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Resolution 1116 S • ) RESOLUTION NO. 1116 A RESOLUTION 02 THE CITY COUNCIL OF TEE CITY OF MIALMTI BEACH, FLORIDA, ADOPTING A BUDGET FOR THr; SAID CITY FOR THE FISCAL YEAR ENDING NOVEMBER 1st, 1926. BE IT RESOLVED by the City Council of the City of Miami Beach, Florida, that: WHEREAS, the City Tax Assessor of said City has notified this body that the amount of the sum total of taxable property in the said City of Miami :leach, Dade County, Florida, far the tax year 1925 was Forty-four million, Ninety-four Thousand, Nine Hundred Fifty and 00/100 Dollars (444,094, 950.00) , and which same consists of two portions as follows : Thirty-four million, Six Hundred Thirteen Thousand, One Hundred and Fifty and 00/100 Dollars (x34, 613,150.00) , being on property lo- cated within the former City limits of said City, as described in the City Charter (Chapter 9836 of Special acts of 1923) , and Nine Million, Pour Hundred Eighty-one Thousand, Eight Hundred and 00/100 Dollars ($9,481,800.00) , being on property located within the territory annexed to said Oity by Ordinance No. 201 and Ordinance No . 208 of said City Council. HEREFORE, in conformity with Section 43 of the City Charter of said city, the City Council has ascertained the amount of the money • needed for each department and makes the following estimate to be raised by taxes on all of the taxable property in the said City for the tax year, A. D. , 1925, namely: BUDGET GENERAL FUND Code Administration of City 1-A Salaries and Wages ( including Councilmen' s fees) 453,740.00 B Miscellaneous Advertising 300.00 C Miscellaneous Expenses 2,400.00 D Postage , Telephone & Telegraph 1,000.00 Office Supplies 400.00 F Books, Printing & Stationery 2,500.00 G Furniture & Fixtures 3,000.D0 H City Hall Lights 225.00 I Tax Discounts 3,500.00 J Mayor' s Fund 2,000.00 II Insurance 6,200.00 475, 265.00 Code Fire Department 2-A Salaries & Wages 456,820.00 B Maintenance 8 Repairs to Equipment 6,500.00 C Miscellaneous supplies & Expenses 2,960.00 Postage, Telephone w Telegraph 300.00 • Furniture & Fixtures 300.00 F Office Sup lies & Printing , 150.00 G Uniforms 1,120.00 468,15t!.00 Page 2. Code Police De;artment 3-A Salaries & Wages $81,000.00 B Maintenance & .repairs to Equipment 5,000.00 C Miscellaneous Supplies & Expenses 750.00 D Postage, Telephone & Telegraph 750.00 E Furniture & r'ixtures 500.00 .e Feeding Prisoners 250.00 G Uniforms 4,000.00 H Electric Lights 125.00 I Equipment 1,600.00 J Traffic Signs & Street Painting 1,000.00 $94,975.00 Code Sanitary Department 4-A Salaries & Wages §48,450.00 B Maintenance of Autos & 'Trucks 3,900.00 C Miscellaneous Supplies & Expenses 2,500.00 D Wharfage & Towage 3,600.00 E Disinfectant 1,000.00 P Maintenance & nepairs to other Equipment 2,500.00 G Health Department 3,000.00 H Leases 2,000.00 I Garbage Cans & Equipment 15,000.00 $81,950.00 $386,340.00 Less the following credits: Estimated collections for fiscal year ending October 31, 1926 From Fines & Forfeitures $15,000.00 .rom Garbage Service Collection 5 000.00 :From Licenses & Permits 3 . 000.00 Estimated surplus in General Fund (October 31, 1925) 31,000.00 88,000.00 $232,340.00 Unappropriated item (to be distributed) 10,182. 25 $242,522.22 WATER PtJND Code Water Department 5-A Purchase of Water $80,000.00 B Pumping Expense 19,000.00 C Maintenance & Repairs 25,500.00 D Miscellaneous Expense 5,000.00 E Tapping Service 16,000.00 4;145,500.00 p • * # r } , Page 3. Less the following credits: Estimated collections for Water Service for fiscal year ending October 31, 1926 $ 75 ,000.00 Estimated Surplus in Water Fund November 1, 1925 10,000.00 $85,000.00 $60,500.00 Unappropriated item ( to be distributed) 5,642.45 66,142.43 REPAIR AND INTERNAL IMPROVEMENT FUND Code Street Maintenance 6-A Salaries & Wages $ 24,000.00 B Maintenance & Repairs Trucks & Equipment 5,500.00 C Miscellaneous Expenses 5,000.00 D Tools, Equipment & Supplies 1, 200.00 E Materials 20,000.00 F Lot Cleaning 25,000.00 G Street Lighting 60,000.00 $140,700.00 Code Sewer Maintenance 7-A Salaries & Wages $ 15,000.00 B Maintenance & Repairs Trucks & Equipment 2,000.00 C Miscellaneous Expenses 1,500.00 D Tools, Equipment & Supplies 3,500.00 E Electric Power 4,000.00 26,000.00 Code ENGINEERING DEPARTMENT 8-A Salaries & Wages $ 65,000.00 B Maintenance & Repairs Trucks and Autos 2,800.00 C Miscellaneous Expenses 1,500.00 D Tools, Equi-went & Supplies 2,700.00 E Furniture and r'ixtures 1,000.00 4 73,000.00 Less amount estimated as chargeable to new construction to be paid oat t0,000.00 of gond Issues 423,000.00 Page 4. Code PARK AND DOCK DEPARTMENT 9-A Salaries & Wages $ 10,000.00 B Maintenance & Repairs to Autos & Trucks 2,100.00 C Miscellaneous Supplies & Expenses 1,200.00 D Material & Equipment 2,500.00 15,800.00 Code BUILDING DEPARTIJIENT 10-A Salaries & Wages § 15,000.00 B Maintenance & Repairs to Buildings 3,000.00 C Miscellaneous Supplies & Expenses 1,000.00 $ 19,000.00 1224,500.00 Less the following credits: Estimated Surplus in Repairs and Internal Improvement Fund, November 1, 1925 6,500.00 Anticipated Collections of Lot Cleaning liens 10,000.00 16,500.00 $20 ,000.00 Unappropriated Item ( to be distributed later) 12,474.75 020,474.75 PUBLICITY FUND Publicity $ 44,094.95 44,094.95 INTEREST AND SINKING FUND Code tti1;r- 11-A Redemption Debenture Bonds 4109,000.00 A ,t3 B Interest Debenture Bonds 205,818.75 / --13,2.1 3 $314,818.75 All of the above bonds having 4 ,�- been issued since the extension of City Limits by OrdiLaances Nos. 4,f 201 and 208 are obligations of the entire City, both the former terri- tory and the territory annexed by said Ordinances, in other words on a basis of the sum total of taxable property, or 444,094,950.00. 4 Page 5. Less the following credits: Anticipated Collections : In Lien ='und Series "I" ( Improve_ ent :Fund No. 9) 34,387.50 In Lien i'und Series "J" ( Improvement 2und No.10) 10,000.00 Estimated Surplus in Interest and Sinking -`und, November 1st, 1925. 23, 000.00 Estimated accrued interest on Improvement fonds, Series 7J" and Oublic Improvement issue of October 1st, 1925. 7,000.00 :Estimated accrued interest on Improvement Bonds , Series "K" and Public Improvement 10,000.00 issue of about aarch lst, 1926 484,387.50 4230,431. 25 Unappropriated Item ( to be distributed later) 12,090. 97 4242,522.22 11-A Redemption Debentire Bonds 86,000.00 B Interest Debenture bonds 81,728.75 C Redemption Municipal Notes 5,500.00 D Interest Municipal Notes 1,485.00 474, 713.75 ( 11 of the above bonds and notes, having been issued prior to the ex- tension of the City Limits by Ordinances No. 201 and No. 208, are ob- ligations of the original territory only, in other words on a b ,3is of the total of taxable property, excluding the aforementioned annexed territory, or 434,613,150.00. ) Less the following credits: :available balance in Lien Pund Series "C" 412,360.00 Available balance in Lien yund Series "D" 10,880.00 Available balance in Lien Fund Series "E" ( Improvement . and No. 5) 12,620.00 Available balance in Lien Bund Series "i"' ( Improvement Pun_d No. 6) 18,-247.50 Anticipated Collections : In Lien fund Series "G" (Improvement Fund No .7) 1,320.13 In Lien = .and Series "H" (Improvement Pun d No.8)32, 753. 25 88,180.88 486,532.87 TOTAL 4902,289.44 • '1i Page 6. PASSED AND ADOPTED this . �ii of !ugust, A. D. , 25. ThiV ._ AlleANiCarairdigamowm. •resi. :nt o ' 1 y ounci Pro-tem) ATTEST: X67 City Clem This estimate submitted to me on this `�;.{ day of August A. D. , 1925, and the same, together with each appropriation there- of is by me hereby approved. IN TESTIMONY 6 PREOP, I hereunto set my hand at Miami Beach, Dade County, Florida, this nth day of August, A. D. , 1925 . t.(-6-" V /, Mayor O tO w H N o H o H tag • O O 0 rd -- ' '4 cid m • Y it I atm