Granville Community Calendar

Ordinance 07-1997

ORDINANCE NO.07-97
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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
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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

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