Granville Community Calendar

Ordinance 24-1990

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ORDINANCE NO. 24-90
i-- r
AN ORDINANCE TO AMEND ORDINANCE NO. 41-89 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1990 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, 1990 and ending December 31,
1990, and;
t WHEREAS, the Manager has recommended appropriations to
supplement previously made appropriations.
NOW, THEREFORE, be it ordained by the Council of Granville,
Ohio, that:
Section
Section
Account No.
Al-2-B-230
Al-5-C-230
Al-6-B-230
Al-6-D-230
Al-7-A-212
Al-7-A-240
Al-7-D-212
Al-7-D-280
Al-7-G-230
Al-7-I-230
Al-7-F-230
I: The annual budget of the Village of Granville,
as established by Ordinance No. 41-89, be
amended by the Council, as recommended by the
Manager, and is hereby adopted.
II: To provide for Operating Expenditures in the
General Fund during the fiscal year ending
December 31, 1990, the following appropriations
are hereby made in the General Fund:
Account
Contractual Services -Health
Contractual Services -
Ohio Public Works Commission
Applications
Contractual Services -Pearl Street
Footbridge Engineering
Contractual Services -Engineering
Employee Benefits -Fringe
SuppliesM/aterials
Employee Benefits -Fringe
Refunds -Income Tax
Contractual Services -County
Auditor's Fee
Contractual Services -State
Auditor' s Fee
Contractual Services
Add
1,289. 00
2, 162. 00*
4,223. 00*
267.00*
3, 160. 00
450.00
270.00*
2,720.00
75. 00
500. 00
12,263.00*
section III: To provide for Operating Expenditure in the Comprehensive Plan Fund for the fiscal year
ending December 31, 1989, the following
appropriation is hereby made in the Comprehensive Plan Fund:
Account No. Account
A3-7-F-270 Comprehensive Plan Fund -transfer
denotes amendments
Add
12,451.00*
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Ordinance No. 24-90
Page 2
Section IV:
Account No.
El-5-E-211
El-5-E-230
El-5-F-212
El-5-F-240
Section
Account No.
E91-5-F-250
Section VI:
Account No.
E2-5-G-240
E2-5-H-212
Section VII:
Account No.
G5-5-H-250
Section VIII:
Account No.
E7-5-E-270
To provide for Operating Expenditure in the
Water Fund during the fiscal year ending
December 31, 1990, the following appropriations
are hereby made in the Water Fund:
Account
SalariesW/ages
Contractual Services
Employee Benefits -Fringe
SuppliesM/aterials
Add
1,900.00
2,500.00
450. 00
1,000.00
V: To provide for Operating Expenditures
in the Water Capital Improvements Fund during
the fiscal year ending December 31, 1990.
the following appropriation is hereby made
in the Water Capital Improvements Fund:
Account
Capital Outlay
To provide for Operating Expenditures for
the sewer system operation during the
fiscal year ending December 31, 1990 the
following appropriations are hereby made
in the Sewer Fund:
Account
SuppliesM/aterials
Employee Benefits -Fringe
Add
800. 00
Add
7,500. 00
500.00
To provide for Operating Expenditures in
the Hilengreen Escrow Fund during the fiscal
year ending December 31, 1990, the following
appropriation is hereby made in the
Hilengreen Escrow Fund:
Account
Capital Outlay
Add
148. 00
To provide for operating expenditures in the
Debt Service Reserve Fund during the fiscal
year ending December 31, 1990, the following
appropriation is hereby made in the Debt
Service Reserve Fund:
Account
Transfers
Add
17, 086.00
denotes amendments
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Ordinance No. 24-90
Page 3
Section IX:
Passed this
That this ordinance shall take effect and
be in full force from and after the
earliest period allowed by law.
iqf,6
Jittest:
osss=t*
Clerk of Council
Appro s o, torm:
i
L41,25/
Law Director
day of f'1« 60
14% JMayor
1990.
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