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0257 ORDINANCE NO. 257 AN ORDINANCE APPROVING AND ADOPTING A BUDGET FOR THE CITY OF SOUTHLAKE, TEXAS, FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 1979,AND ENDING SEPTEMBER 30,1980, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SOUTHLAKE, TEXAS: 1. That the Mayor of said City has heretofore duly and timely filed, in accordance with the law, a Budget for the City covering the fiscal year running from October 1,1979, to September 30,1980, that due and timely public notice that a public hearing on such Budget would be held on August 19,1979, was given and made in accordance with the law and within the time limits set forth by law; that such public hearing was held in accordance with the law on August 19,1979, and that it was the opinion and judgement of the City Council that such Budget which is attached hereto be, and same is hereby, in all things approved and that same is proper and correct. 2. That said Budget is here and now, and hereby in all things, approved and adopted, and it shall be effective as of October 1,1979. 3. That this Ordinance is hereby declared to be an emergency measure which shall have and take effect from and after its present reading for the reasons that the fiscal year commences October 1,1979, and fixing the rate and levy of taxes for the year 1979 must be had prior to October 1,1979, and after approval and adoption of this Budget; it is for the immediate preservation of public property and business, and provides for the daily operations of all municipal denartrlents and lays a predicate for the appropriation of money to defray current and other expenses. PASSED APPROVED AND ADOP'T'ED BY the affirmative vote of a majority of said council members present this 4th day of September, 79. Mayor : : ATT IT City Secretary CITY OF SOUTHLAKE 1980 Budget Summary PERSONNEL SERVICES $ 188,629. OPERATING COSTS 68,925. CONTRACTUAL SERVICES 108,035. ( 5,000) CAPITAL OUTLAY 50,667. ( 65,995) DEBT SERVICE 58,150. CONTINGENCY RESI:RVF 15,444. 489,850. ( 70,995) REVENUE BUDGET 1980 WATER FUND REVENUE EXISTING FUNDS ( 60,000) Interest 500. Taps and Plugs 25,000. Garbage Franchise 2,500. Water Sales 114,725. Sewer Fees 1,200. $ 143,925. ( 60,000) GENERAL FUND TAXES: Ad Valorem 134,225. Sales 70,000• Franchise 30,000. FINES AND FORFEITURES 51,000. PERMITS/FEES Bldg. & Zoning 15,000. Subdivision Planning 5,000. Ambulance 1,000. INTEREST 300. REVENUE SHARING 14 , 585 . PARKS AND WILDLIFE 19,000. ( 10,995) TARRANT COUNTY Fire Assistance 3,000. Library 2,315. MISCELLANEOUS SALES 500. 345,925 ( 10,995) 489,850. ( 70,995) EXPENSES BUDGET 1980 GENERAL FUND REVENUE FUNDS EXISTING FUNDS ADMINISTRATIVE $ 106,714. FIRE 35,195. POLICE 142,941. BUILDING 18,475. FACILITIES/PARK 25,100. ( 10,995) INSURANCE 17,500. 345,925. ( 10,995) WATER FUND 143,925. ( 60,000) TOTAL, $ 489,850. ( 70,995) 3 ADMINISTRATION FY 80 REVENUE FUNDS TOTALS PERSONNEL SERVICES Magistrate 100. Secretary/Treasurer 12,000. Court Clerk 8,500. Extra Clerical 6,500. Summer Clerical 2,500. 29,600. OPERATING COSTS Dues and Subscriptions 600. Election Expense 600. Gasoline 13,000. Legal Notices 1,000. Postage 2,000. Supplies and Printing 4,600. Workshops and Travel 500. 22,300. CONTRACTUAL SERVICES Audit 2,000. Copier 3,000. Extra Legal 5,000• Janitorial (Service C, Supplies) 2,000. Phones 5,370• Planning and Engineering 7,000. Office Machine Repairs 200. Tax Assessing 3,300• Utilities 5,400. Judge 2,200. Attorney 2,400. Street Lighting 1,000. 38,870. CAPITAL OUTLAY Desk Chair 150. Storage Cabinet (2) 350. 500. CONTINGENCY RFSERVI 15,444. 1-06,714. 4 FIRE DEPARTMENT FY 80 REVENUE FUNDS TOTALS PERSONNEL SERVICES Fire Chief and Marshal 12,000 Asst. Chief Training 660. Asst. Chief Operations 660. Asst. Fire Marshal 440. 13,760. OPERATING COSTS Equipment Maintenance and Repair 5,500. Dues and Badges 400. Schools and Travel 700. First Aid Equipt. and Supplies 250. Misc. Tools and Supplies 400. 7,250. CONTRACTUAL SERVICES Radio Maintenance and Repair 1,600. Oxygen 250. 1,850. CAPITAL. OUTLAY Bunker Coats (6) 540. Boots (6) 270• File Cabinet (1) 175. First Aid Kit (Training) 65. Tires (#3007) (2) 160. Smoke E)ector Vac 325• Scuba Gear (2) 800• 2 , 335 . DEBT SERVICE BOND 10,000. 35,195. 5 POLICE DEPARTMENT FY 80 REVENUE FUNDS TOTALS PERSONNEL SERVICES Chief 14,200. Sergeant 121000. Detective 11,321. Patrolman (3) 32,742• Dispatcher (4) 31,886. Extra Dispatcher 2,170• Sick Leave Pay 2,000. Overtime Pay 2,170. 108,489. OPERATING COSTS Vehicle Maintenance 4,000. Vehicle Supplies 600• Misc. Supplies (Jail,Etc.) 300• Uniforms 600. School and Travel 800• Medical Expense (Jail) 300. Special Purchases 500 7,100. CONTRACTUAL SERVICE Radio Maintenance 1,800. Incoterm Maintenance 2,520. Incoterm Phone Lines 1,200• Micro Film 1,200. Ambulance Service 2,000• 8,720. CAPTIAL OUTLAY # Patrol Car (2) 16,000. Siren and PA 500• Filing Cabinets (2) 350• Measure Master 30• Raincoats (3) 100• Digital Clock 30. Ticket Book Holders (3) 37. Safety Cones (20) 100. 1979 K-SS Radar 1,483. 18,632. 142,941. # Revenue Sharing 6 BUILDING DEPARTMENT FY 80 REVENUE FUNDS TOTAL PERSONNEL SERVICES Clerk 7,200• 7,200. OPERATING COSTS Building Codes 150. SBCC Dues annual 50. Workshops and Travel 100. 300. CONTRACTUAL, SERVICES Inspections-Bldg. 6,000• Septic, Street Sign Installation 1,800. 7,800. CAPITAL OUTLAY File Cabinet 175. Street and Signal Signs 3,000. 3,175. 18,475. 7 FACILITIES/PARK FY 80 REVENUE FUNDS TOTAL EXISTING FUNDS OPERATING EXPENSE Mowing and Maintenance 1,200. 1,200. CONTRACTUAL SERVICES Porta Can Rental 1,200. Finish Grading 500. Parking Lot Gravel ( 5,000.) Installation of Eauipt. 500. 2,200. ( 5,000.) CAPTIAL OUTLAY Concession Building ( 995•) Grass Seed 100. Backstops/Bleachers ( 5,000.) Lighting Instal Fields 1S,S00. Building Expenses 2,000. Chairs 100. Street Repair 4,000. 21,700. ( S,99S. 25,100 (10,995) 8 INSURANCE F1` 80 General Fund 171500. Water Fund 4,000. 9 WATER DEPARTMENT FY 80 REVENUE FUNDS TOTAL EXISTING FUNDS PERSONNEL SERVICES Superintendent 13,020. ,Jr. Water Worker 8,760. Clerk 7,800. 29,580. OPERATING COST Gas 1,775. Training and Travel 250. Postage 2,000. Sewer Plant 4,750. Clz Drums 500. Insurance 4,000. 13,275. CONTRACTUAL SERVICES Planning and Engineering 8,900. Electricity/Wells 14,000. Repair and Maintenance 6,500. New Service ~ Fire Hydrants 15,000. Office Machine Repair 1,250. Audit 1,500. Map Update 500. Mower Rental 200. Burroughs Rental 405. Bell Communications 340. 48,595. CAPITAL OUTLAY Drill Wells (2) (60,000.) Desk and Chair 500. File Cabinet 175. Booster Pump (Well 1 ) 3,500. Push Mower 150. 4,325. 60,000 DEBT SERVICE Revenue Bond 19,500. GO Bond 28,650. 4 8 , 15 0 . 143,925. (60,000) 10