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HomeMy WebLinkAbout868 - ADMIN Ordinance - City Council - 1962/12/26• ORIGINAL DECEMBER 17, 1962 7H ORDINL.NCE NO. g fj S AN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS AND PROVIDING APPROPRIATIONS FOR SALARY INCREASES FOR YEAR ENDING DECEMBER 31, 1963 TIIE CITY OF ST. LOUIS PARK DOES ORDAIN: Section 1. That the sum of $31, 289 be transferred from the Emergency Appropriatior of the General Fund, Account 101-497-49, to the following accounts in the General Fund, to provide appropria- tions for salary increases for the Fiscal Year 1963: 402- 10 4051-10 4052-10 405? -_0 :'354-10 406-10 403-10 :.11_10 41 ?.-10 413-10 421-10 422-:0 423-10 424-10 X32-10 443-10 ^05'-10 4C9'-10 "^, ;-70. 07 499.-70. 09 City Manager City Clerk City Treasury As se s sing Accounti•ig and Internal Auditing Le gal Planning Police Protection Fire Protection Protectrre Inspection Engineering Street Maintenance Snow and Ice Removal Traffic Signs, Signals, Markings Storm Sewer Maintenance Health -Regulation and Inspection Municipal Court City Hall Operation & Maintenance Transfer to Park Fund Transfer to Recreation Fund Total General Fund :ee.;on 7,. Trot the sum Ul.a7p.repriated Surplus of the t^ the fallowing e.cco9nt •n the for _ _scal i ear: 1963: 4'-5-10 Civil Defense $ 412 436 122 943 1, 062 429 296 8, 727 3, 161 1, 474 3, 110 4, 236 800 539 641 307 97 382 3, 783 332 $31, 289 of $1J9 be appropria`P3 from the Civil Defense Fund, Account 201-265, Civil Defense, Fund, for salary increase $ 109. 00 Section 3. That the estimated revenue of the Park Fund, Account 207-396.01 "Transfer from Cther Funds", be re -estimated in the additional amount of $3, 783 resulting from "transfer" in Section 1, and that said .sum be app: opriatcd from the Unappropriated Surplus of the Park Fund to the following account in the Park Fund for salary increases for Fiscal Year 1%3: 475'- 10 Municipal Parks $3, 783. 00 Section 4. That the sum of $57 be appropriated from the Unappropriated Surplus of the Library Fund, Account 210-265 to the following account in the Library Fund, for salary increases for Fiscal Year 1963: 462-10 Municipal Library $ 57.00 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 resulting from "transfer" in Section 1, and that said sum be appropriated from the Unappropriated Surplus of the Recreation Fund to the following account in the Recreation Fund for salary increases for Fiscal Year 1963: 474-10 Organized Recreation $ 332. 00 Sccdon 6. That the estimated revenues of the Central Garage Fund, Account 603-395.01 "Reimbursement from Other Funds", be re-eb+.imated in the additional amount of $1, 039, 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 1963: 4923-10 Equipment Maintenance Shop $1, 089. 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 $105, and that said sum be appropriated from the Unappropriated Surplus -of the Print Shop and Sores Fund to the following account in the Print Shop and Stores Fund, for salary increases for Fiscal Year 1963: 4922-10 Print Shop and Stores $ 105. 00 Suction 8. That the sum of $2, 806 be appropriated from the Unappropriated Surplus of the watc r Utility Fund, Account 701-265, to the following accounts in the Water Utility Fund. for salary increases for Fiscal Year 1963: 4821-10 Source of Supply 4824-10 Transmission & Distribution 4825- 10 Administration & Genera) Total Water Utility Fund -2- - $ 798. 00 1, 496. 00 512. 00 $2, 806. 00 0 Section 9. That the sum of $2, 143 be appropriated from,the Unappropriatcd 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 1963: 4841- 10 Sanitary Sewer Maintenance l$2, 143. 00 Section 10. That the sum of $939 be appropriated from the Unap- propriated Surplus of the Refuse Utility Fund, Account 705-265 to the following account in the Refuse Utility Fund, for salary increases for Fiscal Year 1963: 4893- 10 Disposal (Incinerator) $ 939. 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 December 26, 1962. Atte st: Reviewed for admiistration: Approved as to form and legality: z6. City Manage r - 3 - City Attorney Taltgamarat. ,� r - :tMtrtYY4Gta i r • ORDINANCE NO. 868 Entitled: AN ORDINANCE AUTHORIZING TRE TRANSFERS OF FUNDS AND PROVIDINIG APPRUPRIATIONS OZ 5".LAFY INCZ?AL;E`.3 FOR YEAR ENDING DEC273.71 31, 1963. Introduced by Date First Reading -Date 12-17-62 Waived Yes Second Reading -Date 12-26-62Waived Vote: Published Date Effective Date Code Reference Yee Aye 6 Nay 0 JanunrY 3, 1962 January 18, 1963 • 1 i FI i AFFIDAVIT OF `PUBLICATION St. Louis Park Dispatch 5407 Excelsior Blvd. St. Louis Park, Minnesota tit.lte of Minnesota ss c',illllty til ill'III1CI)ill� ,101 N E T11'ION tr_rng duly shorn, on oath says that he now Is and during all the time herein. it.i`I.1 beenLouts Dispatch 'n`t h has full knmtiedgc ublisher and ofrtherfactsotthe hereinest.iteder known u t• 11111 for more than one year immediately prior to the publication therein of the printed c . •lilt ,lice :.c 568 He Ordina: ce aat_'crizinli the :'rftn: `'e -s cf Punts ant? ''1 0.1,1i14; A proyriations far S i Lary Increases for year end1nr: rocember 31. 1963.... hour+ .dt uhed, said newspaper was printed and published In the English language from Its knn.,•i uffit. of public itt n within the Count% of Hennepin, State of Minnesota on Thursday of euh i.i.eek In column and sheet form equivalent in space to 450 running Inches of single column two incus , ide has 110511 I.sued from a known office established In sald place of publication equipped ,tit', skilled ,torknien and the necessary material for preparing and printing the S ime 7111. SI LOUIS PARK DISPATCH has had in Its makeup not less than twenty•f'‘e percent of r., utas columns dct.otcd to local news of Interest to said community • purport, to sere the plc-- work of which has been dote In Its said known place of publication has contained general new, ui'intent; and mtEtellany, has not duplicated any other publication has nat been entire- ut up of patents plate matter and advertisements, has been circulated at an near Hs said rif publication to the extent of 240 copies regularly delivered to paying subscribers. has been tezed as 'eLond class mail matter in local post office of Its said place of publication that there t, been on file In the office of the Count% Auditor of said county the affidavit of a person hav- ing first hind knowledge of the facts constituting its qualifications as a newspaper for publication ,f Ief,il notices and that tts puLhshers ha%e cot, plied with all demands of said County Auditor for proofs of Its 551(1 qualification A copy of each Lssue has been filed with the State Historical ',obit, St 1'at' Ord Inince is r: t)6ci. That the printed hereto ttt.tthcd as a part hereof was cut from the columns of said newspaper was putllshcd therein inthe English language once a wrek for One f'itit so p.ibllshcd on the there tfter on 3rd tl.t, of • 19 successive %%eels. that it was day of sianunIY 163 and of each week to and Including the and that the following is a copy o1 the lower case alphabet which is acknowledged to hate been the size and kind of type usec in the publica- tion of ,aid Ord 11„ ce - - abcdefghljklmnopgrstuvw•'cyz Suh.triutd and .,tarn to before me this 0 3r • Thomas D. Williams, N day of Publisher January (/c ver �'!.✓3� 63 ublfc. Henr°pin County, Minn My Commission Expires Jur a 16, 1969 .� (Official Publication) zif+¢DECEMHER 17. 1982 OR'fiAN OROM C °AOt1 ORIEINO THE TRANSFERIg.y�OP,-• DS AND PROVIDING"t"'.APPRORIA- TION8•-FOR" 8AL'AR7t'-fINCREA3E8 FOR •YEAS: ENDING4MSER ti_31},I8g3 DECE• , THE C1TAYQ. O�F���SD LOUIS' P1tRK DOES eeOon t.t6Thet: he, titin ' of 331.289 be transferred , - , the Emergency ApproprlaU�m giS' the General Fund., AceOuSt•101.497-49 10 the following amounts - to the General Fund: to ---Provide - aP• propriatlons for'aalary increase.) for the Fiscal Yeer'1961: °, ' 401-10 City Manager; '' + 8 412 4051-10 City Ckrk436 4052-10 City ,'rreasttri ` '= 122 4053.10: Assailing.; dELt -1; 94.1 4o541osAeMtmting. and a ;' ':Internal Auditing r• 1.061 _ _-dr44. e>?448. 444121911•1-I11O00l+PpEProlaonUgtaeerimirnnce teetlinPOteco- oa;d '. 3,..218 727 41711413101FIrig +Pte -.181 423-10 Street=Malntenanee ip,4.3584: 4237104Snowtand Ice'' -n y,_,�y: c t = c, Removal - w• •A',a 'mol 424-10-Trafflc S F s. 3-0 Signals gs 432.10'Storm SCWer. , ' ' ' ` Maintenance 7 .:.i?,' -' l ' •641 141 10 Rend Inspection :rt - 307 and Municipal' Cour v 4031-f0 MuniciPpa�l'' Court '' . '17 ,;4091.10 y. Hao, Operation , • r• • ',-&'Maintenance 3631 499.7007 Transfer; to; Psritr-"" ' t: ,-v d• r 3.761 400.70 09 Fund. to Recrea-' • don-Ptmd- is, , 331 ", ,.,Totaie en_eral'cFund' 831,289 ... �` t. Fz`�'.' ', Section L�5si▪ un of *104 I,e a pr'opr`eted,.ttom the Unap• proprlated Surplus of the Civil De- fense Fund. Account 201-265. to the followingg, accouttn�t+-in the Civil De- 1 Tense Fund,afor,0lMary Increase for Fiscal Year• 121631w, ' , 415.10 Civ111 nefeflt�:,i't 8109 00 ' Section 3, ,Tha - ,estimated res enue of , the',P d Account 207-308 01 ' Tr from Other Funds be: ted In the ad- ditional amount 76i, resultlr g from'._;;:trattafar_', on, 1, and that ai d,auln be roprlated from the Unoppppinopria /Surplus of the Park Fund;O9 -the: N.,.acenunl In the, Part 2 ' ore salary 1n creases'for` i 475 -IO Manielpa ' P 'Its •'1863 33783 On Section -^4.-i 2ihe `1i u1t 'of 857 •he nppro t. s, the ' Unap top ,. ,: .• •:4'`T • Ute Llbro,y 9 11 ...: to �P41 for aalary'tnereaxe.ter:,FL1t ik, 1983 •T ,- 1I4,2-19' Mullin -1,i, L,ora•p:;,, ? Zit+ 001 Fovea/464;4f, • l In , Stepan 3. That- tee:,,,eslftnattdt Aec0lait� 21l -39G. ,', Other , Funds"- v and the addltlmtal. . ,y;g ultlngg from - ' •i;, ... • Seetton 1 anddthat ]tall ?" , . • roSprt- ated from , ' aced Sur. nlus tdltile,' ,;.:•,' "•d .to the rnllowing - C U Recrea tion, t1und" �.J •-+son far Rlacot'Year, `S " y}tr,., '7410 Orgn • Section- b. Sr'•-. noted revenuesc,or tthe• ai.;4 gr Fttnd.,Aecount',.6 <.012.0Z.Reint- bureement frdili` Othe}.T ,uttda.'-'.be ' re -estimated In` 1 thea':-addldonsl amount; of ,81.089:•`and'- that said sum be, appropriated 'Pram the Un• nppr3prtated,Surplus of the Central Garage Fund to the following ac- count in the Central Garage Fund, for salary increases for Fiscal Year 1983 4923-10 Equipment Maln- r • , lenanee SboD 81,089.00 9eetlIM 7. That the estimated revenues of the Print Shp and Stores Fund, Account 605.3 0 "Reimbursement from O t h e r Funds". be re -estimated In the ad. dltlnnal amount of 8103. and that i,f Ir. 1, tl manes. and that its publishers hove cot..plted with a t emanc.s o snit Lou - r wl 0. bit h •.r,fs of its a•tul quiP(Ic ;tion A copy of cach Issue has been filed with the ;tate Historical ,Ul it 1\ St rat Ord ;mote c b&3.. That the printed be rs to dt,.c hed .t. i part hereof was cut from the columns of sald newspaper, was purllshed tiltu tn in the English language once a wrck for One successive vied s, that1it was fust s0 puhllshcd on the 3rd day of J(I nila ry 1'J'3 and there ifter on of each week to and Including the this of , 19 , and that the following Id a copy o1 the lower case -11,tltabct which is acknowledged to have been the size and kind of type user. in the publlca• 1100 of said Ord 11:. ce T:c : 6 abcdefghtJklmnopgrstuvw•xyz Subscribed and sworn to before me this Publisher 3r' day of Jan jry.r 63 Thomas D`WI111ams, N y ublic, Henrepin County. Minn My Commission Expires Jure 16. 1969 .,....�,L....r,.a._.__...... - t� 1 .+0115M.F,:AfGy.:_ 1 1031-10 Munlelpa, Court + 1 '4091.10 aty,Ha11 Operation & Maintenance 382, -r4-99.70 07 Transfer to - Park— ' 3,701 140040 09 T mer to Recrea- tion Ptmd - •t x3 ,Tota}f4ierieral'Fund 531.289 a a opt stun of nap- proprlat Surplus of the the Ds. .� lenge Fund. Aceaml 201.280. to the following account.1n the Civil De. ; tense. Fund,rfortry'increase for Pltcal Year 1114131 1415.10 CivilDef In 5109.00 , Section 31 Tha • ,estimated rev. • noun of 'the P 207.300 0t d,, Account! from Other •Funds". be- led in the ad. dittoes) amount 783„ resulting from'.....,"transfer:.!. on, 1. and that 1tald,.sum be repriated front the Una t Surplus of the Park Ftntdtiie k g account In the,. ' r r ' are salary 1n. crease. far*�� '. rs.I9l13: 470.10 Mon a 4 8p� t 53.783 09 8eeYen2�% than •'or 537 he n ' Unap. 307,the follow: Ing eceolini , for salary;, $! • •. 1983%3,, 462-16 M 4vaiLaorar/ Section S. Ttret•-1Be. ' Aec0WWft .211Oth theer i aidltlnrtat. _, a reap ...tilting, from -l' ' :.:'Section 1 a �that-:LaId `t , • . roprt- ated • from .thea• a • Sur' plus of Jthe,� `;y f.,,.'} .•Itecrea- following f tion, Fund �f • fes" .i• ,seg for Fiscal Year! r•:. -.ft:-"= • "it �f%•', .t'.�e 00 374.10 Orge �-:�• 'r See tion.„- «•A �.�eoWnaled, revenues?,o 1; eti.SrO rsSe' Ftlild, yAQc ., ' 'L'_ f Refm- nursement sf, tiOthe}+'.tm :be' re• t1timated in •• r ithe -additional amount of ,$1.088:1,'iond Z bat said sum; be appropriated • from _ the, Un-, apprdprtated. Surplus' of the Central' Garage `.Fund : to the following :ac. count •In tithe Central Garage Fund. for salary, increases for -Fiscal Year 1983 t,.• . ' u - -,: , 1023-10 Equ1'pment Main- -,':t tenance Shop_ 51.089 00 ' ' Section ,7. That• the 'estimated ' revenues of the Print Shop and Stores: Fund. Account M-395 01. "Reimbursement from 0 t h e t Funds".. oe re -estimated .1h the ,ad- ditional • amount of 1105., and ,.hat said sum be appropriated from the Unappropriated Surplus -,1 of -Jibe , Print Shop and Stores Fund to the following account in the Print shop' and Stores Fund. for,. salary In-- creases sfor Fiscal, Year• 1983:-,;.:, t 4922.10 Print Shop and _ - d' Stores• - ' ' 8105.00 - Section ' 8 ' That the sum of 52.806 be appropriated from the Unappropriated. Surplus of the Wa. " ter Utility Fund. Account 701.285.1 to the following accounts in the; Water, Utility Fund for salary In- ereaxs for Fiscal Fear 1989 , -r. 4821.10 Source Of Supply ' ,5790 001 4024.10 Transmission ,& - Distribution 4825-10 Administration 00 dstration & • - General - _ . 512 00 I Total Water Utility Fund 53.80600' ' Section 9. That the sum of e 12.143 be appropriated from the Un- approprlated Surplus Of the Sant.` tory Sewer Utility Fund. Accounts' 703.985 to the following account In the Sanitary Sewer Utility Fund.' for salary Increases for Fiscal Year 1983 4841-10 Sanitary Sewer Maintenance _ $2'43.00' Section 10 That the ,sum of 5939' be appropriated• from the Unap• I prop�rleted Surplus .of the• Refuse' Utility Fund. Account 703.185 to the • following aecount In the 'Refuse Utility Fund. for salary Increases for Fiscal Year 1983 - 4893.10 Disposal (Inclnera. , ' tor) 5818110 Vection 11. That the City Man• ager be directed to ca. se the air, proprlate accounting entrees to be made In the books and records- of, the at,. ceAdb � 3dd ;,t the City Council De - 901 151 KENNETH V.:vLFE .4nyor 'Attest IS) JOSEPH JUSTAD • . City Merk •• Review RE d for admlMstration• . City Manager ' - +t Approved 05 to form .and, legaW3- 11.1 H , BURRY : s ; y 4t4 (, rn-}1 City Attorney • ` Om 3 IOBtt-D-2A; • tt