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ORDINANCE NO. 121
AN ORDINANCE PROVIDING FOR THE GENERAL APPORTIONMENT OF
THE FUNDS OF THE CITY OF REXBURG, IDAHO, BEING ANNUAL
APPORTIONMENT BILL OF SAID CITY.
BE IT ORDAINED BY THE MAYOR AND CITY COUNCIL OF THE CITY OF REXBURG,
IDAHO.
SECTION I: That all monies coming into the City Treasury from taxation, licenses, fines,
forfeitured, penalties and any and all sources whatsoever, shall be, and the same are hereby
distributed into five funds designated as follows, to -wit:
1. The General Expense Fund
2. The General Improvement Fund
3. The Road and Bridge Fund
4. The Ditch Fund
5. The Cemetery Fund
SECTION II: That for the fiscal year ending the first Tuesday in May, 1908, the City
revenues and incomes for the period having been estimated to account to the sum of ten thousand
dollars ($10,000) the said city revenues, incomes and monies arising from taxes, licenses, fines,
forfeitured, penalties, and from any and all sources whatsoever shall be and are hereby apportioned
and divided as follows, to -wit:
1. — To the said General Expense Fund the sum of $6,000.00 for the usual and ordinary
expenses of the city government, and for the purpose of paying the salaries of the various
officers and employees and for the outstanding indebtedness.
2. —To the said General Improvement Fund the sum of $1,000.00 for the purpose of
making improvements of any kind of a public nature and the purchasing of real estate for
the city purposes, and erecting therein any municipal building which may be ordained by the
Mayor and council of said city.
3. — To the said Road and Bridge Fund the sum of $2,500.00 in addition to the poll tax to
be collected in labor by the supervisor of streets for the purpose of paying the expenses of
constructing , improving and repairing the streets avenues, alleys, highways, and other
thoroughfares of said city.
4. — To the said Ditch Fund the revenues derived from the assessments levied by the city
upon the stock owned in what is known as the City Canal, for the purpose of cleaning and
keeping in repair the canals and laterals of the City and for headgates, culverts, weirs,
watermasters and secretary's salary.
5. — To the said Cemetery Fund the sum of $500.00 for the purpose of cleaning out ditches,
laying off walks, plauting, and watering trees, repairing fences and otherwise improving the
cemetery.
SECTION III: That all monies coming into the city treasury from other sources, the
expenditure of which is not otherwise provided for by law or ordinance, shall be apportioned to the
General Expense Fund.
Passed this 10" day of July, 1907.
Approved this 10" day of July,1907.
Attest:
John H. Squires, Mayor Pro Tempore
A.L. Blackburn, City Clerk