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<br /> <br /> <br /> <br /> <br /> <br /> <br /> <br /> ORDINANCF, NO. 94-042 <br /> <br /> <br /> AN ORDINANCE ADOPTING A BUDGET FOR THE ENSUING FISCAL <br /> PERIOD BEGINNING OCTOBER 1, 1994, AND ENDING SEPTEMBER 30, 1995, <br /> IN ACCORDANCE WITH THE GHARTER OF THE CITY OF PARIS, <br /> APPROPRIATING THE VARIOUS AMOUNTS THEREOF AND REPEALING ALL <br /> ORDINANCES OR PARTS OF ORDINANCES IN CONFLICT THEREWITH. <br /> <br /> WHEREAS, the City Manager of the City of Paris has submitted to the City <br /> Council a proposed budget of the revenues of said City and the expenses of conducting the <br /> affairs thereof and providing a complete financial plan for the ensuing fiscal period, <br /> beginning October l, 1994, and ending September 30, 1995, and which said proposed <br /> budget has been compiled from detailed information obtained from the several departments, <br /> divisions and offices of said City; and, <br /> <br /> WHEREAS, the City Council has received said City Manager's proposed budget, <br /> a copy of which proposed budget and all supporting schedules have been filed with the <br /> City Clerk of the City of Paris, and is of the opinion that the same should be approved and <br /> adopted and that a public hearing before the City Council has been provided for as <br /> required by Article V, Section 50, of the Charter of the City of Paris, Paris, Texas; <br /> <br /> NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE <br /> CITY OF PARIS: <br /> <br /> Section 1. That the proposed budget of the revenues of the City of Paris <br /> and the expenses of conducting the affairs thereof, providing a complete financial plan for <br /> the ensuing fiscal period beginning October 1, 1994, and ending September 30, 1995, as <br /> submitted to the City Council by the City Manager of said City, be, and the same is in all <br /> things adopted and approved as the budget of all of the current expenses as well as the <br /> fixed charges against said City for the fiscal period beginning October 1, 1994, and ending <br /> September 30, 1995. <br /> <br /> Section 2. That the sum of $13,854,522.00 is hereby appropriated out <br /> of the General Fund for the payment of Operating Expenses and Capital Outlay of the <br /> City Government, exclusive of Water and Sewer Departments, Revenue Sharing Funds, <br /> and Community Development Block Grant Fund, as hereinafter itemized: <br /> <br /> GENERAL GOVERNMENT: <br /> City Council $ 413,900.00 <br /> Administrative $ 216,776.00 <br /> City Attorney $ 192,696.00 <br /> Judicial $ 175,295.00 <br /> City Clerk $ 66,454.00 <br /> <br /> Sub-Total $ 1,065,121.00 <br /> <br /> FINANCE: <br /> Accounting & Auditing $ 235,062.00 <br /> Assessment & Collection <br /> of Taxes $ 96,336.00 <br /> <br /> Sub-Total $ 331,398.00 <br /> <br /> PUBLIC SAFETY: <br /> Police $3,182,788.00 <br /> Fire $2,109,264.00 <br /> <br /> Sub-Total $ 5,292,052.00 <br />