Granville Community Calendar

Ordinance 22-1985

ORDINANCE NO. 22-85
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AN ORDINANCE TO AMEND ORDINANCE NO. 36-84 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1985 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, 1985 and ending December 31,
1985, and
WHEREAS, the Manager has recommended appropriations to supplement
previously made appropriations.
NOW, THEREFORE, be it ordained by the Council of Granville,
Ohio, that:
Section I:
Section II:
Account No.
Al-2-B-230
Al-7-B-211
Al-7-B-212
Al-7-B-230
Al-7-D-280
Al-7-G-230
Section III:
Account No.
The annual budget of the Village of Granville,
as established by Ordinance No. 36-84, 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,
1985, the following appropriations are hereby
made in the General Fund:
Account
Health Services-Contractual Services
Legislative-SalariesW/ages
Legislative-Employee Benefits
Legislative-Contractual Services
Income Tax-Refunds
Auditor' s Fees-Contractual Services
To provide operating expenditures for
street maintenance and repair during
the fiscal year ending December 31, 1985,
the following appropriation is hereby made
in the State Highway Improvement Fund:
Account
Add
3. 00
95. 00
15. 00
715. 00
1, 058. 00
165. 00
Adfi
B2-6-B-230 Contractual Services 360. 00
22-85
1
1
Ordinance No.
Page 2 of 2
Section ,IV:
Account No.
El-5-E-211
El-5-E-212
El-5-E-230
El-5-E-240
El-5-E-260
Section V:
Account No.
Cl-5-B-260
Section VI:
Passed this
To provide operating expenditures for the
water system operation during the fiscal
year ending December 31, 1985, the
following appropriations are hereby made
in the Water Fund:
Account
WaterS- alaryW/ages
Water-Employee Benefits
Water-Contractual Services
Water-Supplies &Materials
Water-Debt Service
To provide operating expenditures for
the Sewer Debt Service during the
fiscal year ending December 31, 1985,
the following appropriation is hereby
made in the Sewer Debt Service Fund:
Account
Debt Service
Add
2, 830. 00
1, 050. 00
3, 770. 00
3, 715. 00
150. 00
Add
1, 000. 00
That this ordinance shall take effect and be in
force from and after the earliest period allowed
by law.
44*)
Atlest:
Clerk of Council
Approved as to form:
601*4L.*
Law Director
day of oliU-uJ 1985.

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