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PUBL IC WOR KS : <br />Engineering <br />Parks & Recreation <br />Sanitation <br />Streets & Highways <br />Warehouse <br />Traffic & Public Lighting <br />Garage <br />Total <br />CONS ERVATION OF HEALTH ; <br />Health Unit <br />Total <br />MISCELLANDOUS: <br />Airport (Cox Field) <br />Paris Band <br />King's Daughters <br />Library <br />Total <br />CONTINGENT APPROPRIATION <br />Grand Total <br />62,799.00 <br />38,695.00 <br />82,301.00 <br />331,583.00 <br />12)560.00 <br />64,925.00 <br />23,950.00 <br />18,000.00 <br />34,460.00 <br />32000.00 <br />2,400.00 <br />41,060. 00 <br />616,813.00 <br />18,000.00 <br />80,920.00 <br />41,850.00 <br />$11436,995.00 <br />Section 3. That the sum of $542,056.00, based on the esti- <br />mated water and sewer budget, is hereby authorized out of utility <br />fund revenues for the payment of operating expenses and capital <br />outlay of Water and Sewer Utility Departments, as hereinafter <br />itemized: <br />WATER : <br />Water & Sewer Billing & $58,605.00 <br />Collecting <br />Water Production 199,518.00 <br />Water Distribution 1573262.00 <br />Total <br />$415,385.00 <br />S EWER : <br />Sewer Maintenance 73,059.00 <br />Sewer Treatment 532612.00 <br />Total 126,671.00 <br />Grand Total $542,056.00 <br />Section 4. That the sum of $25,177.50 is hereby appropriated <br />out of the general debt service fund for the purpose of paying the <br />interest due on general obligation bonds and time warrants, redeem- <br />ing the serial bonds as they mature, and creating a sinking fund <br />therefor. <br />Section 5. The sum of $283,397.30 is hereby appropriated <br />out of the Water and Sewer Revenue Bond Fund for the purpose of <br />paying the accrued interest and making the principal payments as <br />the same mature on the water and sewer revenue bonds, and creat- <br />ing the prescribed contingent and resexve funds therefor. <br />