HomeMy WebLinkAboutORD 128 (1959)ORDINANCE NO. 128
AN ORDINANCE OF THE CITY COUNCIL, OF THE CITY OF
TUS`±IN, FIXING AND DTERMING THE AMOUNT OF REVENUE
NECESSARY TO BE RAISED BY TAXATION UPON THE TAXABLE
PROPERTY WITHIN THE CITY OF TUSTIN AND THE AMOUNT
OF REVENUE NECESSARY TO CARRY ON THE VARIOUS DE-
PARTMENTS OF SAID CITY FOR THE FISCAL YEAR 1959-196o.
71* The City Council of the City of Tustin does ordain
as follows:
Section 1, That it is hereby determined and
decreed by the City Council of the City of Tustin that the
sum of X112,320.00 is the amount of revenue necessary to be
raised in order to carry on the various departments of the
City of Tustin for the fiscal year 1959-1960.
Section 2. That of said sum of $112,320.00, it
is anticipated that there will be received as income from various
sources other than through property tax levy, the,sum of
$82,766-50 and that it will be necessary to raise $29,553,50 by
tax levy upon the property within the City of Tustin
Section 3. That the $112,3t 00 so requiPed-!by
the various departments of the City of Tustin ,during -he
fiscalyear 1959-1960 is distributed and budgeted as follows:
A. City Administration, $25,770.00
The following items are to be paid
from the amount budgeted to this account:
(1) Salaries of City Clerk, Deputy Clerk
City Attorney, Auditor, Treasi;re, Planning
Commission, Building Inspect4", City Council*j,
Janitor, and other clerical help.
(2) Utilities chargeable to City by
operation of City Hall.
(3) Insurance.
tP
(4) Printing and publishing..,
(5) Supplies.
(6) Dues of City for Miscellkn
j
_a4s 44unicipal
Organizations of which tht� ity of Tustin
is a member.
(7) Annexation expenses.
(8) Capital outlay for equipnrnt. $1,000.00
Miscellaneous administrative expenses'
including Clerk's Petty Cash Fund and
building, upkeep,
628
B. Fire Department $10,000.00
The following items are to be paid from
the amount budgeted to this account:
(1) Salaries paid to volunteer firemen.
(2) Upkeep and maintenance of the equipment.
(3) Cost of Water Service.
(4) Miscellaneous Fire Department expense.
(5) New radio equipment,
(6) Capital outlay for equipment. $ 6,000.00
C. Police Department 1 $ 27,750-00
The following items are to be paid
from the amount budgeted to this
account:
(1) Salaries of officers.
(2) Maintenance and upkeep of vehicular
equipment.
(3) Expenses for jail and prisoners.
(4) Salary of crossing guard.
(5) Capital outlay for equipment. $ 1,750-00
(6) Miscellaneous expenses incident to
the above enumerated activities.
The sum budgeted to the Police Department will
be.paid out of the General Fund. However, the General Fund
shall"be reimbursed from the Motor Vehicle License Fee Fund
.in the sum of $8,000.00, and the General Fund will be reimbursed
from the Liquor License Fee Fund in the sum of $1,500-00 for
Police:Department expenditures herein budgeted, and the City
Treasurer is hereby authorized to reimburse the General Fund
as herein provided.
D. Street Department $32,800.00
.The following items are to be T)aid from
the amount budgeted to.this account:
'(l) Salaries of the City Engineer, Street
Superintendent, truck employees and
miscellaneous laborers.
(2) Construction, repair and maintenance of
streets, including the reconstruction and
and improvement of certain city streets.
(3) Equipment upkeep and maintenance.
(4•) Engineering expense.
(5) Capital outlay for equipment. _ 00.00
(b) Miscellaneous Street Department expense.
The money so budgeted for the Street Department
will be taken from the General Fund. However, the General Fund
will be reimbursed from,the Traffic Safety Fund in the sum of
$10,000.00, said reimbursement to apply on the salaries of the
City Engineer and Street•Superintendent and against monies
expended for the repair, maintenance and construction of major
city streets, and the City Treasurer is hereby authorized to
reimburse the General Fund as herein provided.
E. Parkwyas, Playgrounds and Trees
The following items are to be paid from
the amount budgeted to this account:
(1) Expenditures for recreation purposes.
4,000.00
(2) Expenditures for the maintenance of
and the beautifying of parks and park-
ways within the City of Tustin.
(3) Tree maintenance
(4) Miscellaneous park and playground expense.
F. Sanitary Department $ 12,000.00
The following items are to be paid from
the at:ount budgeted to this account:
(1) Waste collection and disposal, pursuant
to contract.
(2) Weed cleaning.
(3) Sewers. (preliminary costs)
(4) Miscellaneous Sanitary expense.
Section 4. Unless otherwise indicated, the expenses
budgeted in this Ordinance shall be paid out of and chargeable to
th.e General Fund of the City of Tustin, except for approved street
projects, which expendituresshall be made from Special Gas Tax
Funds.
Section 5. The City Clerk shall certify to the adoption
of this Ordinance, and shall cause the same to be published once
within fifteen days after its adoption in the -Tustin News, a
weekly newspaper of general circulation, printed, published and.
circulated in the City of Tustin, and said Ordinance shall take
effect and be in full force immediately from and after its final
adoption.
630
PASSED AND ADOPTED by the City Council of the
City of Tustin at a regular adjourned meeting thereof
held on the 24th day of August, 1959•
ATTEST:
City Clerk
Mayor pro tem
STATE OF CALIFORNIA )
COUNTY OF ORNAGE ) SS.
CITY OF TUSTIN )
A. 0. PARK, City Clerk and Ex -officio Clerk of the
City Council of the City of Tustin, California, does
hereby certify that the whole number of members of the
City Council of the City of Tustin is five, that the
above and foregoing Ordinance was duly and regularly
introduced at a regular meeting of the City Council
of the City of Tustin held on the 17th day of August,
1959, and was duly passed and adopted at a regular
adjourned meeting of the City Council held on the
24th da of August, y g , 1959, by the Poll -owing vote;
AYES: Councilmen: Bacon, Byrd, Humeston, Tadlock
NOES Councilmen: None
ABSENT: Councilmen: Kidd
DATED: August 24, 1959•
City Clerk of the City of Tustin,
California.