park Fund, Account 207 - 396.01 "Transfer from Other Funds". be re-ee timated is the additional amount of $962. 00 resulting from "transfer" in Section 1, and that said sum be {appropriated from the Unappropriated Surplus of the Park Fund to the following account in the Park Fund for salary increases for Fiscal Year 1959: 475-10 Municipal Parks $ 962.00 Section 3. That the estimated revenues of the Recreotioa Fund, Account 211-396.01 "Transfer from Other Funds" be re -estimated in the additional amount of $1.030, 00 resulting from "transfer" in Section 1, and that said sum be appro- priated from the V1nappropriated Surplus of the Recreation Fund to the following account to the Recreation Fund for salary Increases for Fiscal Year 1959. Section 4. 474-10 474-12 Organised Recreation permanent employees 390,00 Organised Recreation. temporary employees 640.00 $ 1.030.00 That the estimated revenues of the Civil Defense Fuad, Account 201-396.01 "Transfer from other Funds" be re -estimated in the additional amount of $92.00 resulting from "transfer" in Section 1 and that the said sum be appropriated 0 front the Unappropriated Surplus of the Civil Defense Fund to the following account in the Civil Defense Fund, for salary increases for Fiscal Year 8959: 415-10 Civil Defense $ 92.00 Section 5. That the suns of $1,714.00 be trap ferred from the Emergency Appropriation of the Water Utility Fund, Account 701-4825-49, to the following accounts in the Water Utility Fuad, for salary increases for Fiscal Year 1959: 4821-10 Source of Supply, $ Z99.00 4824.10 Tranamisaton & Distribution 947d 00 4825-10 Administration & General 468000 Total Water Utility Fund $ 1p 714.00 Section 6. That the suer of $863.00 be transferred from the Emergency Appropriation of the Sanitary Sewer Utility Fund, Account 703-4843-49 to the following account in the Sanitary Sewer Utility Fund. for salary increases for Fiscal Year 1959:a4. tt • 4841-10 Sanitary Sewer Maintenance $ 863.00 Section 7. That the estimated revenues of the Central Garage Fund. Account 0 603-395.01 "Reimbursement from Other Funds", be re -estimated in the additional amount of $603.00, and that said aunt be appropriated from the Unappropriated Surplus of the Central Garage Fund to the following account in the Central Garage Fund. for salary increases for Fiscal Year 1959: 4923-10 Equipment Maintenance Shop $ 603.00 l Section 8. That the City Manager be directed to cause the appropriate accounting entries to be made in the books and records of the City. Section 9a That this ordinance take effect fifteen days after its publication once in theofficial newspaper of the City. Attest: Reviewed for administration: City Manager Prepared by: W/116,4/4f Approved as to form and legality: 0115""17 Assistant City Attorney 2 City Attorney • tl ORDINANCE NO. 670 Entitled: 4N ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS PROVIDING APPROPRIATIONS FOR SALARVINCREAS ES FOR YEAR ENDING DECEMBER 31,#1959 Introduced -by Date First Reading=Date12/22/58 Waived yes Second Reading -Date 1/5/59 Waived_yes Vote: Aye 7 y Published Date January 8 1959 Effective Date January 23, 1959 Code j eferencc AFFIDAVIT OF PUBLICATION St. Louis Park Dispatch 5407 Excelsior Blvd. St. Louis Park, Minnesota State of Minnesota County of Hennepin SS, E TILTON, being duly sworn, on oath says that he now is and during all the time herein- (Official Publication) ORDINANCE NO 670 AN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS PROVIDING d has been JOHN E TILTON, the publisher and printer of the newspaper known APPROPRIATIONS FOR SALARY INCREASES FOR TEAR 'ENDING The St Louis Park Dispatch, and has full knowledge of the facts therein stated DECEMBER 31, 1959 The City of St Louis Park. Does Ordain: Section 1. That the sum of $23,937 00 be transferred from the Emergency That for more than one year immediately prior to the publication therein of the printed Appropriation of the General Fund, Account 101 - 497-49, to the following accounts in the general fund to provide appropriations for salary increases in �- 4054 10 testi � -4 Prot tl i1 ' e JOHN state as i1 r 3 e- } ,� for the Fiscal Year 1959: . ( �, 1, �r r o t s r * 402-10 City Manager hereto attached, said newspaper was printed and published in the English language from its known office of publication within the County of Hennepin, State of Minnesota, on Thursday of each week in column and sheet form equivalent in space to 450 running inches of single column two inches wide, has been issued from a known office established in said place of publication equipped with skilled workmen and the necessary material for preparing and printing the same THE ST LOUIS PARK DISPATCH has had in its makeup not less than twenty-five percent of its news columns devoted to local news of interest to said community it purports to serve, the press work of which has been done in its said known place of publication, has contained general news, comments and miscellany, has not duplicated any other publication, has not been entire- ly made up of patents, plate matter and advertisements, has been circulated at and near its said place of publication to the extent of 240 copies regularly delivered to paying subscribers, has bleen entered as second class mail matter in local post office of its said place of publication, that there been on file in the office of the County Auditor of said county the affidavit of a person hay - . hand knowledge of the facts constituting its qualification as a newspaper for publication gal notices, and that its publishers have compiled with all demands of said County Auditor roofs of its said qualification. ''i, a,A,pon .,of.„eaach R,s§Oe has i Jcdwith th�eState Historical Society, St That the printed hereto attached as a part hereof was cut from the columns of said newspaper, was published therein in the English language once a week for _successive weeks, that it was Rh (k 1,4 nt; rM day of , 19____ and first so published on the thereafter on day of , 19____, and that the following 1s a copy of the lower case alphabet which is acknowledged to have been the size and kind of type used in the publica- t: ,4 1 1 i rr f; 7' 'FY r r:77.(,)• e• r +rY¢ of each week to and Including the tion of said abcdefghlj klmnopqrst Subscribed and sworn to before me • 10-1-56-2M yz day of_ Publisher e Lett -4144. Pa CORINNE E UTILLTAIVIS Notary r u, Lc, 1= -) 'c h-, ,, Minn My Commission Expires June 19, 1964. 4051-10 City Clerk ---y 4052-10 Treasury ...... ,.___y_--- ., 4053-10 Assessing Accounting. 411-10 Police Proa9 —.14., ,-•�-, 412-10 Fire ec o 413-10 Protectivt Inspection 1_.-i',P1 8-'' h 421-10 E'nglnep g, •1 i_i-,--9W tr--"-,s X ii- 422-10 Stree llhh enLnce ,x4-.- 424-10 Traffldl tIQlTlagllels,•"„MaTain ?`- 4 2-10 Storm Sewer Maintenance „ - ?} l_ 499-70 07 Transfer --to Park Fund �8 * `:t' 499-70 09 Ttansf �,qq ecreation Fund ,..,4Fris.; 499-7011 Tra�saferato��Defei�6e Fund ..,.. GG •N - lff.- *To 1:31�8J7 r41'.(F4nd - t- 823,937 00 Sectloiil`1f rhat,th itratiinatkl ievenuea of the Park Fund, Account 207- 396 01 "Tra sf UU froth Cltifet l'ulids, • be re -estimated 1n the additional amount o $_ r }hg roan "transfer" in Section 1, and that said sum be approp fatted iro�b Qnapprdprlated Surplus of the Park Fund to the following account in the ParkRJJtiid for salary increases for ,Fiscal Year 1959: ' .' $962 00 475410 . � u�ii cipal Parks Section 3 Thir, estimated revenues, of the Recreation Fund, Account 211-396 01 -"Tili kLl Other Funds"' be re=estimates} in the additional amountum of 3oprl .te ,,fremesultintherUnapproprriatedln Surpltusn1, and that said of the Recreation sum be , t• e, fopowwing eco Fund to the.'tollowing, a6count in 'the Recreation Fund for salary Increases for Fiscal Year 195q rn R 474-1„0 Organ1AscF Recreation, ,permanent employees 39000 . 47410 ' Orgadl d»'Recreation, tblsspbrary employees 640.00 .,.i t .A4'; r�sl,l''•, 'r ', Section 4 That th estimated revenuea of the -Civil Defense Fund, Account 201-396 01 ,'Transfer;dither Funds" be ri-estimated in the additional amount of $92 00 resulting from "transfer" in Section 4 and that the said sum be appropriate: r:, the Ungpproptlate Sirplus of the Civil Defense Fund to the YaA6 a•' ount 3a the Civil elease Fund, for salary in- creases for Fiscal Y t• 415-10 Civil Defense 892 00 Section 5 T a e of $1,714AQ be transferred from the Emergency Appropriattonei0 ter Utility Fund, Account 701-4825-49, to the fol- lowing recount •frater Utility l'ghd,',for salary increases for Fiscal\ (Year 1959-5, s ( $299 00 9447 00 00 $ 208 00 381 00 104 00 871 00 223 00 7,574 00 4,956 00 1,705 00 823 0 4.422 00 21500 83 00 284 00 962 00 1,030 00 92 00 • 81,030 00 4$21-10 Source of Supply, - 4824-10 Transmission da D ibtition 4825-10 Administrattoa & 13 eral'- ' / Total_ Wt't>!r Inflty Fund Section 6. That! the -sum of S86800, be transferred from the Emergency Appropriation of the Sahitary fiewlielltility Fund, Account 703-4843-49 to the following accoyynt In the Sieltiary. Sewer Utility Fund, for salary in- creases for Fiscal Phar 1959' $863 00 4841-1U Sanitary SewdCY 9,1eintenance Section 7. 'That ' e ecstilffiffittt�e rr' r7evvenuet of the Central Garage Fund, Account 603-395 01. "Reirnbussegptialk from Other Funds," be re -estimated in the additional =&Mount of T903' and that said sum be appropriated Ifrom the Unappropriated Surplus of the Central garage Fund to the follow - ng accouati }R.ttLe jentral Garage Fund, 1o, salary increases for Fiscal tar 1959. '' $603 00, 492,1 Aijamenb Mallititi$71dtA fl:hop ., " Section 3.7‘ lT akthe City .4 rlagere,c}lrectod ¢o Cause the appropriate aceotukting entr t6 by a in'' the kg and dlecords of tp• „SeC� g, d this iDSnee takeliefiert fl�teen d6$ pub- tlie C ttite --4"'"—`-',..'1-- lication once by, the City Council -January 5th 1959 Adopted HERBERT P LEFLBR, Mayor k $1,714 00 ATTEST. JOSEPH JUSTAD, City Clerk (Jan 8)—D