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0938 I ORDINANCE NO. 9 3 8 (11-91) AN ORDINANCE ADOPTING A BUDGET FOR THE YEAR 1991 MAKING AN APPRO- PRIATION AND AUTHORIZING FOR EXPENDITURES FOR THE OPERATION OF THE VARIOUS DEPARTMENTS OF THE CITY GOVERNMENT, FOR THE OPERATION OF THE PURCHASES OF MATERIALS, SUPPLIES, EQUIPMENT AND SERVICES; DECLARING AN EMERGENCY; AND, FOR OTHER PURPOSES. (COVERS: GENERAL FUND; STREET DEPARTMENT; SANITATION FUND; AND PARKS). BE IT ORDAINED AND ENACTED BY THE CITY COUNCIL OF THE CITY OF JACKSONVILLE, ARKANSAS: SECTION ONE: That the Budget for the operation of the various departments of the City of Jacksonville, Arkansas, for the year 1991, shall be as follows: Estimated Funds Available for the General Fund for the year of 1991: $5,782,150. DISBURSEMENTS GENERAL FUND AMOUNT 1. City Clerk $ 40,045 2. City Council 40,200 3. Mayor / Secretary 62,194 4. Executive 24,500 5. Finance Department 100,490 6. Purchasing Department 26,438 6A. Personnel 21,000 7. Police Department 1,757,614 8. Animal Controller 74,543 9. Fire Department 1,489,051 10. Civil Defense 1,200 11. City Attorney 50,400 12. Municipal Court 291,792 13. City Hall Expenses 47,800 14. Planning Commission 6,058 15. Library 22,500 16. Beautification Department 17. Parks & Recreation Department 29,777 417,913 18. Engineering Department 19. Inspection Department 78-,672 53,180 20. Misc. Public Works 168,981 21. Civil Service 4,500 SUB-TOTAL 120,298 $ 4,929,146 22. City Mechanic ORDINANCE NO. DISBURSEMENTS Balance Brought Forward (previous page) Payroll Taxes Match (All Dept. FICA) Workers Compensation Insurance Retirement Match (All Departments) Special Sick Compensation Insurance Match Group Ins., - STOP Loss Trust Equipment & Drainage Funds Unemployment (Reimbursement) TO CONTINGENCY FUND ENDING BALANCE GRAND TOTAL d- Page 2 GENERAL FUND AMOUNT $ 4,929,146 158,500 85,000 62,000 - 0 - 271,000 16,000 23,504 12,000 $ 5,557,150 150,000 $ 5,707,850 75,000 $ 5,782,150 SECTION TWO: That the Budget for the operations of the Street Department of the City of Jacksonville, Arkansas, for the year 1991 shall be as follows: Estimated Funds Available for Street Department for the year 1991: $909,8l2; Disbursements for the year 1991: $909,8l2. SECTION THREE: That the Budget for operations of the Sanita- tion Fund of the City of Jacksonville, Arkansas, for the year 1991 shall be as follows: Estimated Funds Available for Sanitation Fund: $700,000; Disbursements for the year 1991: $700,000. SECTION FOUR: If the City Government is to operate in an economical and efficient manner, it is imperative that a Budget be adopted for the guidance and instruction of said aforemen- tioned departments; therefore, to promote the public welfare, health and safety, an emergency is hereby declared to exist and this Ordinance shall be in full force and effect from and after January 1, 1991. 3 ORDINANCE NO. Page 3 SECTION FIVE: The appropriations made herein include addi- tional pay for holidays for all agents, servants and employees of the City of Jacksonville, Arkansas, including but not limited to uniformed employees, as provided for by the Laws of the state of Arkansas. APPROVED AND ADOPTED THIS 3rd DAY OF JanuaLY , 1991. ~~~L~ TO~~Y SWAIM, ~YOR A'rTEST: ta l /J ~ iJ ~{ 'ftt. (~~ ~Ut~~. LEONARD, t1TY CLERK APPROVED AS TO FORM: """'~"~--""''''''l ;(' ~~ ~. f//",r ~I/ y /> (\ I ~'.,./ ." /~'~.__/ ROBER~ E - BiMB~G0TY t)y CITY OF JACKSONVILLE, ARKANSAS GENERAL FUND - INCOME 1991 SOURCE Taxes: Property Tax (County) State Tax Turnback One Cent Sales Tax Privilege Tax In Lieu of Taxes Drink Tax Franchise & Assessments: General Telephone Southwestern Bell Arkansas Power & Light Company Arkansas Louisiana Gas Company First Electric Cooperative Cable TV Permits: Building Permits Electrical & Plumbing Fees & Fines: Dog Tags & Fines ( Fines (Court) From Federal Agencies: Federal Prisoner Reimbursement '-t 1991 BUDGET AMOUNT $ 550,000 539,000 2,900,000 59,000 450 10,000 240,000 2,000 590,000 115,000 16,000 60,000 12,000 11,000 lO,OOO 435,000 4,500 GENERAL FUND - INCOME 1991 (Continued) SOURCE Other Income: Interest Income Ambulance Billings For Engineering Service - Street For Purchasing Services - Street Rentals Adv.- Rezoning & Board of Adjustment Miscellaneous Outside City Fire Protection From Depts. for Mechanic's Salary/Parts SUB-TOTAL Opening Balance TOTAL 5 1991 BUDGET AMOUNT $ l,800 110,000 36,000 5,000 l,800 600 1,500 5,500 66,000 $ 5,782,150 -0- $ 5,782,150 SUMMARY OPERATING REVENUE GENERAL FUND ESTIMATED CASH BALANCE IN BANK - JAN. l, 1991: ESTIMATED REVENUE TO BE COLLECTED IN 1991: TOTAL ESTIMATED FUNDS AVAILABLE FOR GENERAL FUND BUDGET FOR 1991: STREET FUND ESTIMATED CASH BALANCE IN BANK - JAN. l, 1991: ESTIMATED REVENUE TO BE COLLECTED IN 1991: TOTAL AVAILABLE REVENUE FOR STREET DEPARTMENT FOR 1991: TOTAL GENERAL AND STREET FUNDS PER ESTIMATED REVENUE: l.o AMOUNT $ -0- 5,782,l50 $5,782,150 AMOUNT $ -0- 909,812 $ 909,812 $6,691,962 1991 SANITATION FUND DISBURSEMENTS SANITATION - GARBAGE DEPT. l. Salaries (Garbage Dept. Only) 2. Extra Labor (Overtime) 3. Electricity 4. Office Supplies 5. Truck Expense (Gas & Oil) 6. Truck Expense (Repairs & Maintenance) 7. Tires & Tire Repairs 8. Operating Expenses 9. Uniform Rental 10. Liability Insurance ll. Landfill Fees llA. Regional Landfill Study 12. Billing Expense 13. Miscellaneous Expense 14. Unemployment Tax l5. FICA Match l6. Workers Compensation Insurance l7. Retirement Match 18. Group Insurance Match GARBAGE DEPT. EXPENSES (SUB-TOTAL) Ending Balance GARBAGE DEPT. CASH REQUIREMENT Depreciation (Non-Cash Item) GARBAGE DEPARTMENT TOTAL '1 1991 SANITATION FUNDS $ 191,000 - 0 - 350 100 l2,500 l5,000 20,000 2,000 2,900 500 72,800 7,500 l6,500 2,000 2,000 l4,553 ll,OOO ll,460 21,670 $ 403,833 5,402 $ 409,235 22,375 $ 431,610 ~ 1991 SANITATION FUND DISBURSEMENTS 1991 SANITATION FUNDS SANITATION - TRASH PICKUP DEPARTMENT 1. Salaries $ ll0,000 2. Electricity 350 3. Vehicle Expense (Gas & Oil) 9,000 4. Vehicle Expense (Repairs & Maintenance) 12,000 5. Tires & Tire Repair 5,000 6. Operating Expense 2,000 7. Uniform Allowance 2,100 8. Liability Insurance (Auto) 600 9. Landfill Fees 68,640 9A. Regional Landfill Study 7,500 10. Miscellaneous Expense 2,000 ll. FICA Match 8,360 12. Retirement Match 6,600 l3. Group Insurance Match ll,440 14. Workers Compensation Insurance 4,000 TRASH DEPARTMENT EXPENSE (SUB-TOTAL) $ 249,590 TRASH DEPARTMENT CASH REQUIREMENT $ 249,590 Depreciation (Non-Cash Item) 18,800 TRASH DEPARTMENT REQUIREMENTS - TOTAL $ 268,390 SANITATION DEPT. - TOTAL REQUIREMENT $ 43l,6l0 268,390 $ 700,000 SANITATION DEPT. - GARBAGE DEPT. TOTAL TRASH DEPT. TOTAL ANTICIPATED INCOME - 1991 SANITATION FUND SUB-TOTAL $ 694,000 - 0 - 6,000 $ 700,000 - 0 - $ 700,000 Sanitation Fees One Cent Sales Tax Interest Income Opening Balance SANITATION FUND - TOTAL 1991 STREET DEPARTMENT BUDGET DISBURSEMENTS 1. Salaries (Beautification Workers) (Extra Labor) (Overtime) 2. Electricity 3. Gas (Heating) 4. Telephone 5. Truck & Equipment (Gas & Oil) 6. Car Expense (Mayor) 7. Vehicle Repairs and Maintenance 8. Equipment Rental 9. Operating Expense 10. Mayor & Executive Expense ll. Uniform Allowance l2. City Engineer (Salary/Fringes) 13. City Engineer (Other Expenses) l4. Purchasing Agent (Salary/Fringes) 15. Purchasing Agent (Other Expenses) l6. Build. / Equipment Repair & Maintenance 17. Liability and Building Insurance l8. New Equipment 19. Street Lights 20. Signs & Traffic Lights 2l. Sweeper Expense 22. Road Materials 23. Drainage Projects 24. Beaver Control 25. Asphalt / Striping / Slurry Seal 26. Curb & Gutter 27. Sidewalks q 1991 STREET FUNDS $ 185,000 49,000 - 0 - 5,680 3,000 1,500 1,300 11,400 1,500 l8,00O 3,000 4,850 lO,OOO 4,000 26,000 - 0 - 5,000 - 0 - 6,000 5,000 15,000 80,000 27,800 1,800 15,000 71,500 12,000 231,000 1,000 1,000 \0 1991 STREET DEPARTMENT BUDGET (Continued) DISBURSEMENTS 1991 STREET FUNDS 28. Tools $ l,OOO 29. Mosquito Control 15,000 30. Miscellaneous Expense 4,450 31. Street Inspection Costs l,OOO 32. Workers Compensation Insurance lO,OOO 33. FICA Match 20,900 34. Retirement Match l6,000 35. Group Insurance Match 20,000 36. West Main Project 25,000 SUB-TOTAL $ 909,680 Ending Balance 132 TOTAL $ 909,812