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<!--Generated by Squarespace V5 Site Server v5.13.159 (http://www.squarespace.com) on Sat, 25 May 2013 17:52:32 GMT--><feed xmlns="http://www.w3.org/2005/Atom" xmlns:dc="http://purl.org/dc/elements/1.1/"><title>Ordinances 2012</title><subtitle>Ordinances 2012</subtitle><id>http://www.granville.oh.us/ordinances-2012/</id><link rel="alternate" type="application/xhtml+xml" href="http://www.granville.oh.us/ordinances-2012/"/><link rel="self" type="application/atom+xml" href="http://www.granville.oh.us/ordinances-2012/atom.xml"/><updated>2013-01-07T19:06:46Z</updated><generator uri="http://five.squarespace.com/" version="Squarespace V5 Site Server v5.13.159 (http://www.squarespace.com)">Squarespace</generator><entry><title>Ordinance No. 22-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/12/7/ordinance-no-22-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/12/7/ordinance-no-22-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-12-07T20:08:07Z</published><updated>2012-12-07T20:08:07Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p>&nbsp;</p>
<div id="_mcePaste"><strong>ORDINANCE NO. 22-2012</strong></div>
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<div id="_mcePaste"><strong>AN ORDINANCE TO MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES OF THE VILLAGE OF GRANVILLE, STATE OF OHIO, DURING THE FISCAL YEAR ENDING DECEMBER 31, 2013</strong></div>
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<div>WHEREAS, pursuant to the provisions of Section 2.08 of Article II of the Charter of the Village of Granville, Ohio, the Village Council is authorized to adopt the Municipal Budget for the fiscal year beginning January 1, 2013 and ending December 31, 2013 and;&nbsp;</div>
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<div id="_mcePaste">WHEREAS, the Manager has submitted a proposed budget with estimates and explanatory data, and;</div>
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<div id="_mcePaste">WHEREAS, a public hearing has been held and said budget, with estimates, has been presented as required by Section 6.06 of Article VI of the Charter.</div>
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<div id="_mcePaste">NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF GRANVILLE, OHIO, a majority of the members elected thereto herein concurring that, to provide for the current expenses and other expenditures of said Village of Granville during the fiscal year ending December 31, 2013, the following sums be and are hereby set aside and appropriated as follows:</div>
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<div id="_mcePaste">Section I: &nbsp;The annual budget submitted by the Manager in accordance with the provisions of Section 6.05, Article VI, of the Charter, be and the same hereby is adopted.&nbsp;</div>
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<div id="_mcePaste">Section II: &nbsp;That there be appropriated from the GENERAL FUND:</div>
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<div id="_mcePaste">Program I - Security of Persons and Property</div>
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<div id="_mcePaste">A-1-1-A<span> </span>POLICE LAW ENFORCEMENT</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$710,663</div>
<div id="_mcePaste"><span> </span> &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; $319,106</div>
<div id="_mcePaste"><span> </span>230 Contractual Services &nbsp; &nbsp; &nbsp; $ 74,900</div>
<div id="_mcePaste">&nbsp;<span> </span>240 Supplies &amp; Materials<span> </span>$ 77,260</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;52,000</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span>$ &nbsp; &nbsp;2,500</div>
<div id="_mcePaste"><span> </span> &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; TOTAL<span> </span> <span> </span>$1,236,429<span> </span></div>
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<div id="_mcePaste">A1-1-C<span> </span>STREET LIGHTING</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;30,000</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp; &nbsp;8,000&nbsp;</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; &nbsp;38,000</div>
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<div id="_mcePaste">TOTAL PROGRAM I - SECURITY OF PERSON AND PROPERTY &nbsp; &nbsp; &nbsp;<span> </span>$1,274,429 &nbsp;<span> </span></div>
<div id="_mcePaste">Program II - &nbsp;Public Health and Human Services</div>
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<div id="_mcePaste">A1-2-B<span> </span>COUNTY HEALTH DISTRICT</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;30,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; 30,000<span> </span></div>
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<div id="_mcePaste">TOTAL PROGRAM II - PUBLIC HEALTH AND HUMAN SERVICES<span> </span>$ &nbsp; &nbsp; 30,000</div>
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<div id="_mcePaste">Program III - Community Environment</div>
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<div id="_mcePaste">A1-4-F<span> </span>COMMUNITY SERVICES</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;63,000</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;12,000</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $ &nbsp;16,000</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span>$ &nbsp; &nbsp;5,000</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span>$ &nbsp; 96,000</div>
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<div id="_mcePaste">A1-4-X<span> </span>BUSINESS DEVELOPMENT&nbsp;</div>
<div id="_mcePaste"><span> </span>230 Contractual Services &nbsp; &nbsp; &nbsp; $ &nbsp; 7,000</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span>$ &nbsp; &nbsp; 7,000</div>
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<div id="_mcePaste">TOTAL PROGRAM III - COMMUNITY ENVIRONMENT<span> </span>$ &nbsp;103,000</div>
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<div id="_mcePaste">Program VI &nbsp;- Transportation</div>
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<div id="_mcePaste">A1-6-A<span> </span>STREET CONSTRUCTION</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;45,000&nbsp;</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $397,500</div>
<div id="_mcePaste"><span> </span>260 Debt Service<span> </span>$ &nbsp;30,988</div>
<div id="_mcePaste"><span> </span>270 Transfer &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$355,845</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span> &nbsp; &nbsp; &nbsp;<span> </span>$ 829,333</div>
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<div id="_mcePaste">A1-6-B<span> </span>STREET MAINTENANCE AND REPAIR</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>211 Salaries/Wages<span> </span>$429,870</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$171,012</div>
<div id="_mcePaste"><span> </span>230 Contractual Services <span> </span>$ &nbsp;50,500</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials &nbsp; &nbsp; &nbsp; $ &nbsp;24,500</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span>$ &nbsp;55,000</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span>$ 730,882<span> </span></div>
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<div id="_mcePaste">A1-6-D<span> </span>STORM SEWERS AND DRAINS</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;10,000</div>
<div id="_mcePaste">240 Supplies &amp; Materials &nbsp; &nbsp; &nbsp; $ &nbsp;16,000</div>
<div id="_mcePaste">250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $ &nbsp;10,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> <span> </span>$ &nbsp; 36,000</div>
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<div id="_mcePaste">A1-6-G<span> </span>SIDEWALKS</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;2,000</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;15,000<span> </span></div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp;<span> </span>TOTAL<span> </span>$ &nbsp; 17,000 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</div>
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<div id="_mcePaste">TOTAL PROGRAM VI - TRANSPORTATION<span> </span>$1,613,215</div>
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<div id="_mcePaste">Program &nbsp;V - General Government</div>
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<div id="_mcePaste">A1-7-A<span> </span>ADMINISTRATIVE OFFICES</div>
<div id="_mcePaste">&nbsp;<span> </span>211 Salaries/Wages<span> </span>$243,073</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$103,416</div>
<div id="_mcePaste">230 Contractual Services <span> </span>$ &nbsp;37,500&nbsp;</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;17,000<span> </span>TOTAL<span> </span>$ 400,989</div>
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<div id="_mcePaste">A1-7-B<span> </span>LEGISLATIVE ACTIVITIES</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$ &nbsp; 4,200<span> </span></div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>212 Employee Benefits<span> </span>$ &nbsp; &nbsp; &nbsp;733</div>
<div id="_mcePaste">230 Contractual Services &nbsp; &nbsp; &nbsp;<span> </span>$ 30,500&nbsp;</div>
<div id="_mcePaste">240 Supplies &amp; Materials<span> </span>$ &nbsp; 7,000&nbsp;</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> <span> </span>$ &nbsp; 42,433</div>
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<div id="_mcePaste">A1-7-C<span> </span>MAYOR'S COURT</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span> &nbsp;<span> </span>$ &nbsp;46,141</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$ &nbsp;19,929</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;80,900</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;3,600</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span> &nbsp;<span> </span>$ 150,570</div>
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<div id="_mcePaste">A1-7-D<span> </span>INCOME TAX</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$ &nbsp;42,230</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$ &nbsp;21,525</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;7,300</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;27,000</div>
<div id="_mcePaste"><span> </span>280 Refunds<span> </span> &nbsp; &nbsp; &nbsp;<span> </span>$ &nbsp;70,000</div>
<div id="_mcePaste"><span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 168,055</div>
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<div id="_mcePaste">A1-7-E<span> </span>LANDS &amp; BUILDINGS</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$ &nbsp;29,000</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$ &nbsp; &nbsp;5,061</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;86,200</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Material<span> </span>$ &nbsp;10,500</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;21,000<span> </span>&nbsp;</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span> &nbsp; &nbsp; <span> </span>$ &nbsp;10,000<span> </span></div>
<div id="_mcePaste"><span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 161,761</div>
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<div id="_mcePaste">A1-7-F<span> </span>BOARDS &amp; COMMISSIONS</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$ &nbsp;95,061</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$ &nbsp;40,187</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp;<span> </span>230 Contractual Services<span> </span>$ &nbsp;56,700</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; <span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;9,500</div>
<div id="_mcePaste"><span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp;3,000<span> </span></div>
<div id="_mcePaste">TOTAL <span> </span>$ 204,448</div>
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<div id="_mcePaste">A1-7-G<span> </span>COUNTY AUDITOR &amp; TREASURERS' FEES</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span> $ 30,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> &nbsp; <span> </span> <span> </span>$ &nbsp; 30,000</div>
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<div id="_mcePaste">A1-7-H<span> </span>TAX DELINQUENT LAND ADVERTISING</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span> $ &nbsp; 1,000</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span>$ &nbsp; &nbsp; 1,000</div>
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<div id="_mcePaste">A1-7-I<span> </span>STATE AUDITOR&rsquo;S FEES</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span> $ &nbsp; 0</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> &nbsp; &nbsp;<span> </span>$ &nbsp; &nbsp;0____ &nbsp; &nbsp; &nbsp;&nbsp;</div>
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<div id="_mcePaste">A1-7-J<span> </span>ELECTION</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span> $ &nbsp; &nbsp;4,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> &nbsp;<span> </span> <span> </span>$ &nbsp; &nbsp; &nbsp;4,000</div>
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<div id="_mcePaste">A1-7-K<span> </span>LAW</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;90,000</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp; &nbsp; 500</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp;90,500<span> </span></div>
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<div id="_mcePaste">TOTAL PROGRAM VII - GENERAL GOVERNMENT<span> </span>$1,253,756</div>
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<div id="_mcePaste">GRAND TOTAL GENERAL FUND APPROPRIATIONS <span> </span> &nbsp; &nbsp; &nbsp;$4,274,400</div>
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<div id="_mcePaste">Section III: &nbsp;That there be appropriated from the following SPECIAL REVENUE FUNDS:</div>
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<div id="_mcePaste">B1-6-B<span> </span>STREET &amp; MAINTENANCE REPAIR</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;27,000<span> </span> <span> </span></div>
<div id="_mcePaste">240 Supplies &amp; Materials<span> </span>$144,000</div>
<div id="_mcePaste"><span> </span>TOTAL &nbsp;<span> </span>$ 171,000</div>
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<div id="_mcePaste">B2-6-B<span> </span>STATE HIGHWAY FUND&nbsp;</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;9,000</div>
<div id="_mcePaste">250 Capital Outlay<span> </span>$ &nbsp; &nbsp;4,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; 13,000</div>
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<div id="_mcePaste">Section IV: &nbsp;That there be appropriated from the following OPERA HOUSE PARK IMPROVEMENT FUND:</div>
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<div id="_mcePaste">B3<span> </span>OPERA HOUSE PARK IMPROVEMENT FUND</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;37,109</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; 37,109 &nbsp;&nbsp;</div>
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<div id="_mcePaste">Section V: &nbsp;That there be appropriated from the following BRYN DU FUND:</div>
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<div id="_mcePaste">B4<span> </span>BRYN DU FUND</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;25,000</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;50,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; 75,000 &nbsp;&nbsp;</div>
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<div id="_mcePaste">Section VI: That there be appropriated from the following LAW ENFORCEMENT TRUST FUND:</div>
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<div id="_mcePaste">B9<span> </span>LAW ENFORCEMENT TRUST FUND</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp; &nbsp; 500</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; &nbsp; &nbsp; &nbsp;500</div>
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<div id="_mcePaste">B13<span> </span>LAW ENFORCEMENT &amp; EDUCATION FUND</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;2,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; &nbsp; 2,000</div>
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<div id="_mcePaste">GRAND TOTAL SPECIAL REVENUE FUND<span> </span>$ 398,609 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</div>
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<div id="_mcePaste">Section VII: &nbsp;That there be appropriated from the following ENTERPRISE FUNDS: &nbsp;</div>
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<div id="_mcePaste">E1- WATER FUND</div>
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<div id="_mcePaste">E1-5-E<span> </span>PRODUCTION</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$199,684 &nbsp;&nbsp;</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>$ &nbsp;80,845</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$209,500</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;93,600</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;80,000<span> </span></div>
<div id="_mcePaste"><span> </span>260 Debt Service<span> </span>$ &nbsp;59,500</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span> <span> </span>$ &nbsp;38,000</div>
<div id="_mcePaste"><span> </span>280 Refunds<span> </span> &nbsp; &nbsp;<span> </span>$ &nbsp; &nbsp; &nbsp; 500</div>
<div id="_mcePaste"><span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 761,629 &nbsp; &nbsp;&nbsp;</div>
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<div id="_mcePaste">E1-5-F<span> </span>WATER DISTRIBUTION</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span>$ &nbsp;51,154</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>$ &nbsp;21,503&nbsp;</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;32,000<span> </span> &nbsp;<span> </span></div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;44,000</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span> &nbsp;<span> </span>$ &nbsp; &nbsp;6,000</div>
<div id="_mcePaste">TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 154,657<span> </span></div>
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<div id="_mcePaste">TOTAL FOR E-1 - WATER FUND APPROPRIATION <span> </span>$ 916,286</div>
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<div id="_mcePaste">E2 - SEWAGE &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;</div>
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<div id="_mcePaste">E2-5-G<span> </span>SEWAGE TREATMENT</div>
<div id="_mcePaste"><span> </span>211 Salaries/Wages<span> </span> &nbsp; <span> </span>$ &nbsp;81,806</div>
<div id="_mcePaste"><span> </span>212 Employee Benefits<span> </span>$ &nbsp;35,625</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$247,600<span> </span> <span> </span></div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Material<span> </span>$ &nbsp;76,000</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;25,000<span> </span>&nbsp;</div>
<div id="_mcePaste"><span> </span>260 Debt Service<span> </span>$ &nbsp;32,000</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span>$101,000</div>
<div id="_mcePaste"><span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp; &nbsp; 500</div>
<div id="_mcePaste"><span> </span>TOTAL <span> </span>$ 599,531</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">E2-5-H<span> </span>SEWAGE COLLECTION</div>
<div id="_mcePaste"><span> </span>211 Salaries \ Wages<span> </span>$ &nbsp;40,129</div>
<div id="_mcePaste">&nbsp; &nbsp;<span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$ &nbsp;14,000</div>
<div id="_mcePaste"><span> </span>230 Contractual Services<span> </span>$ &nbsp;67,000<span> </span>&nbsp;</div>
<div id="_mcePaste"><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;37,500</div>
<div id="_mcePaste"><span> </span>270 Transfers<span> </span> &nbsp;<span> </span>$ &nbsp;12,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span> <span> </span>$ 170,629</div>
<div id="_mcePaste">TOTAL FOR E2 SEWER FUND APPROPRIATIONS<span> </span>$ 770,160</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">E8<span> </span>REFUSE COLLECTION FUND<span> </span></div>
<div id="_mcePaste">230 Contractual Service<span> </span>$212,000</div>
<div id="_mcePaste">280 Refunds<span> </span>$ &nbsp; &nbsp; &nbsp; 500</div>
<div id="_mcePaste">TOTAL<span> </span>$ 212,500</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">E91<span> </span> WATER CAPITAL IMPROVEMENTS FUND</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp; &nbsp; &nbsp; &nbsp;0</div>
<div id="_mcePaste"><span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp;3,000 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; &nbsp;3 ,000</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">C-3<span> </span>SEWER REPLACEMENT &amp; IMPROVEMENT FUND</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ 80,000</div>
<div id="_mcePaste"><span> </span>TOTAL<span> </span>$ &nbsp; 80,000<span> </span></div>
<div id="_mcePaste"><span> </span></div>
<div id="_mcePaste">GRAND TOTAL ENTERPRISE FUNDS:<span> </span> &nbsp; &nbsp;$1,981,946</div>
<div id="_mcePaste"></div>
<div id="_mcePaste"></div>
<div id="_mcePaste"></div>
<div id="_mcePaste"></div>
<div id="_mcePaste"></div>
<div id="_mcePaste">Section VIII: &nbsp;That there be appropriated from the INTERNAL SERVICE FUND:<span> </span></div>
<div id="_mcePaste"></div>
<div id="_mcePaste">B16<span> </span>FEMA FUND<span> </span></div>
<div id="_mcePaste">270 Transfers<span> </span>$111,536</div>
<div id="_mcePaste">TOTAL<span> </span>$ 111,536</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">A7-6-B<span> </span>PATHWAY RESERVE FUND<span> </span></div>
<div id="_mcePaste">250 Capital Outlay<span> </span>$ 46,000</div>
<div id="_mcePaste">TOTAL<span> </span>$ &nbsp; 46,000</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">A8-6-B<span> </span>CAPITAL PROJECT RESERVE FUND<span> </span></div>
<div id="_mcePaste">250 Capital Outlay<span> </span>$104,000</div>
<div id="_mcePaste">270 Transfers<span> </span>$ &nbsp;25,000</div>
<div id="_mcePaste">TOTAL<span> </span>$ 129,000</div>
<div id="_mcePaste"><span> </span></div>
<div id="_mcePaste">F2 <span> </span>EQUIPMENT RESERVE FUND</div>
<div id="_mcePaste"><span> </span>250 Capital Outlay<span> </span>$ &nbsp;82,750</div>
<div id="_mcePaste"><span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ &nbsp; 82,750&nbsp;</div>
<div id="_mcePaste">&nbsp;</div>
<div id="_mcePaste">GRAND TOTAL INTERNAL SERVICE FUNDS<span> </span> &nbsp; &nbsp;$ 369,286</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">Section IX: &nbsp;That there be appropriated from the SPECIAL ASSESSMENT FUND:</div>
<div id="_mcePaste">&nbsp;</div>
<div id="_mcePaste">H1-1 <span> </span>EAST WATERLINE</div>
<div id="_mcePaste">H1-1-A<span> </span>Incidental Expenses<span> </span>$ &nbsp; 1,000</div>
<div id="_mcePaste">H1-1-B<span> </span>Principal<span> </span>$ &nbsp;18,375</div>
<div id="_mcePaste">H1-1-C<span> </span>Interest<span> </span> &nbsp;<span> </span>$ &nbsp; 1,060</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;TOTAL <span> </span>$ &nbsp;20,435<span> </span></div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span></div>
<div id="_mcePaste">H4-4<span> </span>WESTGATE SEWER</div>
<div id="_mcePaste">H4-4-A<span> </span>Incidental Expenses<span> </span>$ &nbsp; &nbsp;700</div>
<div id="_mcePaste">H4-4-B<span> </span>Principal<span> </span>$ &nbsp;5,500</div>
<div id="_mcePaste">H4-4-C<span> </span>Interest<span> </span> &nbsp;<span> </span>$ &nbsp;1,150</div>
<div id="_mcePaste">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$ &nbsp;7,350</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">GRAND TOTAL SPECIAL ASSESSMENT FUNDS <span> </span>$ &nbsp; 27,785</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">Section X: &nbsp;Sums expected from the above appropriation which are proper charges against any other department or against any firm, person, or corporation, if repaid within the period covered by such appropriation, shall be considered re-appropriated for such original purposes, provided that the net total of the expenditures under any appropriation shall not exceed the original total.</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">Section XI: That this ordinance therefore shall become effective as of January 1, 2013, for the purpose of effecting expenditures within the limitations herein set forth, during the fiscal year extending from that date to December 31, 2013. This appropriation ordinance shall become effective as provided in Section 6.07, Article VI of the Charter of the Village of Granville, Ohio, and shall take effect and be in force from and after the earliest date allowed by law.</div>
<div id="_mcePaste"></div>
<div id="_mcePaste">Passed this 5th day of December, 2012.</div>
<div></div>
<p>ORDINANCE NO. 22-2012<br />AN ORDINANCE TO MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES OF THE VILLAGE OF GRANVILLE, STATE OF OHIO, DURING THE FISCAL YEAR ENDING DECEMBER 31, 2013<br /><br />WHEREAS, pursuant to the provisions of Section 2.08 of Article II of the Charter of the Village of Granville, Ohio, the Village Council is authorized to adopt the Municipal Budget for the fiscal year beginning January 1, 2013 and ending December 31, 2013 and;&nbsp;<br />WHEREAS, the Manager has submitted a proposed budget with estimates and explanatory data, and;<br />WHEREAS, a public hearing has been held and said budget, with estimates, has been presented as required by Section 6.06 of Article VI of the Charter.<br />NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF GRANVILLE, OHIO, a majority of the members elected thereto herein concurring that, to provide for the current expenses and other expenditures of said Village of Granville during the fiscal year ending December 31, 2013, the following sums be and are hereby set aside and appropriated as follows:<br />Section I: &nbsp;The annual budget submitted by the Manager in accordance with the provisions of Section 6.05, Article VI, of the Charter, be and the same hereby is adopted.&nbsp;<br />Section II: &nbsp;That there be appropriated from the GENERAL FUND:<br />Program I - Security of Persons and Property<br />A-1-1-A<span> </span>POLICE LAW ENFORCEMENT<span> </span>211 Salaries/Wages<span> </span>$710,663<span> </span> &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; $319,106<span> </span>230 Contractual Services &nbsp; &nbsp; &nbsp; $ 74,900&nbsp;<span> </span>240 Supplies &amp; Materials<span> </span>$ 77,260<span> </span>250 Capital Outlay<span> </span>$ &nbsp;52,000<span> </span>270 Transfers<span> </span>$ &nbsp; &nbsp;2,500<span> </span> &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; TOTAL<span> </span> <span> </span>$1,236,429<span> </span><br />A1-1-C<span> </span>STREET LIGHTING<span> </span>230 Contractual Services<span> </span>$ &nbsp;30,000<span> </span>250 Capital Outlay<span> </span>$ &nbsp; &nbsp;8,000&nbsp;<span> </span>TOTAL<span> </span>$ &nbsp; &nbsp;38,000<br />TOTAL PROGRAM I - SECURITY OF PERSON AND PROPERTY &nbsp; &nbsp; &nbsp;<span> </span>$1,274,429 &nbsp;<span> </span>Program II - &nbsp;Public Health and Human Services<br />A1-2-B<span> </span>COUNTY HEALTH DISTRICT<span> </span>230 Contractual Services<span> </span>$ &nbsp;30,000<span> </span>TOTAL<span> </span>$ &nbsp; 30,000<span> </span><br />TOTAL PROGRAM II - PUBLIC HEALTH AND HUMAN SERVICES<span> </span>$ &nbsp; &nbsp; 30,000<br />Program III - Community Environment<br />A1-4-F<span> </span>COMMUNITY SERVICES<span> </span>230 Contractual Services<span> </span>$ &nbsp;63,000<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;12,000&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $ &nbsp;16,000<span> </span>270 Transfers<span> </span>$ &nbsp; &nbsp;5,000<span> </span>TOTAL <span> </span>$ &nbsp; 96,000<br />A1-4-X<span> </span>BUSINESS DEVELOPMENT&nbsp;<span> </span>230 Contractual Services &nbsp; &nbsp; &nbsp; $ &nbsp; 7,000<span> </span>TOTAL <span> </span>$ &nbsp; &nbsp; 7,000<br />TOTAL PROGRAM III - COMMUNITY ENVIRONMENT<span> </span>$ &nbsp;103,000<br />Program VI &nbsp;- Transportation<br />A1-6-A<span> </span>STREET CONSTRUCTION<span> </span>230 Contractual Services<span> </span>$ &nbsp;45,000&nbsp;<span> </span>250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $397,500<span> </span>260 Debt Service<span> </span>$ &nbsp;30,988<span> </span>270 Transfer &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$355,845<span> </span>TOTAL <span> </span> &nbsp; &nbsp; &nbsp;<span> </span>$ 829,333<br />A1-6-B<span> </span>STREET MAINTENANCE AND REPAIR&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>211 Salaries/Wages<span> </span>$429,870<span> </span>212 Employee Benefits<span> </span>$171,012<span> </span>230 Contractual Services <span> </span>$ &nbsp;50,500<span> </span>240 Supplies &amp; Materials &nbsp; &nbsp; &nbsp; $ &nbsp;24,500<span> </span>270 Transfers<span> </span>$ &nbsp;55,000<span> </span>TOTAL <span> </span>$ 730,882<span> </span><span> </span>A1-6-D<span> </span>STORM SEWERS AND DRAINS<span> </span>230 Contractual Services<span> </span>$ &nbsp;10,000240 Supplies &amp; Materials &nbsp; &nbsp; &nbsp; $ &nbsp;16,000250 Capital Outlay &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; $ &nbsp;10,000<span> </span>TOTAL<span> </span> <span> </span>$ &nbsp; 36,000<br />A1-6-G<span> </span>SIDEWALKS<span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;2,000<span> </span>250 Capital Outlay<span> </span>$ &nbsp;15,000<span> </span>&nbsp; &nbsp; &nbsp;<span> </span>TOTAL<span> </span>$ &nbsp; 17,000 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;<br />TOTAL PROGRAM VI - TRANSPORTATION<span> </span>$1,613,215<br />Program &nbsp;V - General Government<br />A1-7-A<span> </span>ADMINISTRATIVE OFFICES&nbsp;<span> </span>211 Salaries/Wages<span> </span>$243,073<span> </span>212 Employee Benefits<span> </span>$103,416230 Contractual Services <span> </span>$ &nbsp;37,500&nbsp;<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;17,000<span> </span>TOTAL<span> </span>$ 400,989<span> </span>A1-7-B<span> </span>LEGISLATIVE ACTIVITIES<span> </span>211 Salaries/Wages<span> </span>$ &nbsp; 4,200<span> </span>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>212 Employee Benefits<span> </span>$ &nbsp; &nbsp; &nbsp;733230 Contractual Services &nbsp; &nbsp; &nbsp;<span> </span>$ 30,500&nbsp;240 Supplies &amp; Materials<span> </span>$ &nbsp; 7,000&nbsp;<span> </span>TOTAL<span> </span> <span> </span>$ &nbsp; 42,433<br />A1-7-C<span> </span>MAYOR'S COURT<span> </span>211 Salaries/Wages<span> </span> &nbsp;<span> </span>$ &nbsp;46,141<span> </span>212 Employee Benefits<span> </span>$ &nbsp;19,929<span> </span>230 Contractual Services<span> </span>$ &nbsp;80,900<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;3,600<span> </span>TOTAL <span> </span> &nbsp;<span> </span>$ 150,570<br />A1-7-D<span> </span>INCOME TAX<span> </span>211 Salaries/Wages<span> </span>$ &nbsp;42,230<span> </span>212 Employee Benefits<span> </span>$ &nbsp;21,525<span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;7,300<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;27,000<span> </span>280 Refunds<span> </span> &nbsp; &nbsp; &nbsp;<span> </span>$ &nbsp;70,000<span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 168,055<br />A1-7-E<span> </span>LANDS &amp; BUILDINGS<span> </span>211 Salaries/Wages<span> </span>$ &nbsp;29,000<span> </span>212 Employee Benefits<span> </span>$ &nbsp; &nbsp;5,061<span> </span>230 Contractual Services<span> </span>$ &nbsp;86,200<span> </span>240 Supplies &amp; Material<span> </span>$ &nbsp;10,500<span> </span>250 Capital Outlay<span> </span>$ &nbsp;21,000<span> </span>&nbsp;<span> </span>270 Transfers<span> </span> &nbsp; &nbsp; <span> </span>$ &nbsp;10,000<span> </span><span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 161,761<span> </span>A1-7-F<span> </span>BOARDS &amp; COMMISSIONS<span> </span>211 Salaries/Wages<span> </span>$ &nbsp;95,061<span> </span>212 Employee Benefits<span> </span>$ &nbsp;40,187&nbsp; &nbsp; &nbsp; &nbsp;<span> </span>230 Contractual Services<span> </span>$ &nbsp;56,700&nbsp; &nbsp; &nbsp; <span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;9,500<span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp;3,000<span> </span>TOTAL <span> </span>$ 204,448<br />A1-7-G<span> </span>COUNTY AUDITOR &amp; TREASURERS' FEES<span> </span>230 Contractual Services<span> </span> $ 30,000<span> </span>TOTAL<span> </span> &nbsp; <span> </span> <span> </span>$ &nbsp; 30,000<br />A1-7-H<span> </span>TAX DELINQUENT LAND ADVERTISING<span> </span>230 Contractual Services<span> </span> $ &nbsp; 1,000<span> </span>TOTAL <span> </span>$ &nbsp; &nbsp; 1,000<br />A1-7-I<span> </span>STATE AUDITOR&rsquo;S FEES<span> </span>230 Contractual Services<span> </span> $ &nbsp; 0<span> </span>TOTAL<span> </span> &nbsp; &nbsp;<span> </span>$ &nbsp; &nbsp;0____ &nbsp; &nbsp; &nbsp;&nbsp;<br />A1-7-J<span> </span>ELECTION<span> </span>230 Contractual Services<span> </span> $ &nbsp; &nbsp;4,000<span> </span>TOTAL<span> </span> &nbsp;<span> </span> <span> </span>$ &nbsp; &nbsp; &nbsp;4,000&nbsp; &nbsp;&nbsp;A1-7-K<span> </span>LAW<span> </span>230 Contractual Services<span> </span>$ &nbsp;90,000<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp; &nbsp; 500<span> </span>TOTAL<span> </span>$ &nbsp;90,500<span> </span><br />TOTAL PROGRAM VII - GENERAL GOVERNMENT<span> </span>$1,253,756<span> </span>GRAND TOTAL GENERAL FUND APPROPRIATIONS <span> </span> &nbsp; &nbsp; &nbsp;$4,274,400<br /><br />Section III: &nbsp;That there be appropriated from the following SPECIAL REVENUE FUNDS:<br />B1-6-B<span> </span>STREET &amp; MAINTENANCE REPAIR<span> </span>230 Contractual Services<span> </span>$ &nbsp;27,000<span> </span> <span> </span>240 Supplies &amp; Materials<span> </span>$144,000<span> </span>TOTAL &nbsp;<span> </span>$ 171,000&nbsp;B2-6-B<span> </span>STATE HIGHWAY FUND&nbsp;<span> </span>230 Contractual Services<span> </span>$ &nbsp; &nbsp;9,000250 Capital Outlay<span> </span>$ &nbsp; &nbsp;4,000<span> </span>TOTAL<span> </span>$ &nbsp; 13,000</p>
<p>Section IV: &nbsp;That there be appropriated from the following OPERA HOUSE PARK IMPROVEMENT FUND:<br />B3<span> </span>OPERA HOUSE PARK IMPROVEMENT FUND<span> </span>230 Contractual Services<span> </span>$ &nbsp;39,109<span> </span>TOTAL<span> </span>$ &nbsp; 39,109 &nbsp;&nbsp;</p>
<p>Section V: &nbsp;That there be appropriated from the following BRYN DU FUND:<br />B4<span> </span>BRYN DU FUND<span> </span>230 Contractual Services<span> </span>$ &nbsp;25,000<span> </span>250 Capital Outlay<span> </span>$ &nbsp;50,000<span> </span>TOTAL<span> </span>$ &nbsp; 75,000 &nbsp;&nbsp;</p>
<p>Section VI: That there be appropriated from the following LAW ENFORCEMENT TRUST FUND:<br />B9<span> </span>LAW ENFORCEMENT TRUST FUND<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp; &nbsp; 500<span> </span>TOTAL<span> </span>$ &nbsp; &nbsp; &nbsp; &nbsp;500<br />B13<span> </span>LAW ENFORCEMENT &amp; EDUCATION FUND<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp; &nbsp;2,000<span> </span>TOTAL<span> </span>$ &nbsp; &nbsp; 2,000<br />GRAND TOTAL SPECIAL REVENUE FUND<span> </span>$ 300,609 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</p>
<p>Section VII: &nbsp;That there be appropriated from the following ENTERPRISE FUNDS: &nbsp;<br />E1- WATER FUND<br />E1-5-E<span> </span>PRODUCTION<span> </span>211 Salaries/Wages<span> </span>$199,684 &nbsp;&nbsp;<span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>$ &nbsp;80,845<span> </span>230 Contractual Services<span> </span>$209,500<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;93,600<span> </span>250 Capital Outlay<span> </span>$ &nbsp;80,000<span> </span><span> </span>260 Debt Service<span> </span>$ &nbsp;59,500<span> </span>270 Transfers<span> </span> <span> </span>$ &nbsp;38,000<span> </span>280 Refunds<span> </span> &nbsp; &nbsp;<span> </span>$ &nbsp; &nbsp; &nbsp; 500<span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 761,629 &nbsp; &nbsp;&nbsp;&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;E1-5-F<span> </span>WATER DISTRIBUTION<span> </span>211 Salaries/Wages<span> </span>$ &nbsp;51,154<span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>$ &nbsp;21,503&nbsp;<span> </span>230 Contractual Services<span> </span>$ &nbsp;32,000<span> </span> &nbsp;<span> </span><span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;44,000<span> </span>270 Transfers<span> </span> &nbsp;<span> </span>$ &nbsp; &nbsp;6,000TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ 154,657<span> </span><br />TOTAL FOR E-1 - WATER FUND APPROPRIATION <span> </span>$ 916,286<br />E2 - SEWAGE &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<br />E2-5-G<span> </span>SEWAGE TREATMENT<span> </span>211 Salaries/Wages<span> </span> &nbsp; <span> </span>$ &nbsp;81,806<span> </span>212 Employee Benefits<span> </span>$ &nbsp;35,625<span> </span>230 Contractual Services<span> </span>$247,600<span> </span> <span> </span><span> </span>240 Supplies &amp; Material<span> </span>$ &nbsp;76,000<span> </span>250 Capital Outlay<span> </span>$ &nbsp;25,000<span> </span>&nbsp;<span> </span>260 Debt Service<span> </span>$ &nbsp;32,000<span> </span>270 Transfers<span> </span>$101,000<span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp; &nbsp; 500<span> </span>TOTAL <span> </span>$ 599,531<br />E2-5-H<span> </span>SEWAGE COLLECTION<span> </span>211 Salaries \ Wages<span> </span>$ &nbsp;40,129&nbsp; &nbsp;<span> </span>212 Employee Benefits &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$ &nbsp;14,000<span> </span>230 Contractual Services<span> </span>$ &nbsp;67,000<span> </span>&nbsp;<span> </span>240 Supplies &amp; Materials<span> </span>$ &nbsp;37,500<span> </span>270 Transfers<span> </span> &nbsp;<span> </span>$ &nbsp;12,000<span> </span>TOTAL<span> </span> <span> </span>$ 170,629TOTAL FOR E2 SEWER FUND APPROPRIATIONS<span> </span>$ 770,160<br />E8<span> </span>REFUSE COLLECTION FUND<span> </span>230 Contractual Service<span> </span>$212,000280 Refunds<span> </span>$ &nbsp; &nbsp; &nbsp; 500TOTAL<span> </span>$ 212,500<br />E91<span> </span> WATER CAPITAL IMPROVEMENTS FUND<span> </span>250 Capital Outlay<span> </span>$ &nbsp; &nbsp; &nbsp; &nbsp;0<span> </span>280 Refunds<span> </span>$ &nbsp; &nbsp;3,000 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>TOTAL<span> </span>$ &nbsp; &nbsp;3 ,000<br />C-3<span> </span>SEWER REPLACEMENT &amp; IMPROVEMENT FUND<span> </span>250 Capital Outlay<span> </span>$ 80,000<span> </span>TOTAL<span> </span>$ &nbsp; 80,000<span> </span><span> </span>GRAND TOTAL ENTERPRISE FUNDS:<span> </span> &nbsp; &nbsp;$1,981,946</p>
<p>Section VIII: &nbsp;That there be appropriated from the INTERNAL SERVICE FUND:<span> </span><br />B16<span> </span>FEMA FUND<span> </span>270 Transfers<span> </span>$111,536TOTAL<span> </span>$ 111,536<br />A7-6-B<span> </span>PATHWAY RESERVE FUND<span> </span>250 Capital Outlay<span> </span>$ 46,000TOTAL<span> </span>$ &nbsp; 46,000<br />A8-6-B<span> </span>CAPITAL PROJECT RESERVE FUND<span> </span>250 Capital Outlay<span> </span>$104,000270 Transfers<span> </span>$ &nbsp;25,000TOTAL<span> </span>$ 129,000<span> </span>F2 <span> </span>EQUIPMENT RESERVE FUND<span> </span>250 Capital Outlay<span> </span>$ &nbsp;82,750<span> </span>TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span> </span>$ &nbsp; 82,750&nbsp;&nbsp;GRAND TOTAL INTERNAL SERVICE FUNDS<span> </span> &nbsp; &nbsp;$ 369,286</p>
<p>Section IX: &nbsp;That there be appropriated from the SPECIAL ASSESSMENT FUND:&nbsp;H1-1 <span> </span>EAST WATERLINEH1-1-A<span> </span>Incidental Expenses<span> </span>$ &nbsp; 1,000H1-1-B<span> </span>Principal<span> </span>$ &nbsp;18,375H1-1-C<span> </span>Interest<span> </span> &nbsp;<span> </span>$ &nbsp; 1,060&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;TOTAL <span> </span>$ &nbsp;20,435<span> </span>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; <span> </span>H4-4<span> </span>WESTGATE SEWERH4-4-A<span> </span>Incidental Expenses<span> </span>$ &nbsp; &nbsp;700H4-4-B<span> </span>Principal<span> </span>$ &nbsp;5,500H4-4-C<span> </span>Interest<span> </span> &nbsp;<span> </span>$ &nbsp;1,150&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;TOTAL &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;$ &nbsp;7,350<br />GRAND TOTAL SPECIAL ASSESSMENT FUNDS <span> </span>$ &nbsp; 27,785</p>
<p>Section X: &nbsp;Sums expected from the above appropriation which are proper charges against any other department or against any firm, person, or corporation, if repaid within the period covered by such appropriation, shall be considered re-appropriated for such original purposes, provided that the net total of the expenditures under any appropriation shall not exceed the original total.</p>
<p>Section XI: That this ordinance therefore shall become effective as of January 1, 2013, for the purpose of effecting expenditures within the limitations herein set forth, during the fiscal year extending from that date to December 31, 2013. This appropriation ordinance shall become effective as provided in Section 6.07, Article VI of the Charter of the Village of Granville, Ohio, and shall take effect and be in force from and after the earliest date allowed by law.</p>
<p>Passed this 5th day of December, 2012.</p>
<p>&nbsp;</p>]]></content></entry><entry><title>Ordinance No. 21-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/11/7/ordinance-no-21-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/11/7/ordinance-no-21-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-11-08T00:16:30Z</published><updated>2012-11-08T00:16:30Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 21&ndash; 2012</strong><span style="color: #4f81bd;">&nbsp;</span></p>
<p><strong>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; AN ORDINANCE TO AMEND SECTION 521.06 OF THE CODIFIED ORDINANCES OF GRANVILLE REGARDING THE REMOVAL OF SNOW AND ICE FROM SIDEWALKS</strong><span style="color: #4f81bd;">&nbsp;</span></p>
<p>WHEREAS, the availability of walkable sidewalks is essential to the public health, safety and welfare of the Village of Granville; and&nbsp;</p>
<p>WHEREAS, the Comprehensive Plan encourages improving the walkability of the Village to mitigate traffic, encourage environmental sustainability, safe routes to school and the overall quality of Village life; and&nbsp;</p>
<p>WHEREAS, accumulations of snow and ice that make pedestrian use of sidewalks difficult or impassable present risks to the public health, safety and welfare, and constitute a public nuisance; and&nbsp;</p>
<p>WHEREAS, the Council of the Village of Granville, Ohio, has determined that it is necessary to update the General Offenses Code of the Village in order to better serve the general health, safety, and welfare of the citizens of the Village regarding the removal of snow and ice from Village sidewalks.&nbsp;</p>
<p>NOW THEREFORE BE IT ORDAINED by the Council of the Village of Granville,  Ohio, that:<span style="color: #4f81bd;">&nbsp;</span></p>
<p>Section 1:&nbsp;&nbsp;&nbsp; Existing section 521.06 is hereby amended as follows:&nbsp;</p>
<p>521.06&nbsp; DUTY TO KEEP SIDEWALKS IN REPAIR AND CLEAN.</p>
<p>(a)&nbsp; The owner, occupant or person having the care of any building or lot of land bordering on any street with graded or paved sidewalk shall remove and clear away all snow in excess of two (2) inches within twenty-four (24) hours after the snow ceases to fall. This provision shall include snow or ice falling from any building.</p>
<p>Whenever such sidewalk or any part thereof becomes encumbered with ice, the owner, occupant or person in control shall cause such sidewalk to be made safe by removing such ice or sprinkling the same with sand or other suitable substance within twenty-four (24) hours.&nbsp; (1970 Code '94.11)</p>
<p>(b)&nbsp; It shall be the duty of every owner of any lot or parcel of land situated within the corporate limits of the Municipality to keep and maintain sidewalks now or hereafter constructed along all streets adjoining such land in good order and free from nuisance. (1970 Code '94.12) The repair, maintenance and replacement of Village sidewalks are further outlined in Chapter 905 of the Village Code.</p>
<p>(c)&nbsp; Depositing snow and ice onto public property including streets and sidewalks is prohibited.&nbsp;</p>
<p>(d)&nbsp; Whoever violates this section is guilty of a minor misdemeanor.<span style="color: #4f81bd;">&nbsp;</span></p>
<p>Section 2:&nbsp;&nbsp;&nbsp; This Ordinance shall become effective upon the earliest date allowed by</p>
<p>the laws of the State of Ohio and the Charter of the Village of Granville.<span style="color: #4f81bd;">&nbsp;</span></p>
<p>Passed this 7<sup>th</sup> day of November, 2012.</p>
<p>&nbsp;</p>]]></content></entry><entry><title>Ordinance No. 20-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/10/17/ordinance-no-20-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/10/17/ordinance-no-20-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-10-18T01:28:05Z</published><updated>2012-10-18T01:28:05Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 20-2012</strong></p>
<p>&nbsp;</p>
<p><strong>AN ORDINANCE TO AUTHORIZE THE VILLAGE MANAGER TO ENTER INTO A LEASE AGREEMENT WITH READERS&rsquo; GARDEN FOR THE LEASE OF A PORTION OF VILLAGE HALL, 141 EAST BROADWAY</strong>&nbsp;</p>
<p>WHEREAS, the Village of Granville desires to renew a lease agreement with Readers&rsquo; Garden located in Village Hall at 141 East Broadway; and&nbsp;</p>
<p>WHEREAS, Council has determined that the lease agreement shall be for a period beginning on October 1, 2012 and ending on December 31, 2015 with options to extend the term of the lease; and&nbsp;</p>
<p>&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; BE IT ORDAINED by the Council of the Village of Granville,  Ohio that:&nbsp;</p>
<p>Section 1. The Village Manager be, and hereby is, authorized to enter into a certain lease agreement with Readers&rsquo; Garden for space in Village Hall at 141 East Broadway.&nbsp;</p>
<p>Section 2. The lease agreement is attached hereto, marked as Exhibit A, and is made a part hereof.</p>
<p>&nbsp;</p>
<p>Section 3. This Ordinance shall take effect and be in force from and after the earliest period allowed by law.&nbsp;</p>
<p>Passed this 17<sup>th</sup> day of October, 2012.</p>
<p><a href="http://www.granville.oh.us/storage/ordinances/2012/Ord%2020-12%20Readers%20Garden%20Lease%20Agreement.pdf">Lease Agreement</a></p>]]></content></entry><entry><title>Ordinance No. 19-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/9/6/ordinance-no-19-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/9/6/ordinance-no-19-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-09-06T15:34:10Z</published><updated>2012-09-06T15:34:10Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>Ordinance No. 19-2012</strong></p>
<p>&nbsp;</p>
<p><strong>AN ORDINANCE TO AMEND ORDINANCE NO. 37-11 PROVIDING FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL YEAR 2012 AND REVISING SUMS FOR OPERATING EXPENSES</strong></p>
<p>WHEREAS, pursuant to the provisions of Section 2.08 of Article II of the Charter of the Village of Granville, Ohio, the Village Council is authorized to adopt the municipal budget for the fiscal year beginning January 1, 2012 and ending December 31, 2012, and;&nbsp;</p>
<p>WHEREAS, adjustments to the annual appropriation ordinance are necessary to account for the additional expenditures as follows:&nbsp;</p>
<ol>
<li>General Fund - $22,500 &ndash; for Supplies &amp; Materials&nbsp;</li>
</ol>
<p>NOW, THEREFORE, be it ordained by the Council of Granville,  Ohio that:&nbsp;</p>
<p>Section I:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The annual budget of the Village  of Granville, as established by Ordinance No.37-11, shall be amended by the Council, as recommended by the Manager, and is hereby adopted.&nbsp;</p>
<p>Section II:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; To provide for operating expenditures during the fiscal year ending December 31, 2012, the following additional appropriations are hereby made to the General Fund:</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; <span style="text-decoration: underline;">Account</span> &nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Description</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Additional Appropriation</span></p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; A1-7-E-250&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Capital Outlay &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $54,000.00</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Lands &amp; Buildings&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; A1-7-A-240&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Supplies &amp; Materials&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $22,505.00</p>
<p>Section III:&nbsp;&nbsp;&nbsp;&nbsp; To provide for capital expenditures during the fiscal year ending December 31, 2012, the following additional appropriations are hereby made in the Capital Project Reserve Fund:</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; <span style="text-decoration: underline;">Account</span> &nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Description</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Additional Appropriation</span></p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; A8-6-B-250&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Capital Outlay&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $10,000.00</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Capital Project Reserve Fund&nbsp;</p>
<p>Section IV:&nbsp;&nbsp;&nbsp;&nbsp; To provide for operating expenditures during the fiscal year ending December 31, 2012, the following additional appropriations are hereby made in the Waste Water Funds:</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Account</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Description</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Additional Appropriation</span></p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; E2-5-G-230&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;  &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Contractual Services &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $30,000.00</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Waste Water Treatment&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; E2-5-H-211&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Salaries &amp; Wages&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $10,000.00</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Waste Water Collection</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; E2-5-H-230&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Contractual Services&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; $15,000.00</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Waste Water Collection&nbsp;</p>
<p>Section III:&nbsp;&nbsp;&nbsp;&nbsp; This ordinance shall take effect and be in full force upon the earliest date allowed by law.&nbsp;&nbsp;</p>
<p>Passed this 5<sup>th</sup> day of September, 2012.</p>
<p>&nbsp;</p>]]></content></entry><entry><title>Ordinance No. 18-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-18-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-18-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T19:07:04Z</published><updated>2012-08-03T19:07:04Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 18-2012</strong><strong>&nbsp;</strong></p>
<p><strong>AN ORDINANCE ASSUMING MAINTENANCE RESPONSIBILITY FOR THE FULL WIDTH OF WEAVER ROAD AND COLUMBUS ROAD UPON ANNEXATION OF CERTAIN TERRITORY IN THE TOWNSHIP OF GRANVILLE TO THE VILLAGE OF GRANVILLE, AGREEING TO COOPERATE IN THE MAINTENANCE OF SAID ROADWAYS, AND INDEMNIFYING THE TOWNSHIP OF GRANVILLE AND LICKING COUNTY</strong><strong>&nbsp;</strong></p>
<p>WHEREAS, owners of real property located in Granville Township have expressed a desire to annex into the Village of Granville corporate limits and will file a petition for annexation with the Licking County Commissioners; and&nbsp;</p>
<p>WHEREAS, as a condition of annexation, RC &sect; 709.033(A)(6) requires the annexing municipal corporation to assume maintenance responsibility of any and all highways or streets that will be segmented or divided by such annexation; and&nbsp;</p>
<p>WHEREAS, the Village shall be responsible for all areas associated with Columbus Road and Weaver Drive, the exception being the bridge, and all related structures, over Raccoon Creek on Columbus Road where the Village shall provide snowplowing and all other maintenance shall be provided by the Licking County Engineer's office; and&nbsp;</p>
<p>WHEREAS, the Licking County&rsquo;s Annexation Policies and Procedures handbook requires the filing of the Highway Maintenance Ordinance in support of a petition for annexation under the &ldquo;Expedited Type I&rdquo; annexation procedure; and</p>
<p>WHEREAS, the proposed annexation will segment Weaver Road and a portion of Columbus Road from the existing Village corporation limits to Weaver Road; and&nbsp;</p>
<p>WHEREAS, Council of the Village of Granville has determined that it has the necessary resources to maintain such roads upon annexation of the proposed territory into the Village of Granville.&nbsp;</p>
<p>NOW, THEREFORE, BE IT ORDAINED BY COUNCIL OF THE VILLAGE OF GRANVILLE, COUNTY OF LICKING, STATE OF OHIO, TWO-THIRDS OF ITS MEMBERS CONCURRING, THAT:<strong>&nbsp;</strong></p>
<p><span style="text-decoration: underline;">Section 1</span>. The Village of Granville hereby agrees it will assume maintenance responsibility, except for the bridge and all related structures over Raccoon Creek, including, but not limited to, paving, striping, drainage, installation and maintenance of traffic control devices, and snow removal, of the full width of Columbus Road from the existing Village of Granville corporate boundaries as shown on the map attached as Exhibit A.&nbsp;</p>
<p><span style="text-decoration: underline;">Section 2</span>.&nbsp; The Village of Granville hereby agrees it will assume maintenance responsibility, including, but not limited to, paving, striping, drainage, installation and maintenance of traffic control devices, and snow removal, of the full width of Weaver Road as shown on the map attached as Exhibit A.&nbsp;</p>
<p><span style="text-decoration: underline;">Section 3</span>. The maintenance responsibilities assumed by the Village of Granville in Sections 1 and 2 above shall commence from and after the effective date of the annexation.&nbsp;</p>
<p><span style="text-decoration: underline;">Section 4</span>.&nbsp; The Village of Granville hereby agrees to cooperate with the Granville Township Board of Trustees and Licking  County with regard to the maintenance of the above-referenced roadways to assure that those roadways are maintained in a manner that is in the best interest of both Village and Township residents and in an economically efficient manner&nbsp;for both the Village, the Township and Licking County.&nbsp;</p>
<p><span style="text-decoration: underline;">Section 5</span>.&nbsp; The Village of Granville hereby agrees to indemnify and hold harmless Granville Township and Licking County and their employees [as defined in R.C. 2744.01(B)] from any and all suits, claims, demands, costs, damages, attorneys fees, charges, liabilities and expenses whatsoever which Granville and Licking County may at any time sustain or incur or become liable for by reason of or in consequence of injury or death to person or property arising from said Village&rsquo;s maintenance of, or failure to properly maintain Columbus Road and Weaver Road, as shown on the map attached as Exhibit A.&nbsp;</p>
<p><span style="text-decoration: underline;">Section 6</span>.&nbsp; This ordinance shall take effect and be in full force from and after the earliest period allowed by law.&nbsp;</p>
<p>Passed this 1<sup>st</sup> day of August, 2012</p>]]></content></entry><entry><title>Ordinance No. 17-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-17-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-17-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T19:02:47Z</published><updated>2012-08-03T19:02:47Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 17-2012</strong>&nbsp;</p>
<p><strong>AN ORDINANCE TO AMEND SECTIONS 1171.03 AND 1189.13 OF THE CODIFIED ORDINANCES OF THE VILLAGE OF GRANVILLE, OHIO</strong>&nbsp;</p>
<p>WHEREAS, the Council of the Village of Granville, Ohio, has determined that it is necessary to amend the Zoning Code of the Village in order to protect the general health, safety, and welfare of the citizens of the Village.&nbsp;</p>
<p>NOW, THEREFORE, BE IT ORDAINED by the Council of the Village of Granville, Ohio that:</p>
<p><span style="text-decoration: underline;">Section 1</span>.&nbsp; Existing Sections 1171.03 and 1189.13 are hereby amended as follows:&nbsp;</p>
<p><strong>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1171.03 DEVELOPMENT AND DESIGN GUIDELINES.</strong></p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (a) &nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Planned Development District Lot Guidelines: Minimum Yards.</span></p>
<p>&nbsp;</p>
<p>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<span style="text-decoration: underline;">MINIMUM YARDS</span>&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp; &nbsp;&nbsp;&nbsp;Frontage &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; Min.</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Min &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; To A &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;Total &nbsp; &nbsp; &nbsp; &nbsp; Rear &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Max</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Lot &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; Public &nbsp;Set &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Backs &nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Side &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Set- &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;Bldg &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; Max</p>
<p>Zoning &nbsp;&nbsp;&nbsp;&nbsp; Area &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Row &nbsp;&nbsp; Front &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Side &nbsp; &nbsp; &nbsp; &nbsp; Yard &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Back &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Lot &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Height</p>
<p><span style="text-decoration: underline;">District </span>&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">(Sq. Ft.)</span>&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">(Feet)</span>&nbsp; <span style="text-decoration: underline;">(Feet)</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">(Feet)</span>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<span style="text-decoration: underline;">(Feet)</span>&nbsp; &nbsp; &nbsp; &nbsp;<span style="text-decoration: underline;">(Feet) </span>&nbsp; &nbsp;&nbsp;<span style="text-decoration: underline;">Coverage </span>&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">(Feet)</span></p>
<p>PUD &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; * &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;* &nbsp; &nbsp; &nbsp; &nbsp;35 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;14 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;30 &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;50 &nbsp; &nbsp; &nbsp; &nbsp; 20% &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;35</p>
<p>PID &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; * &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;350 &nbsp; &nbsp; &nbsp;40 &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; none &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;none &nbsp; &nbsp; &nbsp; 35% &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;35</p>
<p>PCD &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;* &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;125 &nbsp; &nbsp; &nbsp;30&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; 15 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;none &nbsp; &nbsp; &nbsp; 40%&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &nbsp; &nbsp;&nbsp;&nbsp; <strong>&nbsp;</strong>See (b)(3) below</p>
<p>&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; * Minimum lot area requirements shall be determined by the Planning Commission upon conditions of the proposed development of the land and the requirements established herein for each development.&nbsp;&nbsp; In measuring lot coverage, all buildings and other covered areas, such as parking areas, sidewalks, loading areas, driveways and driveway areas, shall be included.</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (1)&nbsp;&nbsp;&nbsp; There must be sufficient lot area and width to meet all parking and yard requirements.</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (2) &nbsp;&nbsp; Planned Unit District (PUD) when abutting another district, no structure shall be closer than thirty-five feet and no parking area or access drive shall be closer than fifteen feet to a side lot line.</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (3) &nbsp;&nbsp; Planned Industrial District (PID) when abutting another district, no structure shall be closer than fifty feet and no parking area, loading area or access drive shall be closer than fifteen feet to the rear lot line.</p>
<p>&nbsp; &nbsp; &nbsp; (4) &nbsp;&nbsp; Parking areas shall be no closer to the main structure(s) than ten feet.</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (5)&nbsp;&nbsp;&nbsp; Planned Unit District (PUD) parking and accessory building standards shall be as follows:</p>
<p>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;a.&nbsp;&nbsp; No driveway or parking area shall be within five feet of a side lot line;&nbsp;or ten feet for multi-family dwellings.</p>
<p><strong><span style="color: red;">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;</span></strong>b.&nbsp;&nbsp; No driveways or parking areas shall be within ten feet of a rear lot&nbsp;line.</p>
<p>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;c.&nbsp;&nbsp; For accessory buildings, such as detached garages:&nbsp; minimum yard&nbsp;requirements shall be the same as required for main structures,except in all cases the minimum distance between an accessory&nbsp;building and the rear property line shall be fifteen feet.</p>
<p>&nbsp; (6)&nbsp;&nbsp;&nbsp;&nbsp; The gross maximum density in a PUD development shall be as follows:</p>
<p>a.&nbsp;&nbsp; <span style="text-decoration: underline;">Single-family residential</span>: one (1) dwelling units per acre.</p>
<p>b.&nbsp;&nbsp; <span style="text-decoration: underline;">Two-family and multi-family residential</span>: five (5) dwelling units per acre.&nbsp;</p>
<p>&nbsp;</p>
<p><strong>1189.13 GENERAL PERMIT PROCEDURES.</strong>&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The following procedures shall govern the application for, and the issuance of, all sign permits under this chapter, and the submission and review of a Master or Common Signage Plan.</p>
<p>(1)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Applications.</span> All applications for the sign permits of any kind and for approval of a Master Signage Plan shall be submitted to the Village Planner on an application form with the application specifications and materials as published by the Planning and Zoning Office.</p>
<p>(2)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Fees.</span> Each application for a sign permit or for approval of a Master Signage Plan shall be accompanied by the applicable fees, which shall be established by the Village Council from time to time by ordinance.</p>
<p>(3)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Completeness.</span> Within seven days of receiving an application for a sign permit or a Master Signage Plan, the Village Planner shall review it for completeness. If the Planner finds that it is complete, the applications shall then be processed. If the Planner finds it incomplete, the Planner shall, within such seven-day period, send the applicant a notice of the specific ways in which the application is deficient, with appropriate reference to the applicable sections of this chapter.</p>
<p>(4)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Submission Requirements</span>. The following materials must be included with the completed application forms. Examples are available from the Planning and Zoning Office.</p>
<p class="Level3">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;(a)&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Site plan.</span> A site plan drawn to an appropriate scale which shows the proposed location of the sign as well as all other significant site features such as rights of way, topography, existing vegetation, and adjacent buildings and properties which may be affected by the proposal.</p>
<p class="Level3">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;(b)&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Elevation.</span> An elevation of the proposed sign and its mounting system that includes an accurate rendering of the proposed graphic design, typography, color, and materials used for construction. For window, wall or building signs this drawing should include a complete elevation of the building face on which the sign will be attached.</p>
<p class="Level1">(5)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Action.</span> After processing a complete application, the Village Planner will submit the application to the Planning Commission for review at its next available meeting. This review will be scheduled as the Planning Commission agenda will allow, but action must be taken within forty-five days of the acceptance of the completed application, unless the applicant requests a delay.</p>
<p>(6)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <span style="text-decoration: underline;">Appeal.</span> Any party aggrieved or affected by a decision of the Planning Commission involving a sign application may appeal to Council. The appeal shall follow the procedures established in Chapter 1137. Such appeal shall be submitted to the Village Clerk no later than ten days after the decision of the Commission is filed with the Village Clerk or sent to the applicant by personal service or ordinary mail, postage prepaid, return receipt requested, whichever shall last occur.&nbsp;</p>
<p><span style="text-decoration: underline;"><span style="color: black;">Section 2</span></span><span style="color: black;">.&nbsp; That all previous existing sections inconsistent with the revisions above are hereby repealed.</span><span style="color: black;">&nbsp;</span></p>
<p><span style="text-decoration: underline;"><span style="color: black;">Section 3</span></span><span style="color: black;">.&nbsp; This ordinance shall become effective upon the earliest date allowed by the laws of the State of Ohio and the Charter of the Village of Granville.</span><span style="color: black;">&nbsp;</span></p>
<p><span style="color: black;">Passed this 1<sup>st</sup> day of August, 2012.</span></p>
<p><span style="color: black;">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</span></p>]]></content></entry><entry><title>Ordinance No. 16-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-16-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-16-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T19:01:42Z</published><updated>2012-08-03T19:01:42Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 16-2012</strong>&nbsp;</p>
<p><strong>AN ORDINANCE TO AUTHORIZE THE VILLAGE MANAGER TO EXECUTE A CONTRACT PROVIDING FOR THE SALE OF WATER TO OWENS CORNING SALES, LLC</strong>&nbsp;</p>
<p>WHEREAS, the Village of Granville has an established policy of not providing water utility services to any property located outside of the corporate boundaries of the Village, and it hereby restates that policy; and&nbsp;</p>
<p>WHEREAS, Village Council is committed to not providing water services outside the Village limits to stimulate or encourage development that would adversely impact the economic vitality and quality of life of the community, and the proposed water contract would be consistent with that commitment; and&nbsp;</p>
<p>WHEREAS, the Owens Corning Sales LLC has requested that the Village of Granville continue to provide water to Owens Corning Sales LLC as it is in the best interest of their business to execute a new water service contract; and&nbsp;</p>
<p>WHEREAS, the Village of Granville presently has ample water services to continue to provide water to Owens Corning Sales LLC; and&nbsp;</p>
<p>WHEREAS, the Village of Granville has proposed a contract to be entered into between Owens Corning Sales LLC and the Village of Granville from January 1, 2012 through December 31, 2016; and&nbsp;</p>
<p>WHEREAS, the Village Council hereby finds and determines that it is in the best interest of Granville to continue to extend water services to Owens Corning Sales LLC.&nbsp;</p>
<p>NOW, THEREFORE, BE IT ORDAINED by the Council of the Village of Granville, Licking   County, Ohio that:&nbsp;</p>
<p>Section 1. The Village Manager is hereby authorized to sign a water service agreement between the Village of Granville and Owens Corning Sales LLC, a copy of which is attached hereto as Exhibit &ldquo;A&rdquo; and made a part hereof.&nbsp;</p>
<p>Section 2.&nbsp; The Village Manager is hereby authorized to execute the agreement and to take whatever actions are necessary to implement the terms and conditions of the agreement.<span style="color: red;">&nbsp;</span></p>
<p><span style="color: black;">Section 3.&nbsp; This ordinance shall become effective upon the earliest date allowed by the laws of the State of Ohio and the Charter of the Village of Granville.</span><span style="color: black;">&nbsp;</span></p>
<p><span style="color: black;">Passed this 1<sup>st</sup> day of August, 2012.</span></p>
<p><span style="color: black;"><a href="http://www.granville.oh.us/storage/ordinances/2012/Ord%2016-12%20Owens%20Corning%20Water%20Agreement.pdf">Exhibit A&nbsp;</a></span></p>]]></content></entry><entry><title>Ordinance No. 15-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-15-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-15-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T19:01:00Z</published><updated>2012-08-03T19:01:00Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 15&ndash; 2012</strong></p>
<p><strong>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; AN ORDINANCE TO AMEND SECTION 529.07 OF THE CODIFIED ORDINANCES OF GRANVILLE</strong><span style="color: #4f81bd;">&nbsp;</span></p>
<p>WHEREAS, events are held at the Bryn Du Mansion and other public facilities that are open to the public, thereby constituting a &ldquo;public place&rdquo; under Granville Ordinance 529.07(b)(3); and&nbsp;</p>
<p>WHEREAS, under the current Granville Ordinances, no person shall have in their possession an opened container of beer or intoxicating liquor in a public place; and&nbsp;</p>
<p>WHEREAS, there may be events where the Village intends for the legal possession, sale, and consumption of alcohol at the Bryn Du Mansion and other public facilities; and&nbsp;</p>
<p>WHEREAS, the Council of the Village of Granville, Ohio, has determined that it is necessary to update the General Offenses Code of the Village in order to better serve the general health, safety, and welfare of the citizens of the Village.</p>
<p>NOW THEREFORE BE IT ORDAINED by the Council of the Village of Granville,  Ohio, that:</p>
<p>Section 1:&nbsp;&nbsp;&nbsp; Existing section 529.07(b)(3) is hereby amended as follows:</p>
<p><span style="text-decoration: underline;">General Offenses Code</span></p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 529.07 OPEN CONTAINER PROHIBITED.&nbsp;</p>
<p>(b)(3)&nbsp;&nbsp;&nbsp; In any other public place, except when possession, sale, or consumption at certain public facilities is permitted by written authorization from the Village Manager;<span style="color: #4f81bd;">&nbsp;</span></p>
<p>Section 2:&nbsp;&nbsp;&nbsp; This Ordinance shall become effective upon the earliest date allowed by the laws of the State of Ohio and the Charter of the Village   of Granville.<span style="color: #4f81bd;">&nbsp;</span></p>
<p>Passed this 1<sup>st</sup> day of August, 2012.</p>]]></content></entry><entry><title>Ordinance No. 14-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-14-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-14-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T18:58:54Z</published><updated>2012-08-03T18:58:54Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 14-2012</strong><strong>&nbsp;</strong></p>
<p><strong>AN ORDINANCE TO AUTHORIZE THE VILLAGE MANAGER TO AMEND A LEASE AGREEMENT WITH BREWS AND BLUES HOLDING, LLC FOR A STAIRWAY LOCATED ON VILLAGE PROPERTY</strong>&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, Brews and Blues Holding, LLC is desirous of amending a lease for a stairway located at 116 East Broadway, Granville, Ohio; and&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, The Village of Granville and Brews and Blues Holding, LLC have negotiated a lease agreement for said premises; and&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, Council finds that said lease agreement is in the best interests of the Village of Granville.&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; NOW THEREFORE BE IT ORDAINED by the Council of Granville, Ohio, that: &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Section 1.&nbsp; Council hereby authorizes the Village Manager to execute the Lease Agreement with Brews and Blues Holding, LLC attached hereto, identified as Exhibit A, to amend the lease agreement for a stairway located at 116 Broadway on the terms and conditions specified in Exhibit A.&nbsp;</p>
<p>Section 2: This Ordinance shall take effect and be in full force from and after the earliest date permitted by law.&nbsp;</p>
<p>Passed this 1<sup>st</sup> day of August, 2012.</p>
<p><a href="http://www.granville.oh.us/storage/ordinances/2012/Ord%2014-12%20Brews%20Stairway%20Lease%20Agreement.pdf">Exhibit A</a></p>]]></content></entry><entry><title>Ordinance No. 13-2012</title><id>http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-13-2012.html</id><link rel="alternate" type="text/html" href="http://www.granville.oh.us/ordinances-2012/2012/8/3/ordinance-no-13-2012.html"/><author><name>GranvilleVillage</name></author><published>2012-08-03T18:53:45Z</published><updated>2012-08-03T18:53:45Z</updated><content type="html" xml:lang="en-US"><![CDATA[<p><strong>ORDINANCE NO. 13-2012</strong>&nbsp;</p>
<p><strong>AN ORDINANCE TO AUTHORIZE THE VILLAGE MANAGER TO AMEND THE LEASE AGREEMENT WITH BREWS AND BLUES HOLDING, LLC REGARDING THE UNOCCUPIED AIR SPACE ABOVE THE PORCH ON 116 EAST BROADWAY</strong>.&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, Brews and Blues Holding, LLC is desirous of amending the lease for the unoccupied air space above the porch on the Southside of 116 East Broadway, Granville, Ohio; and&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, The Village of Granville and Brews and Blues Holding, LLC have negotiated an amended lease agreement for said premises; and&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; WHEREAS, Council finds that said lease agreement is in the best interests of the Village of Granville.&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; NOW THEREFORE BE IT ORDAINED by the Council of Granville, Ohio, that: &nbsp; &nbsp; &nbsp; &nbsp;&nbsp;</p>
<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Section 1.&nbsp; Council hereby authorizes the Village Manager to amend the Lease Agreement with Brews and Blues Holding, LLC attached hereto, identified as Exhibit A, for the lease of the unoccupied air space above the porch on the southside of 116 East Broadway, Granville, Ohio premises, on the terms and conditions specified in Exhibit A.&nbsp;</p>
<p>Section 2: This Ordinance shall take effect and be in full force from and after the earliest date permitted by law.&nbsp;</p>
<p>Passed this 1<sup>st</sup> day of August, 2012.</p>
<p><a href="http://www.granville.oh.us/storage/ordinances/2012/Ord%2013-12%20Brews%20Porch%20Lease%20Agreement.pdf">Exhibit A</a>&nbsp;</p>]]></content></entry></feed>