Granville Community Calendar

Ordinance 35-1984

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1
1
Davison
AN ORDINANCE TO AMEND ORDINANCE NO. 34-83 PROVIDING FOR ADJUSTMENTS
OF THE ANNUAL BUDGET FOR THE FISCAL YEAR 1984 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, 1984
and ending December 31, 1984, and
WHEREAS, the Manager has recommended appropriations to supplement pre- viously made appropriations.
NOW, THEREFORE, be it ordained by the Council of Granville, Ohio, that:
Section
Section
I: The annual budget of the Village of Granville, as
established by Ordinance No. 34-83, be amended by
the Council, as recommended by the Manager, and is
hereby adopted.
II: To provide operating expenditures for the General
Fund during the fiscal year ending December 31, 1984,
the following appropriations are hereby made in the General Fund:
Account Number Account
Al-6-8-212
Al-7-A-230
Al-7-8-212
Al-7-8-230
Al-7-D-211
Al-7-E-230
Al-7-E-250
Al-7-I-230
Al-7-F-230
Section III:
Street Maintenance &Repair-Employee Benefits
Administrative-Contractual Services
Legislative-Employee Benefits
Legislative-Contractual Services
Income Tax-Salaries/ Wages
Lands &Buildings-Contractual Services
Lands &Buildings-Capital Outlay
State Examiner' s Fees-Contractual Services
Boards &Commissions-Contractual Services
To provide operating expenditures for Street Repairs
during the fiscal year ending December 31, 1984, the
following appropriation is hereby made in the Street Fund:
Account Number Account
81-6-8-230 Street Maintenance &Repair-Contractual Services $
Section IV: To provide operating expenditures for the Water System operation during the fiscal year ending December 31
1984, the following appropriation is hereby made in' the Water Dund:
Account Number Account
El-5-F-230
El-5-E-211
El-5-E-212
Amended 12/ 19/ 84
Water-Contractual Services
Water-Salaries/ Wages
Water-Employee Benefits
Add
850
550
11
425
525
2,800
4,900
79
350 K
Add
660
Add
165
2100 v'
785/
ORDINANCE NO. 35-84
BY:
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Ordinance Nl. 35-84
Page 2 of 2
Section V: To provide operating expenditures for the Waste Water
System operations during the fiscal year ending
December 31, 1984, the following appropriations are
hereby made in the Sewer Fund:
Account Number Account
E2-5-G-211
E2-5-G-212
E2-5-G-230
Sewage Treatment: Salaries/ Wages
Sewage Treatment-Employee Benefits
Sewage Treatment-Contractual Services
Add
1,800
250
1,450
Section VI: To provide operating expenditures for the Special Assessment
Fund during the fiscal year ending December 31, 1984,
the following appropriations are hereby made in the
Special Assessment Fund:
Account Number Account
Hl-2
Hl-4
Section VII:
Passed this
Cedar Street Sanitary Sewer
Wildwood Drive Improvement
That this ordinance shall take effect and be in force
from and after the earliest period allowed by law.
19th
A-te*st:
C-.6 Clerk of Council
Approved as to form:
Law Director
day of December
ZLOS=314/ Mayo(,
Add
9
42
1984.

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