Loading...
HomeMy WebLinkAbout769 - ADMIN Ordinance - City Council - 1961/01/23r ., i • r Original 1/3/61 ORDINANCE NO, 76 9 AN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS AND PROVID- ING APPROPRIATIONS FOR SALARY INCREASES FOR YEAR ENDING • • DECEMBER 31, 1961 THE CITY OF ST. LOUIS PARK DOES ORDAIN: Z 3 JANUARY 9, 1961 Section 1. That the sum of $31,287.00 be transferred from the Emergency Appropriation of the General Fund, Account 101-497-49, to the following accounts in the General Fund, to provide appropriations for salary increases for the Fiscal Year 1961: 402-10 City Manager $ 319.00 4051-10 City Clerk 544.00 4052-10 Treasury 92.00 4053-10 Assessing 1,815.00 4054-10 Accounting and Internal Auditing 1, 397.00 406-10 Legal 524.00 408-10 Planning 940.00 411-10 Police Protection 7,573.00 412-10 Fire Protection 4, 991. 00 413-10 Protective Inspection 2,076.00 421-10 Engineering 2,404.00 422-10 Street Maintenance 5,031.00 424-10 Traffic Signs, Signals, Markings 468. 00 432-10 Storm ;ewer Maintenance 578.00 443-10 Health -Regulation and Inspection 224.00 4031-10 Municipal Court 81.00 409-10 City Hall Operation & Maintenance 289. 00 499-70. 07 Transfer to Park Fund 1,609,00 499-70. 09 Transfer to Recreation Fund 332. 00 Total General Fund $ 31, 287. 00 and that the transfer to the Engineering Account be made, in part, for an appropriation for salary increase resulting from allocation of one additional Engineering Aide III position and one less Engineering Aide II position for regular employees for Fiscal Year 1961. Section 2. That the sum of $81. 00 be appropriated from the Unappropriated Surplus of the Civil Defense Fund, Account 201-265, to the following account in the Civil Defense Fund, for salary increase for Fiscal Year 1961: 415-10 Civil Defense $ 81.00 I t • • Page 2. Section 3. That the estimated revenues of the Park Fund, Account 207-396. 01 "Transfer from Other Funds", be re -esti- mated in the additional amount of $1, 609. 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 1961: 475-10 Municipal Parks $ 1, 609. 00 Section 4. That the sum of $46. 00 be appropriated from the Unappropriated Surplus of the Library Fund, Account 210-265, to the following account in the Library Fund, for salary increase for Fiscal Year 1961: 462- 10 Municipal Library $ 46. 00 Section 5. That the estimated revenues of the Recreation Fund, Account 211-396. 01 "Transfer from Other Funds" be re -esti- mated in the additional amount of $332. 00 resulting from "transfer" in Section 1, and that said sum be appropriated from the Un- appropriated Surplus of the Recreation Fund to the following account in the Recreation Fund for salary increases for Fiscal Year 1961: 474-10 Organized Recreation $ 332. 00 Section 6. That the estimated revenues of the Central Garage Fund, Account 603-395.01 "Reimbursement from Other Funds", be re -estimated in the additional amount of $722. 00, and that said sum 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 1961: 4923-10 Equipment Maintenance Shop $ 722. 00 Section 7. That the estimated revenues of the Print Shop and Stores Fund, Account 605-395. 01, "Reimbursement from Other Funds", be re -estimated in the additional amount of $71. 00, and that said sum be appropriated from the Unappropriated Surplus of the Print Shop and Stores Fund to the following account in the Print Shop and Stores Fund, for salary increase for Fiscal Year 1961: 4922-10 Print Shop and Stores $ 71. 00 • • Page 3. Section 8. That the sum of $3,587.00 be appropriated from the Unappropriated Surplus of the Water Utility Fund, Account 701-265, to the following accounts in the Water Utility Fund, for salary increases for Fiscal Year 1961: 4821-10 4824- 10 4825-10 Source of Supply Transmission & Distribution Administration & General Total Water Utility Fund $ 664. 00 2,009.00 914.00 $ 3,587.00 Section 9. That the sum of $2,533.00 be appropriated from the Unappropriated Surplus of the Sanitary Sewer Utility Fund, Account 703-265 to the following account in the Sanitary Sewer Utility Fund, for salary increases for Fiscal Year 1961: 4841-10 Sanitary Sewer Maintenance $ 2,533.00 Section 10. That the sum of $768. 00 be appropriated from the Unappropriated Surplus of the Refuse Utility Fund, Account 705-265 to the following account in the Refuse Utility Fund, for salary increases for Fiscal Year 1961: 4893-10 Disposal (Incinerator) $ 768. 00 Section 11. That the City Manager be directed to cause the appropriate accounting entries to be made in the books and records of the City. Adopted by the City Council January 2 Atte st: ��I Mayes', 61. Pfepared by: Approved, as to form -and legality: City Attorney ORDS ins 769 Entitled: ANORDINANCEAV9.'HORIZING THE TRANSFERS OF FUNIS & PROVIDING APPROPRIATIONS FOR SALARY INCREASES FOR YEAR ENDING DEC.01, 1961 Introduced by Dafi0_ First Reading -Date 1-9-61_ Waived Yea Second Reading -Date 1-23-61 Waived yes Vote: Aye 6 Nay -- r^ublished Date January 26, 1961 Effective Date______________________________ rY 2 9 Februa 10 1 61 A- "ef=rence r • • AFFIDAVIT OF PUBLICATION ,.. St. Louis Park Dispatch 5407 Excelsior Blvd. St. Louis Park, Minnesota State of Minnesota County of Hennepin SS. JOHN E TILTON, being duly sworn, on oath says. that he now is and during all the time herein - stated has been JOHN E TILTON, the publisher and printer of the newspaper known as The St Louis Park Dispatch, and has full knowledge of the facts herein stated That for more than one year immediately prior to the publication therein of the printed Ordinance No. 169 Re Authoriz _the_2ranefere__af _Zunda_i__ ' ProviditiApprooprlatione for Bala* -Incteaeea_Iar Tear 'BndinIs December 31,__1_9(g. :_a . 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 been entered as second class mall matter in local post office of its said place of publication, that there has been on file in the office of the County Auditor of said county the affidavit of a person hav- - g first hand knowledge of the facts constituting its qualifications as a newspaper for publication legal notices, and that its publishers have complied with all demands of said County Auditor proofs of its said qualification A copy of each issue has been filed with the State Historical iety, St. Paul tR That the printed__-- _Oriiiance__Noe__?69za_ai 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___One_____ __successive weeks, that it was first so published on the 26th day of January , 1ia___and thereafter on of each week to and including the 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- tion of said Osdinanoa _No. abcdefghij 4..4L Publisher Subscribed and sworn to before me this___ 1961 Thomas D Williams, Notary Public, Hennepin County, Minn My Commission Expires June 16, 1962 (Official Publication) ORDINANCE NO. 769 /IN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS AND PROVIDING APPROPRIATIONS FOR MARY INCREASES FOR YEAR ENDING DECEMBER 31, 1961 THE CITY OF ST LOUIS PARR DOES ORDAIN -Section 1 That the sum of $31,287 00 be transferred from the Emergency Appropriation of the General Fund Account 101-497.49, to the following 'accounts in the General Fund, to provide appropriations for salary increases 'for the Fiscal Year 1961: 402.10 City 'Manager 4051.10 City Clerk , 4052.10 Treasury ' 4053.10 Assessing `�;�'i� -4054-10 Accounting aZd -I1),ternal Auditing 406-10 408-10 Planning 411.10 Police Protection ~' 412-10 Fire Protection'' .•,- 413.10 Protective Insectlori 421-10 Engineering 492.10 Street Maintenance 424-10 Traffic Signs, Signals, Markings 4"-10 Storm Sewer 'Maintenance 443-10 Health -Regulation 'and Inspection 4031-10 Muntclal Court 409-10 City 'Hall Operation & Maintenance 499-70 07 Transfer to Park Fund 499 70 09 Transfer to Recreation Fund January 23, 1961 $314 00 544 00 ' 92 00 1,815 00 1,397 00 524 00 ; 940 00 7 573.00 4,991 00 2,076 00 2 404 00 5,031 00 468 00 , 578 00 22100 8100 289 00 1 609 00 332 00 Total General Fund 831 287 00 and that the transfer to the Engineering Account be made. in part, for an appropriation for salary increase resulting from allocation of one additional Engineering Aide III position and on. less Engineering Aide II position for regular, employees for Fiscal Year 1961 Section 2 That the sum of $81'00 be appropriated from the Unappropriat- ed 'Surplus Of the Civil Defense Fund, Account 201-265 to the following account to the Civil Defense Fund for salary increase for Fiscal Year 1961 415-10 Civil Defense 88100 , Section 3. ,That the estimated revenues of the "ark Fund Account 207,- 396 01 "Transfer from Other Funds " he re -estimated in the additional amount of $1,60900 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 in- creases for Fiscal Year 1961 475.10Municipal Parks $1,609 00 Section 4 That the sum of $46 00 be appropriated from the Unappropriat- ed Surplus of the Library Fund, Account 210-265 to the following ac- count in the Library Fund, for salary increase for Fiscal Year 196P 462-10 Municipal Library 846 00 Section 5 That the estimated revenues of the Recreation Fund Account 211-396 01 "Transfer from Other Funds" be re -estimated in the additional amount of $332 00 resulting from ' transfer" in Section 1 and that said sum be appropriated from the Unappropriated Surolvs of the Re- creation Fund to the following account in the Recreation Fund for sal- ary increase for Fiscal Year 1961 474-10 Organized Recreation $332 00 Section 6 That the estimated revenues of the Central Garage Fund, Account 603.395 01 "Reimbursement from Other Funds " be re -estimated in the additional amount of 8722 00, and that sald sum 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 1961 4923-10 Equipment Maintenance Shop 8722 00 Section 7. That the estimated revenues of the Print Shon and Stores Fund, Account 605=395 01, "Reimbursement from Other Funds," be re - estimated In the additional amount of 47100, and thrt said sum be appropriated from the Unappropriated Surplus of the Print Shop and Stores Fund to the following account in the Print Shop and Stores Fund for salary increase for Fiscal Year 196P 4922.10 Print Shop and Stores 47100 Section 8 That the sum of 83,587 00 be appropriated fiom the Un+o- propriated Surplu8 of the Water Utility Fund, Account 701-'65 to the following accounts in the Water Utility Fund, for salary increases for Fiscal Year 1961 4821.10 Source of Supply �SR84 00 4824.10 Transmission. & Distribution 2 009 00 4825-10 Administration' & General 914 00 - Total -Water Utility Fund 83.587 00 Section 9 That the stun of 42 533 00 be appropriated from the Unen- propriated Surplus of the Sanitary Sewer Utility Fund Account 703.265 to the following account in the Sanitary Sewer Utility Fund, for Salary in^ -,.sea for Fipcel Year 1961 4841-10 Sanitary Sewer Maintenance 42 533 00 Section 10. That the; sum- of $768 00 be appropriated from the Unao- proprlated Surplus of 'the,Refuse Utility Fund, Account 705-265 to the following account in _the Refuse Utility Fund for salary Increases for Fiscal Year_ 1961 4'93.10 Drspbsal-(Incin@rator) 8788 00 Section 11 ' h9j the City Manager be directed to cause the appropriate acrounl•ng'elltrles to be_(nade in the books and records of the City Adopted.4ky the City Council ,January 23, 1961 r. Kenneth Wolfe Ma,vor Prepared by A'rest toseoh Justatl-; -. =- rCrty Clerk - r, ''• • - `Revr.wed for adminis><r4 tion: C D Andre ' ;City Manager _ Approved as to form and leg. lity H H Burry City Attorney (Jan 28, 1961)—D -2A