Granville Community Calendar

Ordinance 38-1982

Bartlett
AN ORDINANCE TO AMEND ORDINANCE NO. 25-81 PROVIDING FOR ADJUSTMENTS
OF THE ANNUAL BUDGET FOR THE FISCAL YEAR 1982 AND REVISING SUMS FOR
OPERATING EXPENSES.
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, 1982
and ending December 31, 1982, and
WHEREAS, the Manager has recommended appropriations to supplement viously made appropriations, prethat:
Section
Section
NOW, THEREFORE, be it ordained by the Council of Granville, Ohio,
Account Number
Al-1-C-230
Al-2-8-230
Al-6-8-212
Al-7-A-230
Al-7-C-212
Al-7-D-212
Al-7-G-230
Al-7-K-230
Section III:
Account Number
81-6-8-240
The annual budget of the Village of Granville, as
established by Ordinance No. 25-81, be amended by
the Council, as recommended by the Manager, and is
hereby adopted.
To provide operating expenditures for the General
Fund during the fiscal year ending December 31, 1982,
the following appropriations are hereby made in the
General Fund:
Account
Street Lighting-Contractual Services
County Health District-Contractual
Services
Street Maintenance-Personal Services/
Employee Benefits
Administration-Contractual Services
Mayor' s Court-Personal Services/
Employee Benefits
Income Tax-Personal Services/ Employee
Benefits
County Auditor &Treasurer' s Fees-
Contractual Services
Law-Contractual Services
To provide operating expenditures for the Street
Fund during the fiscal year ending
December 31, 1982, the following appropriation
is hereby made in the Street Fund:
Account
Street Maintenance &Repair-Supplies & Materials
Add
130
270
1,500
100
200
110
Add
1, 125
ORDINANCE NO. 38-82
BY
I:
II:
105
30
1
1
Ordinance No. 38-82
Page 2 of 2
Section
Account Number
El-5-E-211
El-5-E-230
El-5-E-240
El-5-F-240
Section
Account Number
E2-5-G-211
E2-5-G-212
Section
Account Number
Hl-2
Section VII:
Passed this
To provide operating expenditures for the Water
System operation during the fiscal year ending
December 31, 1982, the following appropriation
is hereby made in the Water Fund:
Account
Water Pumping-Salaries &Wages/
Personal Services
Water Pumping-Contractual Services
Water Pumping-Supplies &Materials
Water Distribution-Supplies &Materials
To provide operating expenditures for the Waste
Water System operations during the fiscal year
ending December 31, 1982, the following
appropriations are hereby made in the Waste Water Fund:
Account
Sewage Treatment-Salaries &Wages
Sewage Treatment-Personal Services/
Employee Benefits
To provide operating expenditures for the
funding of Special Assessments during the fiscal year ending December 31, 1982, the
following appropriation is hereby made in the Special Assessment Fund:
Account
Cedar Street Sanitary Sewer- Assessment
That this ordinance shall take effect and be in
force from and after the earliest period allowed by law.
15th
Attest:
44&
1
S <16 Clerk of Council
Approved as to form·
day of December
Add
2,200
10,700
9,300
Add
1,950
950
Mayor
Add
1982.

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