Granville Community Calendar

Ordinance 23-1997

1
BY:
ORDINANCE NO. 23-97
AN ORDINANCE TO ESTABLISH THE GRANVILLE ACTING VILLAGE
MANAGER'S SALARY FOR 1998 AND DECLARING AN EMERGENCY.
WHEREAS, Article 11, Sectioh 2.08 of the Charter of Granville, Ohio, provides
that Council shall fix the salary of the Village Manager by ordinance, and
WHEREAS, Resolution No. 97-20, establishing the salary of the Acting Manager
for the period of March 10, 1997, to December 31, 1997, will expire on December 31,
1997.
NOW, THEREFORE, be it ordained by the Council of Granville, Ohio, that:
Section I:
Section 11:
Section 111:
Passed this
Attest:
The salary of the Acting Village Manager for the calendar year 1998 shall
be $60,000 payable bi-weekly in the amount of 1/26 of the total amount.
The Manager shall be granted four weeks of paid vacation leave during
the calendar year 1998.
This ordinance is hereby declared to be an emergency measure
necessary for the immediate preservation of the public peace, health,
safety and welfare of the Municipality and its inhabitants. Wherefore, this
ordinance shall be in full force and effect from and imrnediately upon
passage.
1909« Clerk of C ncil
Approved as to F
19+L
6.557</
Lawpffetc-or' -
day of 1997.
Mayor
1

Ordinance 22-1997

ORDINANCE NO. 22-97
1
1
By: Frey - ia g
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, 1998.
WHEREAS, pursuant to the provisions of Section 2.08 of Article 11 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, 1998 and ending December
31, 1998 and;
WHEREAS, the manager has submitted a proposed budget with estimates and
explanatory data, and;
WHEREAS, a public hearing has been held and said budget with estimates as
required by section 6.06 of Article VI of the Charter.
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, 1998, the following sums be and they are hereby set
aside and appropriated as follows, vis:
Section I: 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.
Section
A-1-1 -A
Al -1 -C
Al-2-8
11: That there be appropriated from the General Fund:
Program 1 -Security Of Persons And Property
POLICE LAW ENFORCEMENT
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
250 Capital Outlay
270 Transfers
424,753
141,251
41,825
45,200
22,000
4,580
TOTAL POLICE LAW ENFORCEMENT
STREET LIGHTING
230 Contractual Services
250 Capital Outlay
TOTAL STREET LIGHTING
26,700
34,000
679,609
60,700
Total Program 1 -Security Of Person And Propertv
Program 11 -Public Health And Welfare
COUNTY HEALTH DISTRICT
230 Contractual Services 13,000
TOTAL COUNTY HEALTH DISTRICT 13,000
Total Program 11 -Public Health And Welfare.
740,309
13,000
1
1
Ordinance No. 22-97
Page 2
Program IV -Community Environment
Al-4-F COMMUNITY SERVICES
230 Contractual Services
240 Supplies &Materials
250 Capital Outlay
270 Transfers
Al -6-A
Al -6-B
Al -6-D
Al -6-G
Al-7-A
TOTAL COMMUNITY SERVICES
30,150
3,000
11, 000
10,000
54,150
Total Program IV -Community Environment
Program VI -Transportation
STREET CONSTRUCTION
230 Contractual Services
250 Capital Outlay
270 Transfer
TOTAL STREET CONSTRUCTION
18,800
331, 000
200,000
STREET MAINTENANCE AND REPAIR
211 Salaries/ Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
270 Transfers
295,360
87,318
47,448
2,200
59,121
TOTAL STREET MAINTENANCE AND REPAIR
STORM SEWERS AND DRAINS
230 Contractual Services
240 Supplies &Materials
250 Capital Outlay
8,500
3,000
35,000
549,800
491, 447
54,150
TOTAL STORM SEWERS AND DRAINS 46,500
SIDEWALKS
250 Capital Outlay 50,000
TOTAL SIDEWALKS $50,000
Total Proaram VI -Transportation
1, 137,747
Program VII -General Government
ADMINISTRATIVE OFFICES
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
TOTAL ADMINISTRATIVE OFFICES
141, 901
50,595
24,011
12,500
229,007
1
Ordinance No. 22-97
Page 3
Al-7-B
Al -7-C
Al-7-D
Al -7-E
Al -7-F
Al -7-G
Al -7-H
LEGISLATIVE ACTIVITIES
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
TOTAL LEGISLATIVE ACTIVITIES
MAYOR'S COURT
211 Salaries/ Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
TOTAL MAYOR'S COURT
INCOME TAX
211 Salaries/ Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
280 Refunds
TOTAL INCOME TAX
LANDS &BUILDINGS
211 Salaries/ Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Material
250 Capital Outlay
260 Debt Service
270 Transfers
TOTAL LANDS AND BUILDINGS
BOARDS &COMMISSIONS
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
TOTAL BOARDS &COMMISSIONS.
1,080
162
15,530
2,200
26,414
5,660
16,346
2,500
35,518
9,366
3,750
4,500
27,000
4,674
925
42,930
7,815
0
37,973
0-
37,882
9,844
34,100
6,400
COUNTY AUDITOR &TREASURERS'FEES
230 Contractual Services 3,000
18,972
50,920
80,134
94,317
88,226
TOTAL COUNTY AUDITOR &TREASURERS' FEES
TAX DELINQUENT LAND ADVERTISING
230 Contractual Services 325
3,000
TOTAL TAX DELINQUENT LAND ADVERTISING
325
1
1
Ordinance No. 22-97
Page 4
Al -7-1
Al -7-J
Al -7-K
Section 111:
A3-4-F
Section IV:
81-6-B
82-6-B
8-13
STATE AUDITOR'S FEES
230 Contractual Services
TOTAL STATE AUDITOR'S FEES
ELECTION
230 Contractual Services
TOTAL ELECTION
LAW
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
TOTAL LAW
10,000
2,500
13,500
2,672
50,000
1,000
Total Proaram VII -General Government.
10,000
2,500
67,172
GRAND TOTAL GENERAL FUND APPROPRIATIONS
644,676
2,589,882
That there be appropriated from the following Park Land Reserve Funds:
PARK LAND RESERVE
230 Contractual Services
250 Capital Outlay
TOTAL PARK LAND RESERVE
8,000
3,000
11, 000
That there be appropriated from the following Special Revenue Funds:
Program VI -Transportation
STREET &MAINTENANCE REPAIR
230 Contractual Services
240 Supplies &Materials
9,685
91, 030
TOTAL STREET MAINTENANCE AND REPAIR
100,715
82-STATE HIGHWAY IMPROVEMENT FUND
STATE HIGHWAY FUND
230 Contractual Services
250 Capital Outlay
10,000
5,200
TOTAL FOR 82-STATE HIGHWAY FUND
LAW ENFORCEMENT & EDUCATION FUND
240 Supplies &Materials 4,400
15,200
TOTAL LAW ENFORCEMENT TRUST FUND $4,400
1
1
Ordinance No. 22-97
Page 5
8-15 COPS GRANT FUND
270 Transfers 16,676
TOTAL COPS GRANT FUND 16,676
Total Program VI -Transportation
136,991
Section V: That there be appropriated from the following Enterprise Funds:
Program V -Basic Utility Service Fund
El-5-E
El-5-F
E2-5-G
Cl -SEWER DEBT SERVICE FUND
260 Debt Service 167,300
TOTAL SEWER DEBT SERVICE 167,300
C-3 -SEWER REPLACEMENT & IMPROVEMENT FUND
250 Capital Outlay 50,000
280 Refunds 2,000
TOTAL SEWER REPLACEMENT &IMPROVEMENT FUND
52,000
El-WATERFUND
PRODUCTION
211 Salaries/ Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
250 Capital Outlay
260 Debt Service
270 Transfers
280 Refunds
TOTAL PRODUCTION
WATER DISTRIBUTION
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
270 Transfers
TOTAL DISTRIBUTION
109,540
33,266
107,450
60,640
70,000
60,463
34,000
200
33,533
10,336
7,900
18,600
5,000
475,559
75,369
TOTAL FOR E-1 -WATER FUND APPROPRIATION.
E2 -SEWAGE
SEWAGE TREATMENT
211 SalariesW/ ages
212 Employee Benefits
230 Contractual Services
240 Supplies &Material
270 Transfers
280 Refunds
TOTAL SEWAGE TREATMENT
77,339
21, 949
106,651
27,900
41, 900
200
275,939
550,928
1
1
Ordinance No. 22-97
Page 6
E2-5-H
Section VI:
SEWAGE COLLECTION
211 Salaries \Wages
212 Employee Benefits
230 Contractual Services
240 Supplies &Materials
270 Transfers
TOTAL SEWAGE COLLECTION
29,386
5,878
16,300
9,900
7,400
68,864
TOTAL FOR E2 SEWER FUND APPROPRIATIONS
344,803
Grand Total For Proaram V -Basic Utility Services
895,731
That there be appropriated from the Sewer Debt Service Fund:
E6 -SEWER DEBT SERVICE FUND
260 Debt Service 123,000
TOTAL E6 -SEWER DEBT SERVICE FUND $ 123,000
Section VII: That there be appropriated from the Sewer Debt Service Reserve Fund:
E7 -SEWER DEBT SERVICE RESERVE FUND
270 Transfers 25,000
TOTAL E7 -SEWER DEBT SERVICE RESERVE FUND
25,000
Section VIll: That there be appropriated from the Water Capital Improvements Fund:
E91 -WATER CAPITAL IMPROVEMENTS FUND
250 Capital Outlay
280 Refunds
100,000
2,000
TOTAL E91 -WATER CAPITAL IMPROVEMENTS FUND
102,000
Section IX: That there be appropriated from the Equipment Reserve Fund:
F2-6-B
F2 -EQUIPMENT RESERVE FUND
250 Capital Outlay 45,200
TOTAL EQUIPMENT RESERVE FUND: 45,200
Section X: That there be appropriated from the Special Assessment Fund:
H1 -2-A
H1-2-B
H1 -2-C
Hl-2 -CEDAR STREET SANITARY SEWER
Incidental Expense 100
Principal 3,000
Interest $ 184
TOTAL H-2 -CEDAR STREET SANITARY SEWER
3,284
1
1
Ordinance No. 22-97
Page 7
H1 -3-A
H1-3-B
Hl-3-C
Hl -1 -A
Hl-1-B
H1 -1 -C
H1 -4-A
H1-4-B
H1 -4-C
Hl-3 -WEST BROADWAY/ WILDWOOD SEWER
Incidental Expenses 100
Principal 3,000
Interest $ 390
TOTAL Hl-3 -WEST BROADWAY/ WILDWOOD SEWER
3,490
Hl-1 -EAST WATERLINE
Incidental Expenses
Principal
Interest
TOTAL Hl -1 -EAST WATERLINE
Hl-4-WESTGATE SEWER
Incidental Expenses
Principal
Interest
TOTAL Hl -1 -WESTFATE SEWER
1, 000
8,164
10,478
300
3,000
6,686
TOTAL SPECIAL ASSESSMENT BOND RETIREMENT FUND
Section XII:
19,642
9,986
36,402
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.
Section XIII: That this ordinance therefore shall become effective as of January 1,
1998, for the purpose of effecting expenditures within the limitations
herein set forth, during the fiscal year extending from that date to
December 31, 1998. 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.
Passed this
ATTEST:
*u /14i.z; Clerk of Codncil J
1 94'L
rLm|
Ad
-0,/
LaEf,irector - ' Af
day of 2. 0'Vok
1Vfayor
1997.

Ordinance 21-1997

ORDINANCE NO. 21-97
1
1
By: f l(on 1-jornert'
AN ORDINANCE TO AMEND ORDINANCE NO. 42-96 PROVIDING FOR
ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL YEAR 1997 AND
REVISING SUMS FOR OPERATING EXPENSES.
WHEREAS,pursuant to the provisions of Section 2.08 of Article II of the Charter ofthe Village of
Granville,Ohio,the Village Council is authorized to adopt the Municipal budget for the fiscal year beginning
January 1, 1997 and ending December 31, 1997,and;
WHEREAS,the Manager has recommended appropriations to supplement previously made
appropriations.
Section I:
Section II:
Section II:
Section III:
Section IV:
Passed this
NOW,THEREFORE,Be it ordained by the Council of Granville,Ohio,that:
The annual budget of the Village of Granville,as established by Ordinance No. 42-96,be
amended by the Council,as recommended by the Manager,and is hereby adopted.
To provide for Operating Expenditures in the General Fund during the fiscal year ending
December 31, 1997,the following appropriations are hereby made in the General Fund:
Account No.
Al-2-B-230
Al-4-F-270
Al-7-A-230
Al-7-A-240
Al-7-C-211
Al-7-C-240
Al-7-G-230
Al-7-K-230
Account
County Health -
Licking County Fees
Community Service
Transfers
Administration -
Contractual Svc.
Administration -
Supplies M&aterials
Mayors Court -
Salary & Wages
Mayors Court -
SuppliesM &aterials
County Auditor Fees
Contractual Svc.
Law -
Contractual Svc.
Add
663
1,000
400
200
650
500
105
11,000
To provide for Operating Expenditures in the Water Fund during the fiscal year ending
December 31, 1997,the following appropriations are hereby made in the Water Fund:
Account No.
El-5-E-212
El-5-F-212
Accoutit
Water Production -
Employee Benefits
Water Distrib -
Employee Benefits
Add
2,250
200
To provide for Operating Expenditures in the Sewer Fund during the fiscal year ending
December 31, 1997,the following appropriations are hereby made in the Sewer Fund: Account No.
E2-5-G-240
E2-5-H-211
Accoutit
Sewage Treatment -
SuppliesM &aterials
Sewage Collection -
Salary W&ages
This Ordinance shall take effect and be in full force upon the earliest date allowed by law.
3 rd day of €
cern er
Attest:
Cle1rkdoOfCloiaunJcAiC)4&O<
Apl Lawrector
Mayor
1997.
Add
6,700
4,350

Ordinance 20-1997

ORDINANCE NO.20-97
1
1
BY: Rder
AN ORDINANCE TO REVISE THE CODIFIED ORDINANCES BY
ADOPTING CURRENT REPLACEMENT PAGES.
WHEREAS, certain provisions within the Codified Ordinances should be
amended to conform with current State Law as required by the Ohio Constitution; and
WHEREAS, various ordinances of a general and permanent nature have been
passed by Council which should be included in the Codified Ordinances; and
WHEREAS, Council has heretofore entered into a contract with the Walter H.
Drane Company to prepare and publish such revision which is before Council;
NOW, THEREFORE, Be it ordained by the Council of the Village of Granville,
Ohio, that:
Section I: The ordinances of Granville, Ohio, of a general and permanent nature, as
revised recodified, rearranged and consolidated into component codes,
titles, chapters and sections within the 1997 Replacement Pages to the
Codified Ordinances are hereby approved and adopted.
Section 11: The following sections and chapters are hereby added, amended or
repealed as respectively indicated in order to comply with current State
law:
Traffic Code
301.27
331. 15
333.03
335.11
337.10
337.16
337.22
337.27
501. 01
513.01
513.07
513.10
513.11
525.01
525.02
533.01
537.01
537.02
537.03
537.04
537.05
537.06
537.12
549.07
549.11
Public Safety Vehicle Defined. ( Amended)
Hand and Arm Signals. A(mended)
Maximum Speed Limits. (Amended)
Use of Illegal License Plates. (Amended)
Lights on Slow-Moving Vehicles. (Amended)
Number of Lights. ( Amended)
Windshield Required. ( Amended)
Seat Belts Required. ( Amended)
General Offenses Code
Definitions. ( Amended)
Drug Abuse Control Definitions. ( Amended)
Possessing or Using Harmful Intoxicants. ( Amended)
Hypodermic Possession, Display and Dispensing. ( Amended)
Harmful Intoxicants; Nitrous Oxide in Motor Vehicle. A(mended)
Law Enforcement and Public Office Definitions. ( Amended)
Falsification. ( Amended)
Definitions. A(mended)
Negligent Homicide. ( Amended)
Vehicular Homicide. ( Amended)
Assault. ( Amended)
Negligent Assault (Amended)
Aggravated Menacing. ( Amended)
Menacing. ( Amended)
Misuse of 9-1-1 System. A(mended)
Underage Purchase of Firearms. A(mended)
Possessing Replica Firearm in School. ( Added)
1
1
Ordinance No. 20-97
Page 2
Section 111: The complete text of the Traffic and General Offenses Code sections
listed above are set forth in full in the current replacement pages to the
Codified Ordinances which are hereby attached to this ordinance as
Exhibit A. Notice of adoption of each new section by reference to its title
shall constitute sufficient publication of new matter contained therein.
Section IV: This Ordinance shall take effect and be in full force upon the earliest date
allowed by law.
Passed this
Attest:
19,
1* A.4-04* Clerti of Cound
Approve
j
Law Dctor
1q day of Aougm ber 1997.
Sh3161, vMayor 1'
1

Ordinance 19-1997

ORDINANCE NO. 19-97
1
BY: QAAER
AN ORDINANCE TO AMEND ORDINANCE NO.42-96 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1997 AND REVISING SUMS FOR OPERATING EXPENSES.
WHEREAS, pursuant to the provisions of Section 2.08 of Article 11 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, 1997 and ending December
31, 1997, and;
WHEREAS, the Manager has recommended appropriations to supplement
previously made appropriations.
Section I:
Section 11:
Section 111:
NOW, THEREFORE, Be it ordained by the Council of Granville, Ohio, that:
The annual budget of the Village of Granville, as established by
Ordinance No. 42-96, be amended by the Council, as recommended by
the Manager, and is hereby adopted.
To provide for Operating Expenditures in the General Fund during the
fiscal year ending December 31, 1997, the following appropriations are
hereby made in the General Fund:
Account No.
Al -6-G250
Account Add
Capital Outlay -Sidewalk Replacements $ 14,098
To provide for Operating Expenditures in the Debt. Service Fund during
the fiscal year ending December 31, 1997, the following appropriations
are hereby made in the Debt Service Fund:
Account No.
Cl -5-A260
Account
Debt Service Fund -Principal
Add
89,000
Section IV: This Ordinance shall take effect and be in full force upon the earliest date allowed by law.
Passed this 15 + L
Attest:
1ou*u,\GAL Cldrk of Couw'Icil u
Approyp7 orm: MSall»rl LawJre*ctor
day of OCTDBew« 1997.
Gk# 1k#
1

Ordinance 18-1997

ORDINANCE 18-97
CS-2 Rev. 4/9/92
Street Name
Route Number State Route 661
I«IC-SR661: 451
PID 16105
Ordinance Number 18-97
Date of Enactinent 1 October 1, 1997
An emergency ordinance enacted by the Village of Granville , Licking County, Ohio, in
he matter of the hereinafter described improvement,and to request cooperation by the Director of Transportation.
WHEREAS,the Village has identified the need for and proposes tlie improvement of a portion of the public
highway which is described as follows:
Rehabilitation of steel beam bridge over Raccoon Creek. Work zone will enter tlie soutliern corporation
limit of the village on SR661.
said portion of highway within the municipal corporation litnits being hereinafter referred to as the
improvement, and
WHEREAS,the Village further desires cooperation from the Director of Transportation in the planning,
design and construction of said improvement.
NOW THEREFORE,Be it ordained by the Council of the Village of Granville, Ohio:
SECTION I (Cooperation)
That said Village hereby requests the cooperation of the Director of Transportation, in tlie cost of the above
described improvements as follows:
That the consent of the Village be and such consent is hereby given to the Director of Transportation
to proceed with the above improvement in accordance with plans,specifications,and estimates approved by tlie Director,at as no cost to the Village
SECTION 11 ( Consent)
That it is declared to be in the public interest that the consent of said Village be and such consent is hereby
given to the Director of Transportation to construct the above described improvement, iii accordance with plans, specifications and estimates as approved by the Director.
SECTION III (Authority to Sign)
iat the Mavor bf said Village, is hereby autlinrized to enter iiito Contractual Officer's T'itle)
maintenance and parking agreements and special contractual obligations.
Page 1 of 3
WR
CS-2 Rev. 4/9/92
1
SECTION IV (Maintenance,Traffic Control Signals and Devices, and Parking)
That upon completion of said improvement, said Village will thereafter keep said highway open to traffic
at all times, and
a) Maintain the iniprovement in accordance with the provisions of the statutes relating thereto and
make ample financial and other provisions for such maintenance; and
b). Maintain the right-of-way and keep it free of obstructions in a manner satisfactory to the State of
Ohio and hold said right-of-way inviolate for public highway purposes and permit no signs, posters,
billboards, roadside stands or other private installations within the right-of-way limits; and
Place'and maintain all traffic control devices conforming to the Ohio Manual of Uniform Traffic
Control Devices on the improvement in compliance with the provisions of Section 4511. 11 and
related sections of the Ohio Revised Code;and
d) Regulate parking in the following manner:
Prohibit parking in accordance with Section 4511.66 of the Ohio Revised Code,unless otherwise
controlled by local ordinance or resolution.
SECTION V (Right-of-Way, Utility Rearrangement and Damage and Liability Responsibilities)
g)
a) That all existing street and public way right-of-way within the Village which is necessary for the
aforesaid improvement, shall be made available therefor.
b) That the StateV/illage will acquire any additional right-of-way required for the construction of the
aforesaid improvement.
© That arrangements have been or will be made with and agreements obtained from all public utility
companies whose lines or structures will be affected by the said improvement and said coinpanies have
agreed to make any and all necessary'plant removals or rearrangements in such a manner as to be clear of
any construction called for by the plans of said improvement and said companies have agreed to make such
necessary rearrangements immediately after notification by said Village or the Department of
Transportation.
d) That it is hereby agreed that the Village shall at its own expense, liiake all rearrangements of water
mains, service lines, fire hydrants, valve boxes sanitary sewers or other municipally owned utilities
and/ or any appurtenances thereto, which do not comply with the provisions of Directive H-P-508.
e) That the construction, reconstruction, and/ or rearrangement of both publicly and privately owned
utilities, referred to in subsection © and (d)above,shall be done in such a manner as not to interfere
unduly with the operation of the contractor constructing the improvement and all backfilling of
trenches made necessary by such utility rearrangements shall be perfornied in accordance with the
provisions of the Ohio Department of Transportation Construction and Material Specifications and shall be subject to approval by the State.
That the installation of all utility facilities on the right-of-way shall conform with the requirements of the Feclerala-id Policy Guide 23 CFR 645A U("tility Relocations, Adjustments and Reimbursementa")nd the Department of Transportation's rules on Utility Accominodation.
That the Village hereby agrees to accept responsibility for any and all damages or claims for which it is legally liable arising from the negligence of its officers,employees or agents in the performance of the Village's obligations made or agreed to in Sections a( ),b (),c )(,d (),e )(and f()hereinabove. Likewise, the State agrees to accept responsibility for any and all damages or claims for which it is legally liable arising from the negligence of its officers,employees or agents in the performance of the State's obligations made or agreed to in Sections a( )b, (),c )(,d (),e ()a,nd f()hereinabove.
Page 2 of 3
0
0
I R
This ordinance is hereby declared to be an emergency measure by reason of the need for expediting highway
improvements to promote highway safety, and provided it receives the affirmative vote of two-thirds of the
members elected to Council,it shall take effect and be in force immediately upon its passage and approval by the
ayor;otherwise,it shall take effect and be in force from and after the earliest period allowed by law.
passedk October 1 ,1%97 .
Atkst 1QAHh 1/.\..
'40 < Clerkd 3(
Attest:ll X
President of Council
1 *
CERTIFICA'rE OF COPY
STAT'E OF OHIO
Village of Granville SS
County Licking
regoingI,X Beverly Adzic as Clerk of the Village of Granville, Ohio, do hereby certify tliat the is a true and correct copy of ordinance adopted by the legislative Authority of the said Village on the 1 day 04 Ortoher 197tha-t t,he publication of such ordinance has been made and certified
of record according to law; that no proceedings looking to a referendum upon such ordinance have been taken;a·nd that such ordinance and certificate of publication thereof are of record in Ordinance Record Nox 18-97 Page
X ·
SEAL)
0 ClerQ
Village of Granville
The aforegoing is accepted as a basis for proceeding with the iinprovement herein described.
30
cz,L For the Village of Granville
ttestk 7 1/4/J( C7 4»/ -7--
«u -7f-- 4 ,1 /r Corfiractual Officer
/'F'or'the State of Ohio
6 A /1 .
1 1 01
DVir pr,OilD»epa'rtmentTransportation
Ohio.
Ohio.
IDatf / 0 - 6 -/9-7
Date M-30- 97
CS-2 Rev.4/9/92
Page 3 of 3
CS-2 Rev.4/9/92
Street Name
Route Number State Route 661
ORDINANCE 18-97
Ordinance Number
Date of Enactment
LIC-SR6614-5.1
PID 16105
An emergency ordinance enacted by the Village of Granville , Licking County,Ohio,in
the matter of the hereinafter described improvement,and to request cooperation by the Director of Transportation.
WHEREAS,the Village has identified the need for and proposes the improvement of a portion of the public
highway which is described as follows:
Rehabilitation of steel beam bridge over Raccoon Creek. Work zone will enter the southern corporation
limit of the village on SR661.
said portion of highway within the municipal corporation limits being hereinafter referred to as the
improvement,and
WHEREAS, the Village further desires cooperation from the Director of Transportation in the planning,
design and construction of said improvement.
NOW THEREFORE,Be it ordained by the Council of the Village of Granville, Ohio:
SECTION I (Cooperation)
That said Village hereby requests the cooperation of the Director of Transportation,in the cost of the above
described improvements as follows:
That the consent of the Village be and such consent is hereby given to the Director of Transportation
to proceed with the above improvement in accordance with plans,specifications,and estimates as
approved by the Director,at no cost to the Village
SECTION II (Consent)
That it is declared to be in the public interest that the consent of said Village be and such consent is hereby
given to the Director of Transportation to construct the above described improvement,in accordance with plans, specifications and estimates as approved by the Director.
SECTION III (Authority to Sign)
That the Mavor of said Village, is hereby authorized to enter into
Contractual Officer's Title)
maintenance and parking agreements and special contractual obligations.
Page 1 of 3
23
Y 18-97
October 1, 1997
X
1
CS-2 Rev.4/9/92
1
SECTION IV (Maintenance,Traffic Control Signals and Devices, and Parking)
That upon completion of said improvement,said Village will thereafter keep said highway open to traffic
at all times,and
a) Maintain the improvement in accordance with the provisions of the statutes relating thereto and
make ample financial and other provisions for such maintenance; and
b) Maintain the right-of-way and keep it free of obstructions in a manner satisfactory to the State of
Ohio and hold said right-of-way inviolate for public highway purposes and permit no signs,posters,
billboards, roadside stands or other private installations within the right-of-way limits;and
Place and maintain all traffic control devices conforming to the Ohio Manual of Uniform Traffic
Control Devices on the improvement in compliance with the provisions of Section 4511.11 and
related sections of the Ohio Revised Code;and
d) Regulate parking in the following manner:
Prohibit parking in accordance with Section 4511.66 of the Ohio Revised Code,unless otherwise
controlled by local ordinance or resolution.
SECTION V (Right-of-Way, Utility Rearrangement and Damage and Liability Responsibilities)
a) That all existing street and public way right-of-way within the Village which is necessary for the
aforesaid improvement, shall be made available therefor.
b) That the StateV/illage will acquire any additional righto- fw- ay required for the construction of the
aforesaid improvement.
© That arrangements have been or will be made with and agreements obtained from all public utility
companies whose lines or structures will be affected by the said improvement and said companies have
agreed to make any and all necessary plant removals or rearrangements in such a manner as to be clear of
any construction called for by the plans of said improvement and said companies have agreed to make such
necessary rearrangements immediately after notification by said Village or the Department of
Transportation.
d) That it is hereby agreed that the Village shall at its own expense,make all rearrangements of water
mains, service lines,fire hydrants,valve boxes sanitary sewers or other municipally owned utilities
and/ or any appurtenances thereto,which do not comply with the provisions of Directive H-P-508.
e) That the construction,reconstruction,ando/r rearrangement of both publicly and privately owned
utilities,referred to in subsection © and ( d)above,shall be done in such a manner as not to interfere
unduly with the operation of the contractor constructing the improvement and all backfilling of
trenches made necessary by such utility rearrangements shall be performed in accordance with the
provisions of the Ohio Department of Transportation Construction and Material Specifications and
shall be subject to approval by the State. -
That the installation of all utility facilities on the right-of-way shall conform with the requirements
of the Federala-id Policy Guide 23 CFR 645A U("tility Relocations, Adjustments and
Reimbursementa"n)d the Department of Transportation's rules on Utility Accommodation.
g) That the Village hereby agrees to accept responsibility for any and all damages or claims for which
it is legally liable arising from the negligence of its officers,employees or agents in the performance
of the Village's obligations made or agreed to in Sections a( ),b (),c )(,d (),e )(and f()hereinabove.
Likewise,the State agrees to accept responsibility for any and all damages or claims for which it
is legally liable arising from the negligence of its officers, employees or agents in the performance
of the State's obligations made or agreed to in Sections a( ),b (),c )(,d (),e ()a,nd f()hereinabove.
Page 2 of 3
0
0
1
CS-2 Rev.4/9/92
This ordinance is hereby declared to be an emergency measure by reason of the need for expediting highway
improvements to promote highway safety, and provided it receives the affirmative vote of two-thirds of the
members elected to Council,it shall take effect and be in force immediately upon its passage and approval by the
Mayor;otherwise,it shall take effect and be in force from and after the earliest period allowed by law.
Passed:
x
October 1
Attestk
Attest:y
1997 00d,*1*444* Mayor
President of Council
CERTIFICATE OF COPY
STATE OF OHIO
Village of Granville SS
County Licking
I,Y
Beverly Adzic as Clerk of the Village of Granville, Ohio,do hereby certify that the
foregoing is a true and correct copy of ordinance adopted by the legislative Authority of the said Village on the frecord
accordingtolaw;thatnoproceedingslookingtoareferendumuponsuchordinancehavebeentaken;and
day ofx October 19<97 'that the publication of such ordinance has been made and certified
that such ordinance and certificate of publication thereof are of record in Ordinance Record NoK 18-97 ,Page 0 ·
SEAL)
3 1101!J' K.060
3 Cork
Village of Granville Ohio.
The aforegoing is accepted as a basis for proceeding with the improvement herein described.
For the Village of Granville Ohio. L A *L A/n*/\'
Date, 0 -/5 /9- 7-
V1 Cocntua*l Officer
For the State of Ohio
Attest:
Director,Ohio Department of Transportation
Page 3 of 3
Date

Ordinance 17-1997

ORDINANCE NO. 17-97
AN ORDINANCE PROVIDING FOR THE ISSUANCE AND
SALE OF $93,000 OF GENERAL OBLIGATION BONDS OF
THE VILLAGE OF GRANVILLE, OHIO FOR THE PURPOSE
OF CONSTRUCTING IMPROVEMENTS TO THE SANITARY
SEWER SYSTEM OF THE VILLAGE, AND DECLARING AN
EMERGENCY.
WHEREAS, this Village Council has heretofore determined the necessity of
constructing improvements to the sanitary sewer system of the Village of Granville, Ohio
the "Village"s)u c(h improvements are referred to herein as the "Project"an)d;
WHEREAS, the Director of Finance, as fiscal officer of the Village, has
heretofore certified to this Village Council that the estimated life of the improvements and
assets constituting the Project is at least five (5)years, and has further certified the maximum
maturity of the bonds issued therefor is twenty (20)years; and
WHEREAS, this Village C6uncil has heretofore levied special assessments
against the properties benefitted by the Project to pay a portion of the costs of the Project;
and
WHEREAS, this Village Council expects the debt service charges on such
bonds to be paid from such special assessments t(he "Revenuesa"n)d;
WHEREAS, notes heretofore issued in anticipation of such bonds are about to mature;
NOW, THEREFORE, BE IT ORDAINED by the Council of Granville, Ohio:
SECTION 1. That it is necessary to issue and sell bonds of this Village in the
principal sum of 9$3,000 t(he "Bonds"fo)r the purpose of paying part of the costs of the Project, including, without limitation, f"inancing costs"a,s defined in Section 133.01 of the Ohio Revised Code, related to the Bonds, under authority of and pursuant to the general laws of the State of Ohio, particularly Chapter 133 of the Ohio Revised Code.
SECTION 2. That the Bonds shall be issued in such principal amount for the
purpose aforesaid. The Bonds shall be i()dated September 1, 1997, i (i)numbered from R-1 upwards in order of issuance,i (ii)be of the denominations of 5$,000 and any integral multiple thereof,except that one Bond shall be in the denomination of 3$,000 or 3$,000 plus any integral multiple of 5$,000, provided that each Bond shall be of a single maturity, and iv)shall mature on December 1, 2016 but shall be subject to mandatory sinking fund
I '.
redemption on December 1 of the years and in the respective principal amounts, and such
principal amounts shall bear interest at the rate of five and seventy-five hundredths per cent
5.75 %per)annum payable semiannually on the first day of June and the first day of
December of each year commencing June 1, 1998, as follows:
Year
1998
1999
2000
2001
2002
2003
2004
2005
2006
2007
2008
2009
2010
2011
2012
2013
2014
2015
Principal Amount
Maturing
3,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Unless otherwise called for redemption, the remaining principal amount of the Bonds
5,000)shall be paid at stated maturity ( December 1, 2016).
It is hereby determined that such principal installments are such that the total
principal and interest payments on the Bonds in any fiscal year in which principal is payable
is not more than three times the amount of those payments in any other such year.
The Bonds shall be subject to optional redemption, in whole or in part, at the
option of the Village, in inverse order of maturity, in integral multiples of $5,000 and by lot within a maturity, on any date, commencing December 1, 2007 at the redemption prices expressed as percentages of the principal amount to be redeemed)set forth below, plus accrued interest to the redemption date:
Redemption Dates ( inclusive) Price
December 1, 2007 through November 30, 2008
December 1, 2008 and thereafter
101 %
100
2-
If fewer than all of the outstanding Bonds of a single maturity are called for
redemption, the selection of Bonds to be redeemed, or portions thereof in amounts of
5,000 or any integral multiple thereof, shall be made by lot by the Paying Agent and
Registrar ( as hereinafter defined)in any manner which the Paying Agent and Registrar may
determine. In the case of a partial redemption of Bonds when Bonds of denominations
greater than $ 5,000 are then outstanding, each $ 5,000 unit of face value of principal thereof
shall be treated as though it were a separate Bond of the denomination of $5,000. If one or
more, but not all, of such $ 5,000 units of face value represented by a Bond are to be called
for redemption, then upon notice of redemption of a $5,000 unit or units, the registered
holder of that Bond shall surrender the Bond to the Paying Agent and Registrar ( a)for
payment of the redemption price for the $ 5,000 unit or units of face value called for
redemption ( including without limitation, the interest accrued to the date fixed for redemption
and any premium)a,nd b( )for issuance, without charge to the registered holder thereof, of a
new Bond or Bonds of the same series, of any authorized denomination or denominations in
an aggregate principal amount equal to the unmatured and unredeemed portion of, and
bearing interest at the same rate and maturing on the same date as, the Bond surrendered.
The notice of call for redemption of Bonds shall identify (i)by designation,
letters, numbers or other distinguishing marks, the Bonds or portions thereof to be redeemed,
ii)the redemption price to be paid, i(ii)the date fixed for redemption, and i(v)the place or
places where the amounts due upon redemption are payable. The notice shall be given by
the Paying Agent and Registrar on behalf of the Village by mailing a copy of the redemption
notice by first class mail, postage prepaid, at least 30 days prior to the date fixed for
redemption, to the registered holder of each Bond subject to redemption in whole or in part
at such registered holder's address shown on the Bond registration records on the fifteenth
day preceding that mailing. Failure to receive notice by mailing or any 'defect in that notice
regarding any Bond, however, shall not affect the validity of the proceedings for the
redemption of any Bond. Notice having been mailed in the manner provided above, the
Bonds and portions thereof called for redemption shall become due and payable on the
redemption date and on such redemption date, interest on such Bonds or portions thereof so called shall cease to accrue; and upon presentation and surrender of such Bonds or portions
thereof at the place or places specified in that notice, such Bonds or portions thereof shall be
paid at the redemption price, including interest accrued to the redemption date.
Pending preparation of definitive Bonds, any Bonds may be initially delivered
in temporary form exchangeable for definitive Bonds when such definitive Bonds are ready for delivery. The temporary Bonds may be printed, lithographed or typewritten and may contain such reference to any of the provisions of this ordinance as may be appropriate.
Every temporary Bond shall be executed by the Paying Agent and Registrar upon the same conditions and in substantially the same manner as definitive Bonds. If the Paying Agent and Registrar delivers temporary Bonds, it shall execute and furnish definitive Bonds at the earliest practicable time, and thereupon, the temporary Bonds shall be surrendered for cancellation at the principal office of the Paying Agent and Registrar, and the Paying Agent and Registrar shall deliver in exchange for such temporary Bonds an equal aggregate
3-
principal amount of definitive Bonds. Until so exchanged, the temporary Bonds shall be
entitled to the same benefits under this ordinance as definitive Bonds delivered pursuant
hereto.
The Bonds shall be designated "Sanitary Sewer Improvement Bonds".
It is hereby determined by this Village Council that the issuance of the Bonds
provided herein, including without limitation, the redemption provisions set forth above, are
in the best interests of the Village.
SECTION 3. That the Bonds shall express upon their faces the purpose for
which they are issued and that they are issued in pursuance of this ordinance. The Bonds
shall be in fully registered form without coupons. The Bonds shall bear the signatures of the
Village Manager, or the Acting Village Manager, and the Director of Finance, provided that
either or both such signatures may be facsimile signatures, may bear the seal of the Village
or a facsimile thereof, and shall bear the manual authenticating signature of an authorized
representative of Star Bank, National Association, Cincinnati, Ohio, as the paying agent,
registrar and transfer agent t(he "Paying Agent and Registrar"fo) r the Bonds. The principal
amount of each Bond shall be payable at the principal office of the Paying Agent and the
Registrar and interest thereon shall be made on each interest payment date to the person
whose name appears on the record date (May 15 and November 15 for June 1 and December
1 interest, respectively)on the Bond registration records as the registered holder thereof, by
check or draft mailed to such registered holder at his address as it appears on such
registration records.
The Bonds shall be transferable by the registered holder thereof in person or by his attorney duly authorized in writing at the principal office of the Paying Agent and
Registrar upon presentation and surrender thereof to the Paying Agent and Registrar. The
Village and the Paying Agent and Registrar shall not be required to transfer any Bond during
the 15-day period preceding any interest payment date or preceding any selection of Bonds to be redeemed, or after such Bond has been selected for partial or complete redemption, and
no such transfer shall be effective until entered upon the registration records maintained by the Paying Agent and Registrar. Upon such transfer, a new Bond or Bonds of authorized
denominations of the same maturity and for the same aggregate principal amount shall be issued to the transferee in exchange therefor.
The Village and the Paying Agent and Registrar may deem and treat the registered holders of the Bonds as the absolute owners thereof for all purposes, and neither the Village nor the Paying Agent and Registrar shall be affected by any notice to the contrary.
SECTION 4. That for the payment of the Bonds and the interest hereon, the full faith, credit, and revenue of the Village are hereby irrevocably pledged, and for the purpose of providing the necessary funds to pay the interest on the Bonds promptly when and
4-
as the same falls due, and also to provide a fund sufficient to discharge the Bonds at maturity
or upon mandatory sinking fund redemption, there shall be and is hereby levied on all the
taxable property in the Village within applicable limitations, in addition to all other taxes, a
direct tax annually during the period the Bonds are to run in an amount sufficient to provide
funds to pay interest upon the Bonds as and when the same falls due and also to provide a
fund for the discharge of the principal of the Bonds at maturity or upon mandatory sinking
fund redemption, which tax shall not be less than the interest and sinking fund tax required
by Article XII, Section 11 of the Constitution of Ohio.
Said tax shall be and is hereby ordered computed, certified, levied and
extended upon the tax duplicate and collected by the same officers, in the same manner and
at the same time that taxes for general purposes for each of said years are certified, extended
or collected. Said tax shall be placed before and in preference to all other items and for the
full amount thereof. The funds derived from said tax levies hereby required shall be placed
in a separate and distinct fund, which, together with all interest collected on the same, shall
be irrevocably pledged for the payment of the interest on and the principal of the Bonds
when and as the same shall fall due; provided, that in each year to the extent that the
Revenues or moneys from other sources are available for the payment of debt service on the
Bonds and are appropriated for such purpose, the amount of such tax shall be reduced by the
amount of the Revenues or such moneys so available and appropriated.
SECTION 5. That the Bonds shall be sold to Seasongood M &ayer,
Cincinnati, Ohio t(he "Purchasera")t 98.9247312 %of the principal amount thereof plus
accrued interest to the date of delivery pursuant to their offer to purchase which is hereby
accepted. The Village Manager, the Acting Village Manager and the Director of Finance, or
any of them, are hereby each authorized to execute and deliver a purchase agreement for the
Bonds in substantially the form submitted to this Village Council with such changes as may be approved by such officers executing the same, their execution thereof on behalf of the
Village to be conclusive evidence of such authorization and approval. The proceeds from the
sale of the Bonds, except as any premium and accrued interest received, shall be deposited in
an appropriate fund and used for the purpose aforesaid and for no other purpose and for
which purpose such proceeds are hereby appropriated. Any premium and accrued interest
received from such sale shall be transferred to the bond retirement fund to be applied to the
payment of the principal and interest of the Bonds in the manner provided by law.
SECTION 6. That this Village Council hereby covenants that it will restrict
the use Of the proceeds of the Bonds hereby authorized in such manner and to such extent, if
any, as may be necessary after taking into account reasonable expectations at the time the debt is incurred, so that they will not constitute obligations the interest on which is subject to federal income taxation or a"rbitrage bonds"under Sections 103b( )2()and 148 of the Internal Revenue Code of 1986, as amended t(he C" ode"a)nd the regulations prescribed thereunder, including any expenditure requirements, investment limitations or rebate requirements. The Director of Finance or any other officer having responsibility with respect to the issuance of the Bonds is authorized and directed to give an appropriate certificate on behalf of this
5-
Village on the date of delivery of the Bonds for inclusion in the transcript of proceedings,
setting forth the facts, estimates and circumstances and reasonable expectations pertaining to
the use of the proceeds thereof and the provisions of said Sections 103b( )2()and 148 and
regulations thereunder.
SECTION 7. That the Bonds are hereby designated as "qualified tax-exempt
obligations"to the extent permitted by Section 265b( )3()of the Code. This Village Council
finds and determines that the reasonably anticipated amount of qualified tax-exempt
obligations ( other than private activity bonds)which will be issued by the Village during this
calendar year does not and the Board hereby covenants that, during such year, the amount of
tax-exempt obligations issued by the Village and designated as "qualified tax-exempt
obligations"for such purpose will not exceed $10,000,000. The Director of Finance and
other appropriate officers, and any of them, are authorized to take such actions and give such
certifications on behalf of the Village with respect to the reasonably anticipated amount of
tax-exempt obligations to be issued by the Village during this calendar year and with respect
to such other matters as appropriate under Section 265b( )3().
SECTION 8. That the Director of Finance is hereby directed to forward a
certified copy of this ordinance to the County Auditor.
SECTION 9. That it is found and determined that all formal actions of this
village Council concerning and relating to the passage of this ordinance were passed in an
open meeting of this Village Council, and that all deliberations of this Village Council and of
any of its committees that resulted in such formal action, were in meetings open to the
public, in compliance with the law, including Section 121. 22 of the Revised Code of Ohio.
SECTION 10. That the Village Manager, the Acting Village Manager and
Director of Finance, or any of them, are hereby each authorized to execute an agreement
with the Paying Agent and Registrar for its services as paying agent, registrar and transfer
agent for the Bonds upon such terms as previously presented to the Village with such
changes as may be approved by such officers executing the same, their execution thereof on behalf of the Village to be conclusive evidence of such authorization and approval.
SECTION 11. That this ordinance is declared to be an emergency measure
necessary for the immediate preservation of the public peace, safety, health, morals and
welfare of the Village, and for the further reason that the immediate issuance and sale of the Bonds is necessary to allow for the orderly financing of the Project and to, in a timely
manner, retire notes previously issued to support contracts relating to the Project; and
6-
1
therefore, provided this ordinance receives the affirmative vote of five members elected or
appointed to the Village Council, it shall be in full force and effect upon its passage.
PASSED: September 3, 1997
Attest:
Clerl©kf Cocil
CERTIFICATE
I hereby certify that the foregoing is a true and correct copy of an ordinance
passed by the Village Council of Granville, Ohio, on September 3, 1997.
1%6404 Clerkjbf Couhcil
Date: September 3 , 1997
CERTIFICATE
The undersigned hereby certifies that a copy of the foregoing certified ordinance was this day to the County Auditor of Licking County, Ohio.
44,62«
Dirreof*Finance
Date: September 5- ,1997
7-
CERTIFICATE AND RECEIPT
The undersigned, County Auditor of Licking County, Ohio, hereby certifies
the filing and acknowledges receipt of a certified copy of the foregoing ordinance.
6/C6unty ukuditor
Date: September r , 1997
r-
8-
1
of tlie
I'liN- MII.I. Clill'1'11ICATE
FOR POLITICAL SUBDIVISIONS ISSUING UNVO'l[il)GF.Nlil{AL Ol]LIGATION BONDS AND NOlES
I'lie u,idersigned, C(U)N-rY AUDITOR cd
Village of Granville
Licking Courily. C)hio, hereby cel'IiI ies iii colinectioli with a p:oposed issue <1 ,lh,lids.
in flie principal aliic,ulit ul $ 93,000 daited September 1 19 97, tliat tile rates required ti, produce the highest annual debt charges fi,r the proposed issue a,id all c,tlier issues ol said subdivisic,ii and Ilie subdivisic,lis overlapping it, which are payable Ir(1}11 taxes subject t1ax(t)ildeup1l0icIalltiell limitatic)n of Article XII, Sectic,n 2, Ohic,Cc,nstilulic,n, based upo,1 the facts hereii:1,t-er set Ic,rth aiid assuillilig Illat all levies were to I,e 111ade thereft,r oli the ge,ieral are as 1.1 (lo,ws:
Overlappilig
Subdivisic,n
Licking
Granville
Coulity
EX#9=
Village
Granville Exempted
Village School
District
Granville
Assessed
Val ualic,n
2,023,959,870
82,038,830
209,895,310
Township 178,921,770*
if any)
INCLUDES VILLAGE
PLEASE NOTE INSTRUCTIi)Ns
ON REVERSE SIDE
A'1'Iii)this
Bonds and Notes Outstanding
a) Special Assessnient bonds &
notes in c,riginal or refunded
fc,rni:
h) All other bonds &notes pay- able frolii or secured by taxes
inside 10 111ill lili,ilatic,n:
a) Special Assessnient bonds &
ni,tes iii origilial or refunded
fc,r,11:
b) All c,ther bc)i,ds &nc,les payable
frc,111 or secured by taxes
iliside 10111ill li111italic,n:
Bonds &nc,tes payable froii, taxes
inside 10 111ill lili,ilation:
a) Special Assessii,em bonds &
notes iii origilial or refunded
fc,rm
d:iy of September
Presen[
1rincipal
Aitic,il n[
865,000
7,753,400
223, 167
365,000
kl,1 Charges for fiscal year in wh ch they
will It,tal tl,e highest, to-wit, 19 98
fc,r Principal for Int(ies,
182, 000
571, 400
14,163
15,000
Proposed issue: $ 4,650
19 97 .
PECK, SHAFFER & WILLIAMS, L.L.P
BOND ATTORNEYS
CINCINNATI AND COLUMBUS, OHIO
43, 100
458,887
12,546
23,382
5, 348
1'1('A)I.
Recli,ired Tax
Rale fc,r iwi,
Prevbus
C(} It!111115
0. 1112
0.5090
0.4679
0.3256
MILLS
MHAS
M11.1 S
Mil.1.9
0- MILLS
0
MILLS
0. 1219
1.5356
I;'< Fr'; A11)1'i·)11
Mil.IS
MILIS
0- 0- 0-
0- 0- 0-

Ordinance 16-1997

ORDINANCE NO.16-97
1
BY: ES-(enbero
AN ORDINANCE TO AMEND ORDINANCE NO. 42-96 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1997 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, 1997 and ending December 31, 1997,and;
WHEREAS, the Manager has recommended appropriations to supplement previously made appropriations.
NOW,THEREFORE,be it ordained by the Council ofGranville,Ohio,that:
Section I:
Section II:
Account No.
Al-7-F-230
Section IV:
Passed this
The annual budget ofthe Village of Granville,as established by Ordinance No. 42-96,
be amended by the Council,as recommended by the Manager,and is hereby adopted.
To provide for Operating Expenditures during the fiscal year ending December 31,
1997,the following appropriations are hereby made in the General Fund:
Account
Boards C&ommissions -Contractural Services
Add
10,000.00
That this ordinance shall take effect and be in full force from and after the earliest
period allowed by law.
17 day of 535P*re,cpe . 907.
utl»ib- 4'4* Attest:
Cletk
ofgtjbii -0
Approved,ap>1@7
141U5L(4/, 7- Law Diredor

Ordinance 15-1997

ORDINANCE NO.15-97
1
BY:
AN ORDINANCE TO AMEND ORDINANCE NO. 42-96 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1997 ANDREVISING SUMS FOROPERATING 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, 1997 and ending December 3 b,1997,and;
WHEREAS, the Manager has recommended appropriations to supplement previously made
appropriations.
Section I:
Section II:
NOW,THEREFORE,be it ordained by the Council of Granville,Ohio,that:
Account No.
Al-7-C-230
Al-7-E-230
Section III:
Account No.
B13-1-A-250
Section IV:
Attest:
The annual budget ofthe Village of Granville,as established by Ordinance No. 42-96,
be amended by the Council,as recommended by the Manager,and is hereby adopted.
To provide for Operating Expenditures during the fiscal year ending December 31,
1997,the following appropriations are hereby made in the General Fund:
Account
Contractual Services -Municipal
Court Costs
Fanchion Lewis Taxes -Second Half
UtilitiesI n&surance
Add
1,000.00
4,646.00
4.000.00
8,646.00
To provide for Operating Expenditures during the fiscal year ending December 31,
1997,the following appropriations are hereby made in the Law Enforcement &
Education Fund:
Account
Capital Outlay
Add
3,995.00
That this ordinance shall take effect and be in fi111 force from and after the earliest
period allowed by law.
dayof 03*usfA t P\«l/l
9,
14 -*OU
ClofCouil
Approvbrm:
MAK,4M*V#- /
Law -9*ector
t
Passed this

Ordinance 14-1997

1
BY: MOn•boner)
ORDINANCE NO. 14-97
TABLED
AN ORDINANCE TO VACATE CERTAIN ALLEYS
ADJACENT TO SUNRISE STREET
WHEREAS,in the opinion of Council,there is good cause for vacating existing alleys located
immediately to the east of Sunrise Street in the Village of Granville and that such vacation will not be
detrimental to the general interest ofthe adjacent property owners or general public,pursuant to the
provisions of Section 723.05 ofthe Ohio Revised Code;
WHEREAS,written consent to this vacation has been filed with Council by the abutting
landowners,pursuant ofthe provisions of Section 723.06 ofthe Ohio Revised Code.
Section I:
Section II:
NOW THEREFORE,BE IT ORDAINED by the Council of Granville,Ohio that:
Section III:
Passed this
All ofthose certain alleys designated on the plat of Isaiah Jone's Addition to the Village c,f
Granville,Ohio,as found in Plat Book 2,page 410,which lie in between the south line of
Lot 4, and the north line of Lot 5 in said addition,and adjacent to the east ( rear)lines of Lots 1,4,5,and 10 of said addition,IS HEREBY VACATED.
The vacation ofthe parcel by this ordinance shall be subject to the right of way and
easement therein at any abutting lot owner as provided for in Section 723.08 ofthe Ohio Revised Code.
This ordinance shall take effect and be in full force from and after the earliest period allowed by law.
6+k day of
Attest:
A« GAW
Clerk of Cocil O
0. Law 2fector
1997 33*,»u*G» A-(%
1 F1/Ron0a1ld4.N'.3.8'9D9e-b4or5ohR.Eliot.__
FSlocrhyultJh.e8issJohn E. \
f-0-3 294-8:860 i'
3
Kooriho Sterrett T- r, |A OR 715 -453 TT.0)
0.6.b,
OR.598 949
Sandra L. Taylor 80-144
James E.LeVere,et.al. 1 Lawrence R.D&elores 1 OR·337-641 Nadvodneg
0 @ V
795-953 -
ALLEY r
50
9
5a
59.5
42
42
COLLEGE
1--.
1/
EAST Gronvil le
lSZ<-_,
9. 47-706 i 75--574--
3 00 6
8 9 · 10 7 -8 j -l- Rj +
01 43.3 / S D -' / 50' f 14» / PH liv I 10, 1 . 5-00 1(' i 11/ 0 5 4 45 1U---6- -5 3Alj&' 1 1
Awl
12 A I 0. ee 08.AZA 0/
A g G 1@- lf) 2 2< LLS El LOO-
1 4 uA 1 . 1
co 1 f2;634:1%3 / 1 634' 41
r:rz 3333 iF 616, 9 2illd' ie'x r pa3i;
1
1
1, I
Ivt144& '
us14\91
0#.
O
GraSnuchifotea,Exemoted.. 1 0[strict
142 - 65
Thomas M.8 Sara W.Sharp
JohnM.E&lsieM. K,rkendol'
390-1/ 6
Pae+rs+on
J€on
70-368
30-209
f ;1 f 417- 283;727-451;
Lawrence L Cramer 4525..
OR·399-456 LU
n 1 0 - 9 4 -27/ 7s&L. H£e/ 20 j
Ce S 7%59:*
g @44 StepOheRn·3A9 6T&-5e2re3sa Contini
55
55 7
r -
38
42
42
1 0. 58'
OCN E, 107)
Date.
Date:
Date:
CONSENT TO ORDINANCE TO VACATE ALLEYS
LYING EAST OF SUNRISE STREET
VILLAGE OF GRANVILLE,OHIO
O.R.C. SECTION 723.06
The undersigned,being all of the owners of the property abutting those certain
alleys proposed to be vacated by the Village of Granville,Ohio,as described below, hereby
consent to such vacation:
Being those certain alleys designated on the plat of Isaiah Jone's Addition to the
Village of Granville,Ohio,as found in Plat Book 2,page 410,which lie in between
the south line of Lot 4,and the north line of Lot 5 in said addition, and adjacent to
the east ( rear)lines of Lots 1, 4,5,and 10 of said addition.
Date: 3fc, iI,7
Date: 3<97
.
119 1/199*7 l
Date: 1,/1 91
1)7 » Ju/97
21© j97
Date: 42-620-97
Date: 2<2'0 -1-7
Date:
Date: s ( 13 197
0m-t1i&ti * ,
6/JohnWKirkendQ11
wk m 141041
Elsie M. KirKendoll
v Jesse E. Patterson
07071£
a»j _ -7- >A*LL4J ' Emmafean Pat erson
F-26JL« '
uTE.Fraley
144A*14)L--d,FLlA/v* A.j :
James L. Shriner
40944* (
Helen J.ShMer
bi»0.u-u Sphen A. Contini
Teresa Contini
f Course C Granv6i1l;-*
By·. t-fT<
Board of Education of Granville Exempted *
School Ij?ct , r .
58 F..e£«o- ,,*,
151 AUrU AG- 44& 6- EA,vc«l,C rZLe- 45. r'*6,4 1- WA' Al-24 6 4
54#4 6 8>10#1<0 4&64 664,4. / r tl»:I .M #16U" r 1 °A'-.C-- /1 L*W,r.4/SSt

Ordinance 13-1997

ORDINANCE NO. 13-97
1
1
By: Frel laJ
AN ORDINANCE TO AMEND ORDINANCE NO. 42-96 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1997 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 yearbeginning January 1, 1997 and ending December 31, 1997,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-7-C-230
Section III:
Passed this
The annual budget ofthe Village of Granville,as established by Ordinance No. 42-96,
be amended by the Council,as recommended by the Manager,and is hereby adopted.
To provide for Professional Services during the fiscal year ending December 31, 1997, the following appropriations are hereby made in the General Fund:
Account Add
Contractual Services -Municipal
Court Costs 2,878.00
That this ordinance shall take effect and be in fill force from and after the earliest
period allowed by law.
day of 3- -6 EAttest:
Al.LG» Clerk ofCourlcil
L.j,\/
150141&
84<r-7--
Lawrector

Ordinance 12-1997

j
ORDINANCE NO. 12-97
1
BY: Racl@
ANORDINANCE TO AMEND SECTION 1175.02 OF THE
CODIFIED ORDINANCES OF GRANVILLE,OHIO.
WHEREAS,the existing Section lists Conditional Uses in the Suburban
Business District but does not specifically mention child careres*choot facilities,and
WHEREAS,a child careres*chool facilities use is consistent with the current
conditional uses of that district,and
WHEREAS,a child careres*chool facilities use is consistent with the
Granville Comprehensive Plan,and
WHEREAS,permitting child carep/reschool facilities in this district will
improve the ordinance,
NOW,THEREFORE,be it ordained by the Council of the Village of
Granville,Ohio that.
Section I: Section 1175.02b( )6()ofthe Granville Codified Ordinances shall be
amended to include:
child carep/reschool facilities
Section II: This Ordinance take effect and be in full force upon the earliest date
allowed by law.
Passed this
Attest:
8 +L
14 Se
Cldrk of CooAcil d
day of
Approved alto form:
Fr6l,f , d t(EV/M'RAJ#
Law Dtor
199f. SIN441

Ordinance 11-1997

ORDINANCE NO. 11-97
1
BY: 111 Gowan
AN ORDINANCE TO AMEND SECTION 1305.01 OF THE
CODIFIED ORDINANCES OF GRANVILLE,OHIO.
WHEREAS,Section 1137.05 forbids an owner,lessee,or tenant of a structure,
building or land from changing the use ofthat property without the issuance of a
zoning certificate,and
WHEREAS,review and processing of such an application requires
considerable expenditure of time and resources by the Village,and
WHEREAS,Section 1139.06 requires notification of all permit decision
through certified mail,
NOW,THEREFORE,be it ordained by the Council of the Village of
Granville,Ohio that:
Section I:
Section II:
Section 1305.01 ofthe Granville Codified Ordinances shall be and
hereby is amended to include the following two (2)items:
1305. 1 FEES FOR ZONING CERTIFICATES
Change in Use 20.00
Mailing 5.00
Passed this
Attest:
This Ordinance take effect and be in full force upon the earliest date
allowed by law.
6*L day of
v™
00
Clerk ofCour@il U
Approved as to form:
Law,irector
J '48
199 1441
A , 1, 1 1s.\tA/\/ Ij 1 -
N
lyJ*Ul«&'
Mayor Ab"U

Ordinance 10-1997

ORDINANCE NO. 10-97
1
BY:
AN ORDINANCE TO AMEND SECTION 1305.04 OF THE
CODIFIED ORDINANCES OF GRANVILLE,OHIO.
WHEREAS,the existing Section specifies that an applicant is responsible for
the expense of the professional review of their plans and the professional inspection of
their improvements,and
WHEREAS,the existing section does not provide sufficient financial incentive
for the applicant to pay these expenses in a timely manner,and
WHEREAS,prolonged attempts to collect such expenses create a burden upon
the resources of the Village,
NOW,THEREFORE,be it ordained by the Council ofthe Village of
Granville,Ohio that:
Section I: Section 1305.04 ofthe Granville Codified Ordinances shall be amended to
add subsection ( b)as follows:
b)The applicant in section ( a)will make full payment of the invoice
amount for those services listed in section (a)within 30 days of the invoice
date. If the applicant does not pay the invoice amount within the permitted
time period,said applicant will be assessed an immediate penalty equal to
25%of the full balance of the invoiced amount,and interest will accrue on
the outstanding balance of the invoiced amount at the rate of10%per year,
to be paid to the Municipality,until complete payment is made.
Section II: This Ordinance take effect and be in full force upon the earliest date
allowed by law.
Passed this
Attest:
1/
CleAc ofCocil
Approved
44C*
LawI*Gctor
dayof l (u - 199644 %
AAn ..J B
Jvlayor
fk 2 *4'*
6 +L
or :

Ordinance 09-1997

1
VILLAGE OF GRANVILLE, OHIO
ORDINANCE NO. 09 -99
AN ORDINANCE PROVIDING FOR THE ISSUANCE OF
800,000 OF NOTES BY THE VILLAGE OF GRANVILLE,
OHIO, IN ANTICIPATION OF THE ISSUANCE OF BONDS
FOR THE PURPOSE OF PAYING PART OF THE COST OF
CONSTRUCTING IMPROVEMENTS TO THE MUNICIPAL
SANITARY SEWER SYSTEM, AND DECLARING AN
EMERGENCY.
WHEREAS, this council has heretofore determined the necessity of
constructing improvements to the sanitary sewer system of this municipality; and
WHEREAS, the Director of Finance, the fiscal officer of this municipality,
has heretofore estimated that the life of the project hereinafter described is at least five (5)
years, and certified that the maximum maturity of the bonds issued therefore is forty (40)
years, and of the notes to be issued in anticipation thereof is twenty (20)years; and
WHEREAS, this council expects that the debt service on such notes and bonds
will be paid from the net revenues of the municipal sanitary sewer system (the "Revenues"); and
WHEREAS, notes heretofore issued in anticipation of such bonds are about mature and should be renewed to in the amount of $800,000;
NOW, THEREFORE, BE IT ORDAINED by the Council of Granville, Ohio hereinafter called the "Municipality"):
SECTION 1. That it is necessary to issue bonds of the Municipality in the principal amount of 8$00,000, for the purpose of paying part of the cost of constructing improvements to the municipal sanitary sewer system. Such bonds shall be dated approximately May 1, 1998, shall bear interest at the rate of approximately nine per cent 9 %per)annum and shall mature in substantially equal annual or semiannual installments
over a period not exceeding forty ( 40)years after their issuance.
SECTION 2. That it is hereby determined that notes h(ereinafter called the oNf soaitdebso"inn)dsth.e principal amount of 8$00,000 shall be issued in anticipation of the issuance
SECTION 3. That the Notes shall be dated May 19, 1997, shall bear interest
at the rate of
per cent ( per annum, payable at maturity, shall mature on May 19, 1998, and
shall be of such number and denominations as may be requested by the purchaser.
SECTION 4. That the Notes shall be in fully registered form without
coupons, shall bear the signatures of the Village Manager and Director of Finance, provided
that either or both such signatures may be facsimiles, and may bear the seal of the
Municipality or a facsimile thereof. The Notes shall bear the manual authenticating signature
of an authorized representative of such bank or trust company designated by the original
purchaser of the Notes and approved by the Director' of Finance, which is hereby designated
to serve as the paying agent, registrar and transfer agent ( the "Paying Agent and Registrar")
for the Notes. The principal of and interest on each Note shall be payable at the principal
office of the Paying Agent and the Registrar to the person whose name appears on the Note
registration records as the registered holder thereof. The Notes shall be designated "Sanitary
Sewer Improvement Bond Anticipation Notes, Fourth (1997)Renewal", and shall express
upon their faces the purpose for which they are issued and that they are issued in pursuance of this ordinance.
The Notes shall be transferable by the registered holder thereof in person by his or attorney duly authorized in writing at the principal office of the Paying Agent and
Registrar upon presentation and surrender thereof to the Paying Agent and Registrar. No
transfer of any Note shall be effective until entered upon the registration records maintained
by the Paying Agent and Registrar. Upon such transfer, a new Note or Notes of authorized
denominations of the same maturity and for the same aggregate principal amount shall be
issued to the transferee in exchange therefor.
The Municipality and the Paying Agent and Registrar may deem and treat the
registered holders of the Notes as the absolute owners thereof for all purposes, and neither
the Municipality nor the Paying Agent and Registrar shall be affected by any notice to the contrary.
SECTION 5. That the Notes shall be sold, at par and accrued interest, to SeasongoodM &ayer, Cincinnati, Ohio, in accordance with their offer to purchase, which is hereby accepted. The Village Manager and Director of Finance, or either of them, are each hereby authorized to execute and deliver a purchase agreement for the Notes in substantially the form submitted to this council with such changes as may be approved by the officers executing the same, their execution on behalf of the Municipality to be conclusive evidence of such authorization and approval. The proceeds from the sale of the Notes, except any premium or accrued interest thereon, shall be paid into the proper fund and used for the puos*e aforesaid and for no other purpose, and for which purpose such proceeds are hereby appropriated. Any premium and accrued interest received from such sale shall be transferred to the bond retirement fund to be applied to the payment of principal and interest on the Notes in the manner provided by law.
2-
SECTION 6. That the Notes shall be the full general obligations of the
Municipality, and the full faith, credit and revenue of the Municipality are hereby pledged
for the prompt payment of the same. The par value received from the sale of bonds
anticipated by the Notes, and any excess fund resulting from the issuance of the Notes, shall
to the extent necessary be used only for the retirement of the Notes at maturity, together with
interest thereon and is hereby pledged for such purpose.
SECTION 7. That during the period while the Notes run, there shall be levied
upon all of the taxable property in the Municipality, within applicable limitations, in addition
to all other taxes, a direct tax annually, not less than that which would have been levied if
bonds had been issued without the prior issue of the Notes; said tax shall be and is hereby
ordered computed, certified, levied and extended upon the tax duplicate and collected by the
same officers in the same manner and at the same time that taxes for general purposes for
each of said years are certified, extended and collected. Said tax shall be placed before and
in preference to all other items and for the full amount thereof.
The funds derived from said tax levy hereby required shall be placed in a
separate and distinct fund and, together with interest collected on the same, shall be
irrevocably pledged for the payment of the principal and interest of the Notes, or the bonds
in anticipation of which they are issued, when and as the same fall due; provided, however,
to the extent Revenues or other moneys are available and appropriated for debt service in sufficient a amount, said tax shall not be collected for such purpose.
SECTION 8. That this council, for and on behalf of the Municipality, hereby
covenants that it will restrict the use of the proceeds of the Notes hereby authorized in such
manner and to such extent, if any, and take such other actions, as may be necessary, after
taking into account reasonable expectations at the time the debt is incurred, so that they will
not constitute obligations the interest on which is subject to federal income taxation or arbitrage bonds"under Sections 103(b)2()and 148 of the Internal Revenue Code of 1986, as amended (the "Code") and the regulations prescribed thereunder and will, to the extent possible, comply with all other applicable provisions of the Code and the regulations
thereunder to retain the exclusion from federal income taxation for interest on the Notes,
including any expenditure requirements, investment limitations or rebate requirements or use restrictions. The Director of Finance or any other officer having responsibility with respect to the issuance of the Notes is authorized and directed to give an appropriate certificate on behalf of the Municipality, on the date of delivery of the Notes for inclusion in the transcript of proceedings, setting forth the facts, estimates and circumstances and reasonable expectations pertaining to the use of the proceeds theteof and the provisions of the Code and the regulations thereunder.
SECTION 9. That the Notes are hereby designated as "qualified taxe-xempt obligations" to the extent permitted by Section 265b( )of the Code. This council finds and determines that the reasonably anticipated amount of taxe-xempt obligations w(hether designated as qualified)issued and to be issued by the Municipality during or not this calendar year
T
3-
including the Notes does not, and this council hereby covenants that, during such year, the
amount of tax-exempt obligations issued by the Municipality and designated as "qualified
tax-exempt obligations"for such purpose will not, exceed $10,000,000. The Director of
Finance and other appropriate officers, and any of them, are authorized to take such actions
and give such certifications on behalf of the Municipality with respect to the reasonably
anticipated amount of tax-exempt obligations to be issued by the Municipality during this
calendar year and with respect to such other matters as appropriate under the Code.
SECTION 10. That for purposes of this ordinance, the following terms shall
have the following meanings:
Book entry form"or "book entry system"means a form or system under
which (i)the beneficial right to payment of principal of and interest on the Notes may be
transferred only through a book entry, and ( ii)physical Note certificates in fully registered
form are issued only to the Depository or its nominee as registered owner, with the Notes
immobilized"to the custody of the Depository, and the book entry maintained by others
than the Municipality is the record that identifies the owners of beneficial interests in those
Notes and that principal and interest.
Depository" means any securities depository that is a clearing agency under
federal law operating and maintaining, together with its Participants or otherwise, a book
entry system to record ownership of beneficial interests in Notes or principal and interest,
and to effect transfers of Notes, in book entry form, and includes and means initially The
Depository Trust Company a( limited purpose trust company)N,ew York, New York.
Participant"means any participant contracting with a Depository under a book entry system and includes security brokers and dealers, banks and trust companies, and clearing corporations.
All or any portion of the Notes may be initially issued to a Depository for use in a book entry system, and the provisions of this Section shall apply to such Notes, notwithstanding any other provision of this ordinance. If and as long as a book entry system is utilized with respect to any of such Notes: i()there shall be a single Note of each maturity; i(i)those Notes shall be registered in the name of the Depository or its nominee, registered owner, and immobilized in the custody of the Depository; ( as iii)the beneficial
owners of Notes in book entry form shall have no right to receive Notes in the form of physical securities or certificates; i(v)ownership of beneficial interests in any Notes in book entry form shall be shown by book entry on the system maintained and operated by the Depository and its Participants, and transfers of the ownership of beneficial interests shall be made only by book entry by the Depository and its Participants; and v( )the Notes as such shall not be transferable or exchangeable, except for transfer to another Depository or to another nominee of a Depository, without further action by the Municipality. Debt service charges on Notes in book entry form registered in the name of a Depository or its nominee shall be payable in the manner provided in the Municipality's agreement with the Depository
1.
4-
to the Depository or its authorized representative (i)in the case of interest, on each interest
payment date, and (ii)in all other cases, upon presentation and surrender of Notes as
provided in this ordinance.
The Paying Agent and Registrar may, with the approval of the Municipality,
enter into an agreement with the beneficial owner or registered owner of any Note in the
custody of a Depository providing for making all payments to that owner of principal and
interest on that Note or any portion thereof (other than any payment of the entire unpaid
principal amount thereof)at a place and in a manner (including wire transfer of federal
funds)other than as provided in this ordinance, without prior presentation or surrender of the
Note, upon any conditions which shall be satisfactory to the Paying Agent and Registrar and
to the Municipality. That payment in any event shall be made to the person who is the
registered owner of that Note on the date that principal is due, or, with respect to the
payment of interest, as of the applicable date agreed upon as the case may be. The Paying
Agent and Registrar shall furnish a copy of each of those agreements, certified to be correct
by the Paying Agent and Registrar, to any other paying agents for the Notes and to the
Municipality. Any payment of principal or interest pursuant to such an agreement shall
constitute payment thereof pursuant tO, and for all purposes of, this ordinance.
The Director of Finance is authorized and directed without further action of
this council to execute, acknowledge and deliver, in the name of and on behalf of the
Municipality, a blanket letter agreement between the Municipality and The Depository Trust
Company, as Depository, to be delivered in connection with the issuance of the Notes to the
Depository for use in a book entry system, and to take all other actions the Director of
Finance deems appropriate in issuing the Notes under a book eritry system.
If any Depository determines not to continue to act as Depository for the Notes
for use in a book entry system, the Municipality and the Paying Agent and Registrar attempt to establish may a securities depository/book entry relationship with another qualified
Depository under this ordinance. If the Municipality and the Paying Agent and Registrar do
not or are unable to do so, the Municipality and the Paying Agent and Registrar, after the Paying Agent and Registrar has made provision for notification of the beneficial owners by the then Depository, shall permit withdrawal of the Notes from the Depository and authenticate and deliver Note certificates in fully registered form to the assigns of the Depository or its nominee, all at the cost and expense i(ncluding costs of printing definitive Notes)if, the event is not the result of action or inaction by the Municipality or the Paying Agent and Registrar, of those persons requesting such issuance.
SECTION 11. That the Director of Finance is hereby authorized without further action of this council to execute and deliver an agreement with the Paying Agent and Registrar for its services as paying agent, registrar and transfer agent for the Notes, in each case in such form as such officer may approve, the execution thereof by such officer to be conclusive evidence of such authorization and approval.
1.
5-
SECTION 12. That the Director of Finance is hereby directed to forward a
certified copy of this ordinance to the county auditor.
SECTION 13. That it is found and determined that all formal actions of this
council concerning and relating to the passage of this ordinance were passed in an open
meeting of this council, and that all deliberations of this council and of any of its committees
that resulted in such formal action, were in meetings open to the public, in compliance with
the law, including Section 121. 22 of the Ohio Revised Code.
SECTION 14. That this ordinance is hereby declared to be an emergency
measure necessary for the immediate preservation of the public peace, health, safety, morals
and welfare of the inhabitants of the Municipality for the reason that the immediate issuance
and sale of the Notes is necessary to provide for the orderly financing of the improvements
to which the Notes relate, and, therefore, provided this ordinance receives the affirmative
vote of at least five members elected or appointed to this council, it shall be in full force and
effect immediately upon its passage.
PASSED: May 7, 1997.
27
Attest: f01114146*b ClerkfCon{c/il
Mayor
6-
OVFILLFAGICE IALCOPY OFGRANVILLE
day c,f May
TF.N-N·111.1. (™IER] 711(A'11
FOR POLVI'ICAL.SUIJDIVISIONS ISSWINC;UNVO1lil) 1 1({NI{WAI.Oill-IGATION 13ONIS) AN[)NO'IES I
7he uildersigried, CC U) N-j'Y AUDJ7 OR of Licking Ccillilly. () 11 Ille Village lii„Il,e,el,y ceitilies iii c<1,1e!,ctic„w,ith a p:,pc,sed issile 1(,01*0*.Notes
,- -Granville
ili Ilie prilicip;1,altic,u,11 ul- 8$00/00__&_.'_Oditled May 19 19 97 , th:1, ilie rilles required Ic, p1(rc,li(tce tile highest arii,ual clebl cliarges fi,r the prcipcs,ed issue ai,id all c,ther. issues of ·said sul,ilivisiciii ;li,d Ille slibilivisic,lis overl:p,l,ilig it. wilich are paytil,le l'rc,111 taxes sltlj,ecl la1x11d,eupll(ic!laittiell alirlel}i li;as tilck))1I1i0i)w1'sArticle XII, Sectiori 2, Ohic)Colislitillic,11, h;s,ed lip(l,illie fticls lierei,1,iller set Ic,rili atid assuiiiii,g Ilitic :ill levies were to lie Iliade tlierel(r,011 Ilie geller;1,
Overlapi,l)lg Assessed
Sulidivisit )11 Valiialicm
Coulity 2,023,959,870
Licking
Granville 6*91¥
Village
School
District
Township
if any)
PLEASE NOTE INSTRUCTNI{S)
ON REVERSE SIDE
82,038,830
1)ATI,l)tl,is
Bonds and Noles 0„s(tanding
a) Special Assessie„ ,il bonds &., ,
nciles iii t,rigilial or reli,Alled
IC,n".
b) All t„lier'Inkids>n&,tdippay- ''' '
al,le fr<i,n,r(is,ecured hyilaxes
iliside lt) 111ill liltiflatic,Ii:
a) .Specia,1A.,fsesse'i"t h(n, ds&...
tic,tes <iii 7„igi-lial 04 refuird'ed
11) All c,ther. lic,tids &nt,les payable
fri,111 (ir secured by taxes
iliside-10,ftiillylii„itatiThf v'»..-2
Bc,nds.l&ic,l e.ss·p' i,yal,le .frolijl lixes{1:4''
inside 10111ill li,ititaticili
a) Special Assessliie,it bonds &
11,les iii c,rigii;il (r,refunded
1(r,,11:
8TH
lireseli[
l'ri,icipal
A mi,tii,1
klit (h,arges fc,r fiscal year in wh ch they
will tocal Ilte highest, lo-wit, 19 98
kir pril,cipal for li,ic rest
865,000 $ 182,000- . .. $ 43,100
7,758,400 571,400 458,912
Prcipc,sed issue: $ 44,450
1 9 97
PECK, SHAFFER & WILLIAMS, L.L.P
BOND ATTORNEYS
CINCINNATI AND COLUMBUS, OHIO
40,010
1'1('A)1'.
Reclitired I ax
Rale ft,r I wi,
Prevbus
111111115
0. 1112 MIl.LS
0.5091 Mil.1.S
Mil.IS
1.0295
MILI- S
Mill.S
MILLS
Mil.IS
1.6498 MII.IS
t
1
C' Cl i '''Al 11)1'1(11)

Ordinance 08-1997

VILLAGE OF GRANVILLE, OHIO
ORDINANCE NO. 08-99
AN ORDINANCE PROVIDING FOR THE ISSUANCE OF
89,000 OF NOTES BY THE VILLAGE OF GRANVILLE,
OHIO, IN ANTICIPATION OF THE ISSUANCE OF BONDS
FOR THE PURPOSE OF PAYING PART OF THE COST OF
CONSTRUCTING IMPROVEMENTS TO THE MUNICIPAL
SANITARY SEWER SYSTEM, AND DECLARING AN
EMERGENCY.
WHEREAS, this council has heretofore determined the necessity of
constructing improvements to the sanitary sewer system of this municipality; and
WHEREAS, the Director of Finance, the fiscal officer of this municipality,
has heretofore estimated that the life of the improvements hereinafter described is at least
five (5)years, and certified that the maximum maturity of the bonds issued therefore is forty
40)years, and of the notes to be issued in anticipation thereof is twenty (20)years; and
WHEREAS, this council expects that the debt service on such notes and bonds
will be paid from special assessments heretofore levied against the properties benefitted by such improvements t(he "Revenuesa"n)d;
WHEREAS, notes heretofore issued in anticipation of such bonds are about to mature and should be renewed ln the amount of $89,000;
NOW, THEREFORE, BE IT ORDAINED by the Council of Granville, Ohio hereinafter called the "Municipality"):
SECTION 1. That it is necessary to issue bonds of the Municipality in the principal amount of 8$9,000, for the purpose of paying part of the cost of constructing improvements to the municipal sanitary sewer system. Such bonds shall be dated approximately November 1, 1997, shall bear interest at the rate of approximately nine per cent 9%pe)r annum and shall mature in substantially equal annual or semiannual installments over a period not exceeding forty (40)years after their issuance.
SECTION 2. That it is hereby determined that notes h(ereinafter called the saNidobtoensd"sin). the principal amount of 8$9,000 shall be issued in anticipation of the issuance of
SECTION 3. That the Notes shall be dated May 19, 1997, shall bear interest
at the rate of
per cent ( per annum, payable at maturity, shall mature on November 19,
1997, and shall be of such number and denominations as may be requested by the purchaser.
SECTION 4. That the Notes shall bear the signatures of the Village Manager
and Director of Finance, provided that one of such signatures may be a facsimile, and may
bear the seal of the Municipality or a facsimile thereof. The Notes shall be designated
Sanitary Sewer Improvement Bond Anticipation Notes, Series B",and shall be payable at
such bank or trust company designated by the original purchaser of the Notes and approved
by the Director of Finance, and shall express upon their faces the purpose for which they are
issued and that they are issued in pursuance of this ordinance.
SECTION 5. That the Notes shall be sold, at par and accrued interest, to
SeasongoodM &ayer, Cincinnati, Ohio, in accordance with their offer to purchase, which is
hereby accepted. The Village Manager and Director of Finance, or either of them, are each
hereby authorized to execute and deliver a purchase agreement for the Notes in substantially
the form submitted to this council with such changes as may be approved by the officers
executing the same, their execution on behalf of the Municipality to be conclusive evidence
of such authorization and approval. The proceeds from the sale of the Notes, except any premium or accrued interest thereon, shall be paid into the proper fund and used for the
purpose aforesaid and for no other purpose, and for which purpose such proceeds are hereby
appropriated. Any premium and accrued interest received from such sale shall be transferred
to the bond retirement fund to be applied to the payment of principal and interest on the Notes in the manner provided by law.
SECTION 6. That the Notes shall be the full general obligations of the
Municipality, and the full faith, credit and revenue of the Municipality are hereby pledged for the prompt payment of the same. The par value received from the sale of bonds
anticipated by the Notes, and any excess fund resulting from the issuance of the Notes, shall
to the extent necessary be used only for the retirement of the Notes at maturity, together with interest thereon and is hereby pledged for such purpose.
SECTION 7. That during the period while the Notes run, there shall be levied
upon all of the taxable property in the Municipality, within applicable limitations, in addition to all other taxes, a direct tax annually, not less than that which would have been levied if bonds had been issued without the prior issue of the Notes; said tax shall be and is hereby ordered computed, certified, levied and extended upon the tax duplicate and collected by the same officers in the same manner and at the same time that taxes for general purposes for each of said years are certified, extended and collected. Said tax shall be placed before and in preference to all other items and for the full amount thereof.
The funds derived from said tax levy hereby required shall be placed in a separate and distinct fund and, together with interest collected on the same, shall be
2-
irrevocably pledged for the payment of the principal and interest of the Notes, or the bonds
in anticipation of which they are issued, when and as the same fall due; provided, however,
to the extent Revenues or other moneys are available and appropriated for debt service in a
sufficient amount, said tax shall not be collected for such purpose.
SECTION 8. That this council, for and on behalf of the Municipality, hereby
covenants that it will restrict the use of the proceeds of the Notes hereby authorized in such
manner and to such extent, if any, and take such other actions, as may be necessary, after
taking into account reasonable expectations at the time the debt is incurred, so that they will
not constitute obligations the interest on which is subject to federal income taxation or
arbitrage bonds"under Sections 103(b)2()and 148 of the Internal Revenue Code of 1986, as
amended (the "Code") and the regulations prescribed thereunder and will, to the extent
possible, comply with all other applicable provisions of the Code and the regulations
thereunder to retain the exclusion from federal income taxation for interest on the Notes,
including any expenditure requirements, investment limitations or rebate requirements or use
restrictions. The Director of Finance or any other officer having responsibility with respect
to the issuance of the Notes is authorized and directed to give an appropriate certificate on behalf of the Municipality, on the date of delivery of the Notes for inclusion in the transcript
of proceedings, setting forth the facts, estimates and circumstances and reasonable
expectations pertaining to the use of the proceeds thereof and the provisions of the Code and the regulations thereunder.
SECTION 9. That the Notes are hereby designated as "qualified taxe-xempt obligations" to the extent permitted by Section 265(b)of the Code. This council finds and
determines that the reasonably anticipated amount of taxe-xempt obligations w( hether or not designated as qualified)issued and to be issued by the Municipality during this calendar year including the Notes does not, and this council hereby covenants that, during such year, the
amount of tax-exempt obligations issued by the Municipality and designated as "qualified
tax-exempt obligations" for such purpose will not, exceed $10,000,000. The Director of
Finance and other appropriate officers, and any of them, are authorized to take such actions
and give such certifications on behalf of the Municipality with respect to the reasonably anticipated amount of taxe-xempt obligations to be issued by the Municipality during this calendar year and with respect to such other matters as appropriate under the Code.
SECTION 10. That the Director of Finance is hereby directed to forward a certified copy of this ordinance to the county auditor.
SECTION 11. That it is found and determined that all formal actions of this council concerning and relating to the passage of this ordinance were passed in an open meeting of this council, and that. all deliberations of this council and of any of its committees that resulted in such formal action, were in meetings open to the public, in compliance with the law, including Section 121.22 of the Ohio Revised Code.
3-
SECTION 12. That this ordinance is hereby declared to be an emergency
measure necessary for the immediate preservation of the public peace, health, safety, morals
and welfare of the inhabitants of the Municipality for the reason that the immediate issuance
and sale of the Notes is necessary to provide for the orderly financing of the improvements
to which the Notes relate, and, therefore, provided this ordinance receives the affirmative
vote of at least five members elected or appointed to this council, it shall be in full force and
effect immediately upon its passage.
PASSED: May 7, 1997.
Attest:
Cleof CouMcil
4
4-
11{N- IVIll.1. (I{Irl 11· 1(A1
FOR POLVIICAL.SUIJDIVISIONS ISSWINC; CJNVOTI{l)Cil{Nlil{Al. 1(1)1-IGATION IJONIS) AN[)NOTIES
7 he luidersiglied, C(1I)-N'I'Y AUD!7OR of Licking Village Granville lilll
c,f y. (h)it,,lie,el,y ce,lil ies ili c<li,liectic)11 with a p c',lic,sed issue 01 9010*.Notes lillie 000 &89,000 iii the prilicip;1, :111u,(li,t-01 $800 dmed May 19 19 97 , ili:1, Ilie r:t,es required Ic,
1p(rI,il)klu(cie„I1ll1e'illhilgilhileicstalaicti)i,,ual. cleb[ cli;r,ges Ic,r tlie prcipcs,ed issue alid all c,ther issues i,1. said sul)li(visic,ii ;ind ilie subdivisic,lis c,verl:p,pilig it. which :r,e imy:li,le Irc,iii taxes sulj,ecl tax duplicate 1 01-Article XII, Secticin 2, 1(1)ic,Cc,listitillic1),, 11s;,ed up(11,tile facts herei I )Il,ler set Ic,rth aid assuliii g„Ili;1,1,11 levies were tol,e liiade Illerclc,r (11,Ilie gelieri,1 are as Ic)llows
0veilappilig
S u t,d i v is ic, n
Licking
Granville
Assessed
V,71„Mum
County 2,023,959,870
6,# 98¥
Village
School
District
lownship
if any)
PLEASE NOTE INSTRUCTII)NS
ON REVERSE SIDE
OFFICIAL COPY VILLAGE OF GRANVILLE
82,038,830
1)A'1'1[)tliis
Bonds and Notes Oilistanding
a) Special Assessitie,il bonds &
nc,les iii (ri,gilial or relunded
Ic,n 11:
Ch) All,c,ther lic,lids &n,tes payal,
le frc,1,1 ,r: secured hy.taxes
i,iside 1()ii,ill lit,illatic,ii:
a) Special, A<ses%tie,tic hc,nds &
11t(e,<il)' r(id,itial r(,refunded
I . f/, rTii:-* :;
Ch) All <tl,ier 1l,i„ds &ni,les payable
fic,111 ',r secured by taxes
iliside 10 it,ill littiitatitin:6-
Boiidsl ic&,le,s:pi,yal,le frolii taxes
inside 10 liiill liii,ilatic)11:
a) Special Assess,ize,it borids &
tic,les iii (r,igi 111,1 (r ,refulided
fc,r,11:
8TH May
prese,11
1 ' r i,ic i pa I
Ammm,
eli, lia(r'ges fc,r fiscal yead in wh ch they
will ,ca(l,Ilie highest. to.wit, 19 98
h,r Mincftial ft)r lill<Ics[
000 182,000
7,758,400 571,400
PrHPI}sed issue: $ 44,450
19 97
PECK, SHAFFER & WILLIAMS, L.L.P
BOND ATTORNEYS
CINCINNATI AND COLUMBUS, OHIO
43,100
458,912
40,010
1'1('A)I' .
Reclitircil I ,7x
Rate fc,r I wo
Previl,us
0. 1112
0.5091
1. 0295
1. 6498
MI[- LS
Mil.IS
Mil.1 S
M 11-1-S
Mill. S
MILLS
M 1 1 .1.S
Mil.1S -
4
865,
C' ll ' ,A' lll )1'1( l)t

Ordinance 07-1997

ORDINANCE NO.07-97
1
1
1
BY: Else.h berj
AN ORDINANCE TO AMEND ORDINANCE NO.42-96 PROVIDING
FOR ADJUSTMENTS OF THE ANNUAL BUDGET FOR THE FISCAL
YEAR 1997 AND REVISING SUMS FOR OPERATING EXPENSES.
WHEREAS, pursuant to the provisions of Section 2.08 of Article 11 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, 1997 and ending December
31, 1997, 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: The annual budget of the Village of Granville, as established by
Ordinance No. 42-96, be amended by the Council, as recommended by
the Manager, and is hereby adopted.
Section 11: To provide for Operating Expenditures in the General Fund during the
fiscal year ending December 31, 1997, the following appropriations hereby made in the General are Fund:
Account No.
Al -4-F230
Al -7-1<230
Al -7-F211
Al -7-F212
Account Add
Comm. Serv. -Contractual Serv. 6,500
Law Fund -Contractual Services 50,000
Bds. and Commissions -SalW./ ages $3,600
Bds. and Commissions -Emp. Bene. $ 700
Section 111: To provide for Operating Expenditures in the Road Improvement Reserve
Fund during the fiscal year ending December 31, 1997, the following
appropriations are hereby made in the Road Improvement Reserve Fund:
Account No.
A6-6-8250
Account
Road Improvement Reserve
Add
51, 910
Section IV: To provide for Operating Expenditures in the Sewer Debt Service Fund during the fiscal year ending December 31, 1997, the following
appropriations are hereby made in the Sewer Debt Service Fund:
Account No.
Cl-5-C260
Account
SDS Reserve Fund
Add
68,732
Section V: To provide for Operating Expenditures in the Sewer Replacement &
Improvement Fund during the fiscal year ending December 31, 1997, the following appropriations are hereby made in the Sewer,Replacement & Improvement Fund:
Acc6unt No.
C3-5-G260
Account
Debt Service Fund
Add
50,000
1
1
1
Ordinance No. 07-97
Page 2
Section VI: To provide for Operating Expenditures in the Sewer Fund during the fiscal
year ending December 31, 1997, the following appropriations are hereby
made in the Sewer Fund:
Account No. Account
E2-5-H230 Contractual Services-N. Pearl St.
Add
8,750
Section VII: To provide for Operating Expenditures in the Equipment Reserve Fund
during the fiscal year ending December 31, 1997, the following
appropriations are hereby made in the Equipment Reserve Fund:
Account No.
F2-1-A250
Account
Capitol Outlay
Add
3,376
Section VIll: To provide for Operating Expenditures in the Special Assessment Fund
during the fiscal year ending December 31, 1997, the following
appropriations are hereby made in the Special Assessment Fund:
Account No.
Hl -5-H260
Account
Debt Service Fund
Add
37,268
Section IX: This Ordinance shall take effect and be in full force upon the earliest date
allowed by law.
Passed this 9 +1
Attest:
€AAL#O. df Clerk of COLIcil
Approvd»Sd@form:
l 1 //21 1 / 541 f 71LA*. Lawfector sf
day of mgy 1997.
3'94* 40 v Mayor

Ordinance 06-1997

ORDINANCE NO. 06-97
1
By: 1Ylon-ljorner
AN ORDINANCE TO AMEND CHAPTER 1175 OF THE .
CODIFIED ORDINANCES OF THE VILLAGE OF GRANVILLE,OHIO,
AND TO DECLARE AN EMERGENCY.
WHEREAS,the Village Council of Granville,Ohio,wants to promote the health,safety
and general welfare ofthe village and its inhabitants by providing suitable areas for a mixed use,
visually integrated neighborhood with a moderate concentration of various types of compatible
businesses to service neighborhood needs,and residences while providing neighborhood and
Village enhancing features,such as adequate parking,appropriate landscaping,screening,
desirable aesthetics,and site design intended to eliminate adverse effects of traffic congestion,
and;
WHEREAS,in addition,the Village Council wants to provide for increased tax revenues
to both the local schools and the Village,while minimizing costs to the Village for infrastructure
acquisition and maintenance,and with preservation or enhancement of,rather than harm to,
neighborhood,Village,and Granville Township quality of life and property values,and;
WHEREAS,the 1990 Granville Comprehensive Plan provides for periodic review of"plan
goals and objectives and policiesa.n.d."that the V".il.la.ge.c.o.uld then add amendments to the
plan as necessary to reflect community attitudesa",nd;
WHEREAS,the Granville Comprehensive Plan Review Committee has conducted a review ofthe Suburban Business District and related community attitudes and has incorporated
and documented any resulting changes to goals,objectives,and policies in this ordinance.
NOW,THERFORE,Be it ordained by the council of Granville,Ohio,that:
Section I: Chapter 1175 ofthe Codified Ordinances ofGranville,Ohio is amended as shown in Exhibit A,attached hereto and incorporated herein.
Section II: Ordinance 04-96 is,with respect to prohibition ofrezoning, superceded to the extent
necessary to fully implement this ordinance.
Section III: This ordinance is hereby declared to be an emergency measure necessary for the immediate preservation of the public peace,health,safety and welfare of the
Municipality and its inhabitants. Wherefore,this ordinance shall be in full force and effect from and immediately upon passage.
Passed this l6 day of
Attest.:
1
Iyka«f/
Clerk ofCoitu)
i i Vi CM7l-u,m)< 7- Law Djpdctor 1
Ap¥.i; 1997.
CCFAJL.
-tk\AwAh)uQij Mayor rvv./
0
EXHIBIT A
1175.01
1175.02
1175.03
1175.04
1175.05
CHAPTER 1175
Suburban Business District
Purpose and intent
Permitted and Conditional uses
Development standards and design guidelines
Plan approval required
Procedure for approval
CROSS REFERENCES
Signs -see P. &Z. Ch. 1189
Off-Street Parking and Loading -see P. &Z. Ch. 1183
Fences,walls and hedges -see P. &Z. 1187.03 ( b)
Tree and Landscape Requirements -see P. &Z. Ch. 1193
Architectural Review Overlay District -see P. &Z. Ch. 1161
Conditional Uses -see P. &Z. Ch. 1145
1175.01 PURPOSE AND INTENT
The purpose and intent integrated ofthe Suburban Business District is to provide suitable areas for a mixed use,visually neighborhood with a moderate concentration ofvarious types ofcompatible businesses to service neighborhood needs,and residences while providing neighborhood and Village enhancing features,such as adequate parking, appropriate landscaping,screening,desirable aesthetics,and site design intended to eliminate adverse effects oftraffic congestion. The Suburban Business District is intended to provide increased tax revenues to both the local schools and the Village,while minimizing costs to the Village for infrastructure acquisition and maintenance,and with preservatior or enhancement of,rather than harm to,neighborhood,Village,and Granville Township quality oflife and property values.
1175.02 PERMITTED AND CONDITIONAL USES
a)Permitted Uses:
1)Rligehtatiilnogu,ptlaeitnst;furniture,clothing,jewelry,drug,shoe and variety stores,hardware,appliance, and wallpaper stores.
2)Retail food preparation: meat markets,bakeries,specialty food shops,ice cream stores, delicatessens,coffee shops,tea shops,confectionery stores,and other similar facilities all ofwhich shall be limited to on-premise sales only.
3)Specially shops: antique shops,gift shops,magazine,book stores,card shops,stationery stores, florist shops,arts and crafts supplies stores,bridal shops,health food stores,musical instruments stores,music stores,bicycle stores,toy stores,audio equipment stores,video equipment stores,china stores,glassware stores,linen stores,computer stores,software stores,quilting stores,fabric stores, sopffoicretinsgupgpoloydsstooruetlse,tpsi.cture frame stores,video rental stores,camera and photography shops and
4)Service,and places ofassembly:Laundromat,dryc-leaning and laundry picku-p stations,barber and cbeivaicuty shops,physical fitness centers,shoe repair and tailor shops,print shops,copy shops,and structures,religious structures and other places ofassembly. 5)Business and professional offices:such as medical and dental offices and clinics,law offices, insurance offices,real estate offices,advertising agency offices,answering service offices,
architects' offices,Certified Public Accountants' offices,engineers'offices,interior decorators'
offices,and financial services offices including financial planner offices,and stock brokerage
offices.
b) Conditional Uses:
1)Mortuaries and funeral homes.
2) Gas stations,restaurants and all other traffic oriented commercial establishments.
3)Banks,finance and utility company offices.
4) Grocery stores,convenience stores,hotels,motels and inns.
5) Single family,two-family and multifamily residential units.
6)Retirement community,nursing homes,or assisted living structures.
7) Recreational facilities and entertainment uses.
8)Drive-ins,drive- ups,or drive- throughs in conjunction with a permitted,or approved conditional
use,except,that drive-up,drive- through,or drive- in facilities shall not be permitted in or at any fast
food enterprise,or any enterprise involving the sale of beverages ( for the purposes of this section, fast food enterprise is a a business engaged in the sale of pre-prepared or quickly prepared food and beverages,usually in disposable containers and wrappers,for consumption either on or off premises,
in a facility in which a major portion of the food and beverage sales to patrons are at stand-up type counters or drive-in,drive-up,or drive- through arrangements).
c )Interpretation Of This Section
Each use must have its own independent approval,whether permitted or conditional.
1175.03 DEVELOPMENT STANDARDS AND DESIGN GUIDELINES
a)Lot,Building and Other Reauirements:
Category No-residential Residential
Density Maximum of 5,000 total gross square Maximum of 4 dwelling units per acre. feet per acre.
A density bonus is available for certain
A density bonus is available for certain open space plans. See Open Space
open space plans. See Open Space below.)
below.)
Lot Coverage Lot coverage shall not exceed 50%In. Not applicable.
measuring lot coverage,all buildings
and other covered areas,such as parking
areas,sidewalks,loading areas,
driveways and driveway areas,shall be
included.
A density bonus is available for certain
open space plans. See Open Space
below.)
Building Orientation Office buildings shall be clustered and Any side of a building which faces a arranged in a campus like setting to public street,righto- fw-ay,public park facilitate common open space. or open space shall be compatible with
and use the same types ofmaterials as Any side of a building which faces a the other sides of the building. public street,right-of- way,public park,
or open space shall be compatible with
and use the same types of materials as the other sides of the building.
Maximum Single Tenant or Single 4,000 gross square feet. Not applicable.
Use ( does not apply to office,civic or
institutional uses)
Lot Size Maximum of 5 acres for any lot which The gross density in a development
includes one or more non-residential, shall not exceed one unit per one and
non-office,non-civic or non- one-half acres.
institutional uses.
The maximum density is four units on
any given acre in development. Publicly
dedicated streets shall not be included in
the computation of area.
Build To Lines 20 feet from the right-of- way line along Same as front yard setback.
arterial streets ( for example,Main
Street and Cherry Valley Road).
30 feet from the right-of- way along
secondary streets c(ollector, local,culdes-
ac,and service streetsw),here at
least 50%of the front facades of
structures shall be at the build to line.
Front Yard Setbacks The front yard setback shall be the build 50 feet for collector and arterial streets, to line. and 25 feet for all other streets.
Either at least 50%of the front facades
of structures shall be at the build to line,
or at least 50%of the build to line shall
be at the front facades of the structures.
Side Yard Setbacks 15 feet minimum for lots greater than 1 15 feet minimum
acre in size.
5 feet minimum for lots less than or
equal to 1 acre in size.
OnS-ite Parking Parking areas must be located behind Maximum parking ratio of 2 spaces per the front facade of the proposed unit in the case ofmultifamily uses. buildings.
Minimum parking ratio of 1.75 spaces Maximum of 1 space per 250 square per unit.
feet of building space,except in the case
ofmedical and dental offices and clinics Parking areas must be located behind where there shall be a maximum of 1 the front facade of the proposed
space per 200 square feet ofbuilding buildings except in the case of single space. family residences.
Parking areas must contain internal Parking areas must contain internal landscaped islands at a rate of a landscaped islands at a rate of a minimum of 200 square feet for every minimum of 200 square feet for every 10 parking spaces. 10 parking spaces.
Parking areas must contain a minimum Parking areas must contain a minimum of 1 deciduous tree for every 10 parking of 1 deciduous tree for every 10 parking spaces in the internal landscaped spaces in the internal landscaped island. islands.
Parking areas must be screened from the
No parking or drive aisles will be
permitted in any setback other than in
the case of drive aisles where necessary
to grant ingress and egress.
No berms or landscaping mounds are
permitted.
Minimum of 15 feet wide in front of
retail.
Shall be integrated with the village's
pathways plan.
Tree lawns and street planting zones of
at least 6 feet in width,in addition to
walkway and parking shall be provided.
Parking areas must be screened from the view of the public right-of-way and any
view of the public right-of-way, open space areas by a 42 inch minimum
residential areas,and any open space evergreen hedge,or by a 42 inch brick
areas by a 42 inch minimum evergreen or natural stone wall.
hedge,or by a 42 inch brick or natural
stone wall. No parking or drive aisles will be
permitted in any setback other than in
the case of drive aisles where necessary
to grant ingress and egress.
Berms/ Landscaping Mounds No berms or landscaping mounds are
permitted.
Sidewalks Minimum of 6 wide feet required along
all public right- of-ways.
Minimum of 6 feet wide in front of Shall be integrated with the village' office,civic and institutional s uses. pathways plan.
Required along all public right-of- ways.
Street Trees
Tree lawns and street planting zones of
at least 6 feet in width,in addition to
walkway and parking shall be provided.
Street trees must be planted in straight Street trees must be planted in straight lines along each side of any street or lines along each side of any street or public right-of- way. public right-of-way.
Street trees shall be planted no less than Street trees shall be planted no less than 24 feet and no more than 36 feet on 24 feet and no more than 36 feet on center. center.
Each street tree shall have at least 100 Each street tree shall have at least 100
square feet ofwater permeable surface square feet of water permeable surface centered on the tree trunk to help ensure centered on the tree trunk to help ensure adequate root moisture. adequate root moisture. Walls,Fences and Hedges Fences and hedges are permitted in the Fences and hedges are permitted in the ofrfo4n2t yinacrdhesse.tback to a maximum height front yard setback to a maximum height of 42 inches.
Walls used to screen service areas shall Walls used to screen service areas shall be brick or stone to a minimum height be brick or stone to a minimum height oscfr1eefonoedt .higher than service area being of 1 foot higher than service area being screened
Non-residential uses shall be separated
from other uses at the side and rear by a continuous hedge of landscaping,or
brick or stone wall. These hedges or
walls shall be 42 inches high.
A density incentive of an additional
5,000 gross square feet per acre of
density ( or a total of 10,000 gross
square feet per acre)p,lus an additional
20%for a total of70%lot coverage,
plus in the case of lots to be used
exclusively for offices,an additional
2,000 gross square feet of density ( for a
total of 12,000 gross square feet per acre
for such office uses)is available in
return for the dedication of open space
under the following conditions:
1) The dedication is of a minimum of
20%of the gross total tract area,
and
2)50%of the dedicated open space is
further dedicated for public use,
including trails,parks,active
recreation and the like,and
3)The Planning Commission
approves the dedication. In
considering approval, the Planning
Commission shall be guided by: a()
the usefulness of the open space for
trails,paths,parks,greens,and
active recreation areas,including
whether or not the tract's proposed
open space adjoins in a harmonious
manner other existing public open
spaces,and ( b)the degree to which
the dedication includes desirable
open space areas such as forests,
floodplains, steep slopes,and
historical sites,structures,and
plantings.
Right- of- ways shall not be counted as
open space.
Scenic retention ponds are encouraged
as a means of treating non-point source pollutants. 40%of the perimeter of
these ponds,at the outfall,shall be
planted in native wetland plantings.
Building design shall be of traditional
American styles,such as: Postmedieval
A density incentive of an additional 2
dwelling units per acre ( for a total of 6
dwelling units per acre and a gross
density of 1 unit per acre)are available
in return for the dedication of open
space under the following conditions:
1) The dedication is of a minimum of
20%of the gross total tract area,
and
2)50%of the dedicated open space is
further dedicated for public use,
including trails,parks, active
recreation and the like,and
3)The Planning Commission
approves the dedication. In
considering approval,the Planning
Commission shall be guided by: ( a)
the usefulness of the open space for
trails,paths,parks,greens,and
active recreation areas,including
whether or not the tract's proposed
open space adjoins in a harmonious
manner other existing public open
spaces,and b()the degree to which
the dedication includes desirable
open space areas such as forests,
floodplains,steep slopes,and
historical sites,structures,and
plantings.
Right- of-ways shall not be counted as open space.
Scenic retention ponds are encouraged
as a means of treating non-point source pollutants. 40%of the perimeter of
these ponds,at the outfall,shall be
planted in native wetland plantings.
Building design shall be traditional
American styles,such as: Postmedieval
pen Space
Detention Basins and Retention Ponds Detention basins shall be designed by a Detention basins shall be designed by a landscape architect in conjunction with landscape architect in conjunction with an engineer to ensure that they an engineer to ensure that they
incorporate naturalistic shapes and that incorporate naturalistic shapes and that they are planted and maintained in an they are planted and maintained in an attractive manner. attractive manner.
Building Style
Buildings which the ordinary reasonable
person would readily associate with a
particular entity based on viewing two
or more other buildings used by the
entity,will be considered in their
entirety as signs. As such,all exterior
surface square footage shall be taken
into account under applicable sign
ordinances and regulations.
Building massing shall be appropriate,
including as related to surrounding
setbacks,surrounding buildings,the
spaces which are created by the
building,and the scale.
Roofs shall have a minimum pitch of
8/12.
Window arrangement on all facades
shall be simple and harmonious.
English,Dutch Colonial,French English,Dutch Colonial,French
Colonial,Georgian,Adam,Federal, Colonial,Georgian,Adam,Federal,
Greek Revival,Gothic Revival, Greek Revival,Gothic Revival,
Italianate,Stick,Queen Anne,or Italianate,Stick,Queen Anne,or
Shingle. Shingle.
Office buildings shall be a minimum of Buildings shall be a minimum of 1.5
1.5 stories and a maximum of 2 stories. stories and a maximum of 2.5 stories.
All other buildings shall be a minimum
of 2 stories in appearance and a The entrance to the first floor of any
maximum of 2.5 stories. structure shall be at or above grade.
The entrance to the first floor of any
structure shall be at or above grade.
Building Massing Building massing shall be appropriate,
including as related to surrounding
setbacks,surrounding buildings,the
spaces which are created by the
building,and the scale.
The appropriate architectural massing The appropriate architectural massing and scale shall be achieved by close and scale shall be achieved by close
adherence to the scale and adherence to the scale and
proportioning systems of the traditional proportioning systems of the traditional American styles. American styles.
Roof Simple gable roof forms and dormers Simple gable roof forms and dormers
are the most consistent with the are the most consistent with the
architectural context of the village and architectural context of the village and are encouraged. are encouraged.
Roof structuresi n(cluding air Roofs shall have a minimum pitch of conditioning units and satellite dishes) 8/12.
shall be screened from view on all sides.
Windows
Window arrangement on all facades
shall be simple and harmonious.
Horizontal strip windows are prohibited. Horizontal strip windows are prohibited.
Divided light windows,ando/r mullions, Divided light windows,ando/r mullions, are required for all windows,including are required for all windows.
Brick may be painted if the entire
exterior surface of the brick and related
mortar is painted the same color.
Any drive-throughs,drive-ins,and
drive- ups shall be in the rear of the
structure,and ingress to and egress from
drive-throughs,drive- ins,and drive-ups
shall be from the parking lots at the rear of the structure.
A maximum of 18 hours per day.
Colors selected from the Sherwin-
Williams H"eritage Colors"series,the
CoronadoC "hesapeake Bay Restoration
Colors"series,and the Benjamin Moore
Historical Color Collection"series are
pre-approved.
No above grade garages are permitted.
N/ A
Colors selected from the Sherwin-
WilliamsH "eritage Colorss"eries,the
CoronadoC "hesapeake Bay Restoration
Colors"series,and the Benjamin Moore
Historical Color Collection"series are
pre-approved.
Garages must be set back a minimum of
4 feet from the front facade of the
dwelling building.
There shall be no more than 2 adjacent
garage doors facing the street.
Alllighting shall be natural in
appearancea (pproximate spectrum of
sunlight)w,ith a maximum level of 25
those used for retail display.
Shutters,if used,must each be one half
Shutters,if used,must each be one half of the width of the window so they
of the width of the window so they appear to be able to cover the window
appear to be able to cover the window opening if closed.
opening if closed.
Materials Building materials shall be natural. Building materials shall be natural.
Brick,stone and wood siding are Brick, stone and wood siding are
preferred. High grade R"estoration" preferred. High grade R"estoration"
vinyl or equal is permissible. vinyl or equal is permissible.
Chimneys shall be brick or stone. Chimneys shall be brick or stone.
For the purpose of this chapter,stone Brick shall be of a traditional natural
includes both natural stone and cultured range of colors,and not exotic
stone that is both natural in appearance nontraditional varieties,such as white,
and is designed to appear native to this tan,cream,chocolate brown,glazed,or region of the country. spray painted to resemble used brick.
Brick shall be of a traditional natural Brick may be painted if the entire
range of colors,and not exotic exterior surface of the brick and related
nontraditional varieties,such as white, mortar is painted the same color.
tan,cream,chocolate brown,glazed,or
spray painted to resemble used brick.
Drive- throughs,Drive-ins,and Drive- N/A
ups
Hours of Operation
Colors
Garages
No garage door facing a street shall be
larger than 9 feet in width.
Lighting Alllighting shall be natural in
appearancea (pproximate spectrum of
sunlighO,with a maximum level of 25
b) Traffic Requirements:
A traffic and parking system plan shall be shown that details points of ingress and egress into public the property, and private drives,parking areas and pedestrian walkway areas. The plan shall be so designed to minimize conflict points between pedestrian and vehicular movement while maintaining ample and safe
walkways and pathways. The Commission shall not approve the plan unless they find the plan provides adequate ingress and egress and does not adversely impact traffic patterns nor increase traffic usage of municipal streets to the detriment of the safety and welfare of the public.
1175.04 PLAN APPROVAL REQUIRED
An application and plan is required for all new construction,exterior modification or structural alteration in the Suburban Business District.
The application and plan shall show the following:
a)Drawings sufficient to determine adherence to the requirements ofthe Zoning Ordinance,including: all proposed and neighboring structures shall be located, and the drawings shall delineate the type,color and nature ofmaterials used as well as show square footage,tenant types and expected entrances( ),service and pedestrian areas for the plan,and floor plans and elevations. A sample of exterior materials to be used in the proposed project shall be included as determined necessary by the Planning Commission e(xcept in the case ofbrick and natural or cultured stone where samples are always required).
b)Traffic concept: All points of ingress and egress into public roadways and the overall traffic distribution fsoclhloewmeedsihnaclllubdeess:hown,indicating traffic flow patterns and traffic control points. The criteria that must be
1)Combined curbcuts,especially for any uses that are incorporated in a commercial development; 2)Minimization of conflict points between auto and pedestrian traffic to include adequate design and demarcation ofpedestrian walkways and bikeways from parking ando/r driveway areas; 3)Service traffic separation from customer and commuter traffic;
4)Service drives or other such improvements may be required if area traffic conditions warrant.
c )Parking and utilities: The proposed provision ofall utilities,storm drainage retention ando/r detention,trash schoollewcntion systems and the lighting system shall be specifically detailed. A detailed parking layout shall be to include the following:
1)Number of spaces indicated by total number ofons-ite spaces and to be summed by row; 2)Access points and expected movement through and between separate parking areas;
L L
footcandles anywhere on the site. footcandles anywhere on the site.
All lighting shall meet the Village of Alllighting shall meet the Village of
Granville Exterior Lighting Guidelines. Granville Exterior Lighting Guidelines.
Use of Details Building and lighting details should be Building and lighting details should be
appropriate to the scale,overall design appropriate to the scale,overall design
concept and style of the building and its concept and style of the building and its
environment. environment.
Landscaping and Pedestrian Plants should be used for positively Plants should be used for positively
Environment Enhancement accentuating and highlighting the accentuating and highlighting the
architectural details of structures,and architectural details of structures,and
the surrounding land. the surrounding land.
Elements which contribute to the quality Elements which contribute to the quality
of the pedestrian environment are of the pedestrian environment are
preferred. Included among these may preferred. Included among thesemay
be benches,water fountains,seating be benches,water fountains,seating
areas,arcades,awnings or canopies. areas,arcades,awnings or canopies.
3) Expected pedestrian access routes from parking areas to structures.
d)Landscaping: All proposed site landscaping shall be indicated as to type and size of material to be used,
proposed locations,and other features.
e) A site analysis plan which includes and identifies,at minimum,basic topography,existing vegetation,
location of wetlands ( as defined in Section 404 of the Clean Water Act and federal regulations implementing
that section)1,00y-ear floodplains,slopes exceeding 25%soil,s subject to slumping as indicated on the
medium- intensity maps contained in the county soil survey published by the USDA Natural Resources
Conservation Service,land required for street rights-of- way,and land under or required for the purposes of
this plan to be under permanent easement prohibiting future development ( including easements for drainage,
access,and utilities)a,nd historical sites,structures,and plantings.
f) Any other plans determined necessary by the Planning Commission for assessing conformance to this
Chapter 1175.
1175. 05 PROCEDURE FOR APPROVAL
a) Application for a zoning certificate in the SBD shall be submitted with eight complete copies of the required
plan ( except for any required samples of exterior materials where only one sample of each material is
requiredt)o, the Zoning Inspector. Applications must be completed in order to be processed. However,
partial processing of an application by the Village does not eliminate the requirement for providing further information as necessary to meet the review as described in this Chapter 1175. The time frames as established in Section 1141.05 shall be applicable.
b)After staff review and recommendations,the application and plans shall be forwarded to the Planning Commission for hearing. The Commission may request additional information from the Zoning Inspector in order to make its recommendation. In determining the acceptability of the site plan,the Commission shall consider all of the requirements in the development standards and design guidelines of Section 1175.03.
c)In the case of an application for one or more conditional uses ando/r applications involving one or more variances,after the hearing and consideration,the Commission shall,either with or without application modifications,approve the application contingent on the applicant obtaining the approval,under the application as contingently approved by the Commission,of the Board ofBuilding and Zoning Appeals of any conditional usess( )and variances( )o,r deny the application. In all other cases,after the hearing and consideration,the Commission shall approve or deny the application,or approve with modifications.
d)Thereafter,the Zoning Inspector shall issue or refuse to issue a zoning certificate. In all circumstances,the site plan shall be considered a condition of approval of the application. The applicant shall obtain zoning permits within one year from the date of approval. With approval of the Commission,subsequent minor modifications of the approved site plan may be made,provided such changes do not alter the essential character,as determined by the Commission,of the original plan as approved. If the Commission , determines that such changes are significant,the site plan shall be resubmitted to the Commission for approval as a new application. Any new construction,exterior modification or structural alteration to neuxiissatinncges. tructures which proceed prior to final approval ofthe site plan shall be deemed to be an abatable
e) A 'ppeals. Any person who is aggrieved or affected by the decision ofthe Commission on an application for site plan approval shall have the right to appeal to Council. The appeal shall be filed with the Village Clerk not later than ten days after the decision is delivered by personal service or postmarked in the U.S.mail, postage prepaid,return receipt requested,to the applicant,or ten days after the decision ofthe Commission on the application is filed with the Village Clerk,whichever occurs last.O (rd. 1,69-3.Passe2d19+-9.) 04-4 7 44-/-11

Ordinance 05-1997

1
1
BY:
ORDINANCE NO. 05-97
Nol-31O0*UCED
AN ORDINANCE TO AMEND ORDINANCE NO. 52-92 TO
CREATE A PARK LANDS RESERVE FUND AND A ROAD IMPROVEMENT
RESERVE FUND.
Be it ordained by the Council of Granville,Ohio,that:
Section I: There is hereby created a Park Lands Reserve Fund A3,which is to consist of
monies transferred thereto from other Village funds to be used for the purpose of
acquiring and maintaining park lands.
Section II: There is hereby created a Road Improvement Reserve Fund,A6,which is to
consist of monies transferred thereto from other Village funds to be used for the
purpose of improving roads throughout the Village where appropriated.
Section III: This Ordinance shall take effect and be in force from and after the earliest date
allowed by law.
Attest:
Clerk of Council
Approved as to form:
Law Director
Passed this day of
Mayor
1997.

Ordinance 04-1997

1
1
BY:
III,and;.
F3I ,k-eig
ORDINANCE NO. 04-97
--7-ABLets
AN ORDINANCE TO ADD SECTION 1157.14 (a)through (c)AND MODIFY
SECTION 1135.01 (a)OF THE CODIFIED ORDINANCES OF THE VILLAGE OF
GRANVILLE
WHEREAS,drive-through food or beverage service facilities are not currently addressed in Title
WHEREAS,Such facilities are hereby deemed inappropriate for Granville.
NOW THEREFORE,BE IT ORDAINED by the Council of Granville,Ohio that:
Section I: Section 1157.14 is hereby added to the Granville Codified Ordinances to read as follows:
1157. 14 Restrictions On Drive-Through Food Or Beverage Service Facilities
Section II:
Section III:
Passed this
Attest:
Clerk of Council
a) Notwithstanding district regulations contained in Title III ofPart 11 ofthe Granville
Zoning Code,no structure shall be constructed,erected,converted or altered for the
purpose of using it or any portion of it as a drive- through food or beverage service
facility on or after the effective date of this legislation.
b) No existing use of any property situated within the Village of Granville shall be altered
so as to permit the operation of a drive-through food or beverage service facility.
c) No zoning variance,approval of conditional use of property,approval of plans,or
permits or other approvals to construct,erect,convert,alter,modify,use or occupj an),
structure shall be approved,granted,authorized,issued or permitted by the Village:of
Granville ifthe structure or any portion thereof is for the operation of a drive- through
food or beverage service facility.
Section 1135.01 (a)ofthe Granville Codified Ordinances is hereby modified to includ :
Approved as to Form:
Drivet-hrough facilitym" eans any retail or service establishment that provides a designated place where persons can drive in vehicles in such proximity to the
establishment that they can or are permitted to conduct the major portion of their
business with the establishment without having to exit their vehicles.
Drive- through food or beverage service facility"means a retail or service
establishment described in Section 1135.01 (a)that serves food and/ or beveray :s
as part of its business.
This ordinance shall take effect and be in full force from and after the earliest period allowed by law.
day of
Mayor
1997
Law Director

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