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1941 March Council ProceedingsRegular Session, Nlarch 3rd, 1941. 39 ,~ ® ~ a (Official.) Regular Session, 1\Iarch 3rd, 1941 Council met at 8:15 P. NI. Present-lYlayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, Wharton, City D~Ianager Rhom- berg. 1\Iayor Thompson stated that this is the regular monthly meeting of the City Council for the purpose of acting upon such business as may properly come before the meeting. Councilman Van Duelman moved that the rules be suspended for the purpose of allowing any one present iu the Council Chamber, who wishes to do so, to address the Council. Sec- onded by Councilman Wharton. Car- ried b}~ the following vote: Yeas - lllayor Thompson, Councilmen Mur- phy, Schueller, Van Duelman, Whar- ton. Nays-None. Petition of the Shiloh Circle No. 37 Ladies of the G. A. R. requesting per- mission for the holding of a tag da}* on Saturda}~, April 12th, 1941 presented and read. >Vlrs. L. C. Wiley addressed the Council requesting that the peti- tion of the Shiloh Circle No. 37 Ladies of the G. A. R. be granted. Council- man Van Duelman moved that the re- quest be granted. Seconded by Coun- cilman Wharton. Carried by the fol- lowing vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None. Petition of J. ~V. Lundin et al re- questing the City Council to amend and redefine that section in the City Zoning Ordinance that requires a lot with stx thousand square feet area for the building of single family dwellings so that it will only require five thou- sand square feet area presented and read. DIr. J. W. Lundin addressed the Council requesting that favorable action be taken on the petition. Coun- cilman ZVharton moved that the peti- tion be referred to the Planning and Zoning Commission. Seconded by Councilman Van Duelman. Carried by the following vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None. Notice of Claim of James C. 11IcDon- ald in the amount of $3,000 for injuries sustained in a fall on the cross walk on the west side of the intersection of 10th & Main Streets presented and read. Councilman Vau Duelman mov- ed that the Notice of Claim be referred to the City Solicitor for investigation and report. Seconded by Counctlmau Schueller. Carried by the following vote: Yeas-Mayor 'Thompson, Coun- cilmen 1lurphy, Schueller, Van Duel- man, Wharton. Nays-None. Communication of Harlan G. Mel- chior submitting application for ap- pointment as a member of the Board of Review presented and read. Coun- cilman Van Duelman moved that the communication be referred to the Council. Seconded by Councilman Wharton, Carried by the following vote: Yeas-1\~Iayor Thompson, Coun- cilmen T/urphy, Schueller, Van Duel- man, ZVharton. Nays-None. Communication of John H. Weimer submitting application for reappoint- ment as a member of the Board of Revie~e presented and read. Council- man ~'an Duelman moved that the communication be referred to the Council. Seconded by Councilman Schueller. Carried by the following vote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, R~harton. Navs-None. Communication of Massachusetts Bonding & Insurance Company sub- mitting Revocation of Power of At- torney of Thomas M. Langton present- ed and read. Councilman Murphy mov- ed that the communication and Revoca- tion of Power of Attorney be placed on file. Seconded by Councilman Wharton. Carried by the following vote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, Wharton. Nays-None, Petition of the Dubuque Trades and Labor Congress requesting permission to use the City Taots at the Fourth Street $xtension for the holding of a carnival during either the first or sec- ond week in June, 1941 presented and read. Councilman Van Duelman mov- ed that the request be granted under the provisions of the existing ordi- nances. Seconded by Councilman Wharton. Carried by the following vote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, Wharton. Nays-None, Petition of hlr. and Mrs. D. J. Schneider et al requesting the rezoning of the property lying west of Prairie Street and bounded on the north by Loras Boulevard and the south by West 11th Street, as shown on the at- tached plat, from a double residence district to a multiple residence district presented and read. Councilman Murphy moved that the petition be re- -. i I i . I } a.a `;~~ .,st; ^,~° :, =' ~, ~,. tip _ ;a,„:.. ~° -1 ;1 ;; "; I ~. _~ i I~I ~I~~~r~ ~ r 3r 1941 Re ular session IV1a ch d 40 pp 9 ~7 9 i ',;i,!, ferrecl to the Planning and Zoning ~ February 23, 19.11. . ~;' ' Commission for their recommendation " I and report, Seconded by Councilman LOV,~en In re Claims of: P~Irs. Susan ~~'harton. Carried by the following and PJIrs. ®. S. Brewer vote: i eas-Mayor Thompson, Coun Honorable ~Ia or and cilmeu i\Iurphy, Schueller, Van Duel- Members of the City Council, man, ~~ harton. Nays-None. City of Dubuque, Iowa. ~!~°~' ''~ ~ ~~ ~ I i P T*i F r o loin Co. re_ c ~ turn of o d H p s Gen~lemen: ~ ;I~ ' ' ''' ' ;' ~~II'. cuestin a refund ou then ci arette li- 1 g g~ Detective Sullivan was called to the ' ; ~'! ' 1' ,i~,l tense No. 51 as they have discontinued scene of an accident in front of the ~I !.i~ ,,;i, business as of March 1st, 1941 present- lluntz Florist property at 2313 Jack- ~ ~ '~ ~i i',i! ,~~ i Ip ed and read. Councilman Schueller son Street on February 27, 19-}1, at 'd ~ ~~I moved that the request be granted and ~ t th dit i t th Cit A b t d t ,ehicit time he learned that Mrs. Su- ,!, „!, or ns ruc e a y u e o ~ e ;,tIt L,ot~•en, a lady of about %0 years i r,!~, ,~~,,~ draw a warrant in the amount of $25.00 i of age, fell on said sidewalk at or near i ii, , i, in favor of Ford Hopkins Co. to cover t~ here it joins with the sidewalk next 'i I i°! .''~ ` ' ~ ~' the amount of refund granted on their southerly to said ?~Iuntz property. He ' ~ I~, ~ , ~ ~~i ~ cigarette license as of l~~larch 1st, 19-11. ~ -also learned that tllrs. O. S. Brewer ' ii i i;~i 1! Seconded by Councilman Murphy. Ie11 at the same place within about i;j!' ~,,ii?,~" Carried br the following rote: Yeas ,,,1 hour from the time that the first i Zip;; ';,':i',' ~ R~Iayor Thompson, Councilmen Illur-- lady fell; Detective Sullivan reported ,. !' ',!, ~ phy, Schueller, Van Duelman, ZVhar- this matter to the undersigned. I went '^, .'',,'i ton. Nays-None. to the scene of the accident with De- ' "'!' '~',~~ tectire Sullivan, found that pipes came Reports of the Interstate Power Company showing analysis of revenues and expenses and rate of return for , electric and bus transportation service j as of Novemh,°r 30, 19-10 presented aad read. Councilman Murph}~ moved that the reports be referred to the Coun- j cll. Seconded by Councilman Schuel- ler. Carried b}~ the following vote: Yeas-P~Iayor Thompson, Councilmen Murphy, Schueller, Van Duelman, \Vharton. Nays-None. February 26, 19=41 To the Honorable lIa_vor and Cit}- Council, Dubuque, Iowa. Gentlemen: :',t a meeting of the Planning and Zoning Commission February 25, 19.41 said Commission rescinded its ac- tion approving the petition of J. W. Lundin requesting approval of revised plat of property at RTest Third and Algona Streets. Therefore, the Planning and Zoning Commission wishes no~v to recommend to the Cit}* Council denial of the J. W. Lundin petition. Respectfully submitted PLANNING AND ZONING COA~IMISSION, By R. V. McILAY, Secretary Councilman Van Duelman moved that the communication of the Plan- ning and Zoning Commission be re- ceived and filed. Seconded by Coun- cilman Schueller. Carried by the fol- lowing vote: Yeas-Mayor Thompson, Councilmen 1\~Iurphy, Schueller, Van Duelman, Wharton. Nays-None. from the greenhouse owned by the lluntz Florist at 2813 Jackson Street, and discharged water within a short distance from the side~ralk, which ~va- ter ran upon the sidewalk; that where the i~Iuntz Sidewalk joins with the sidewalk of the propery next southerl}- tl.c:re is a raise of about ttvo inches. This conclitiou is a dangerous condi- tion aucl should be remedied. 'T'hat llrs. Brewer cut and bruised her ankle and soiled some of her cloth- ing; tha*_ i1/rs. Lowen `vas generally braised and shaken up and soiled some of her clothing. That after investiga- tion, I find that these ladies agree to settle their claims for $5.00 each. T recommend that illrs. Susan Locr- e;i's claitil be allowed in the sum of X5.00, a.nd that Mrs. O. S. Brewer's claim be allowed in the stun of $5.00, and that the money be paid to them upon delivery to the City of Dubuque f a proper receipt and release. Respectfully submitted, JOHN J. ISINTZINGER, Cit}- Solicitor-. Councilman Van Duelman moved that the recommendation of City So1_i- ci±or Iiintzinger be approved anti that tLe City Auditor be instructed to draw a ~.rarrant in the amount of $5.00 in favor of llrs. Sarah Lowen and also to draw a warrant in the amount of $5,00 in favor of Mrs. O. S. Brewer as settlement in full of their claims and that said warrants be delivered to Mrs. Susan L,owen and Mrs. O. S. Brewer upon the delivery by them of proper receipts and releases. Seconded by Councilman Wharton. Carried by the following vote: Yeas-Mayor Thomp- son, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None, -:~ ~-`~ - -°t regular Session, Resolution No. 17-41 SVhereas, Heretofore applications were filed by the within named appli- cants for Beer Permits and they have received the approval of this Council; and \VHFRFAS, The pretises to be oc- cupied by such applicants have been inspected and found to comply lvith the ordinances of this City and they have filed a proper bond: Now, There- fore, Be It Resolved by the Cotulcil of the City of Dubuque that the 1\Ianager be and he is hereby directed to issue to the following named persons a Beer Permit. Class "B" Permit IeTame Address 11~Irs. Elizabeth Grimme, 310 Fast 30th Street. Rov A. «Tright and Esther ~Vrgiht, 2600 Jackson Street. Henry Jansen and Lucille Jansen, 50-i Central Avenue. Arnold Mathis and Carrie 1lathis, 2319 Prince Street, W. F. Trimpler and Jerry Trimpler, 659 Central Avenue. Hubert M. Fischbach and Mae Fisch- bach, 1255 Central Avenue. 2llrs. Anna Heiar, 1900 Washington St. Philip Johnson and A~Iarvel Johnson, 1555 Central Avenue. Class "C" Permit Erwin AI. Grab, 1575 Central Avenue. Be It Further Resolved that the '~ bonds filed by such applicants be and the same are hereby approved. Passed, adopted and approved this 3rd clay of Itlarch, 1911. F. W. THOMPSON, Alavor. FRANK VAN DUEL3IAN, ALBERT ZVHARTON, B. A. SCHUELLFR, GEO. R. MURPHY, Councilmen. Attest: J. J. SHFA, City Clerk. Councilman Van Duelman moved the adoption of the t•esolution. Sec- onded by Councilman Wharton. Car- ried by the following vote: Yeas - Illayor Thompson, Councilmen A4ur- phy, Schueller, Van Duelman, Whar- ton. I\Tays-None. Resolution 1~Io. 18-41 Whereas, Application for Beer Per- mits have been submitted to this Couu- cil for approval and the same have been examined: Now, Therefore, ' k" .3 I i-.,- ," ;; ;',~ -_: lUlarch 3rd, 1941. 41 I Be It Resolved by the Council of ~ >.' the Cit}- of Dubuque that the follow- f" "=" ing applications be and the same are hereby approved and it as ordered that the premises to be occupied by such applicants shall be forthwith in- spected. I Class "B" Permit , '. Name Address { I,I Mrs. Elizabeth Grimme, 310 East 30th y.{.:.,,_,!. Street. - Roy A Wright and Esther YVright, ~ ~'-,,°_= I 2600 Jackson Street. t t I Henry Jansen and Lucille Jansen, 504 ~~ Central Avenue. , ~i,~,,,-=Y, Arnold Itlathis and Carrie Mathis, 2319 Prince Street. W. F. Trimpler and Jerry Trimpler, 659 Central Avenue. Hubert l~I. Fischbach and Mae Fisch- I bach, 12K5 Central Avenue. ~f ', \Irs. Anna Heiar, 1900 Washington St. Philip Johnson and Marvel Johnson, ~ 1555 Central Avenue. ii Class "C" Permit Erwin 11i. Grab, 1575 Central Avenue. I'i Passed, adopted and approved this 3rd day of March, 1941. F. \V. THOI~IPSON, Mayor. - _ FRANK VAN DUELA~IAN, ALBERT WHARTON, i B. A. SCHUELLER, GEO. R. RIURPHY, II;':, -'r" Councilmen. Attest: J. J. SHFA, City Clerk. Councilman Van Duelman moved the adoption of the resolution. Sec- ~ ceded by Councilman Murphy. Car- ried by the following vote: Yeas - I 1\layor Thompson, Councilmen Mur- phy, Schueller, Van Duelman, Whar- -` 1 ton. Na}-s-None. Resolution No. 19 -41 A Resolution in relation to the ap- propriation of the consolidated tax levy ul ratio, as provided by law, for the fiscal year beginning April 1, 1941, and ending Rlarch 31, 1912. `; d Whereas, The City Council of the City of Dubuque has heretofore caus- ed to be levied a consolidated tax in accordance with the provisions of Sec- tion 6317 of the Code of Iowa 1939, included within which are the taxes _? for the General, Grading, Improve- ment, Sewer and Light Funds, and the estimated revenue to be derived from such tax has been determined to be $237,503.00, and it is novv deemed ne- li cessary and advisable to determine the ~, ratio upon which such funds and pur- ~: poses included therein: Now, There- `: fore, ,~ ", 42 Regular Session, Nlarch 3rd, 1941. Be It Resolved by the City Council of the City of Dubuque that the es- timated revenue from the consolidated tax lev}~ be and the same is hereby ap- propriated in the ratio herein appor- tioned to the General, Grading, Im- provement, Sewer and Light Funds, such sums to be set aside for the use of each of such funds, as provided by law, as follows: General Fund _____-------$169,703.00 Grading Fund _____-____-- 10,000.00 Improvement Fund -------- 13,000.00 Sewer Fund -------------- 39,800.00 bight Fund --------------- TOTAL, ----------------$237,503.00 Be It Further Resolved that the es- timated revenue to be derived froth the tax upon agricultural lands within the City be appropriated in the sum of $105.00 to the General Fund, mak- ing the total of said General Fund $169,808.00. Be It Further Resolved that the pro- visions of this resolution are declared to be necessary as in the presen~ation of the best interests of the City of Dubuque and the same shall take ef- fect and be in force from and after the adoption hereof by the City Coun- cil, as provided by la~v. Passed, adopted and approved this 3rd day of March, 1911. F. ~V. THO'~IPSON, Dlayor. FRANK VAN DUEL,IIA'~~, ALBERT ~VHARTON, B. A. SCHUELLER, GEO. R. A/URPHY, Councilmen. Attest: J. J. SHEA, City Clerk. Councilman Van Duelman moved tl-.e adoption of the resolution. Second- ed by Councilman Wharton. Carried by the following vote: Yeas-1~Iayor Thompson, Councilmen Murphy, f;chueller, Van Duelman, ~~Tharton. Nays-None. March 3, 19-11. To the Honorable Mayor and City Council, Dubuque, Iowa. Gentlemen In accordance with the provisions of law, as City Manager, I have prepar- ed an annual budget for the fiscal year April 1, 1941 to Nlarch 31, 1942, }used upon estimated income and ex- penses for the various departments of the City of Dubuque, including cer- tain changes as were approved and authorized by the City Council. These estimates show departmental appro- priations for each department for the preceding year (1940-41) and also the increases or decreases, as were deter- mined for the ensuing year (1941-1942). The budget is submitted to the City Council for tentative approval and the same will be published as required by late in order that objections thereto may be made before final action is tal;- en on this budget by the Cit}- Council. Respectfully submitted, A. A. RHONIBERG, Cit}* Manager. Councilman ZVharton moved that the communication of City Manager Rho=nberg be received and made a matter of record. Seconded by Coun- cilman Van Duelman. Carried by the follo~iing rote: Yeas-1\Iayor Thomp- son, Councilmen Murphy, Schueller, Vast Duelman, ZVharton. Nays-Noce. OFFICIAL NOTICE OF THE PROPOSED AI~TNUAL BUDCaET PREPARED BY THE CITY NiANAOER AND CITY COUNCIL OF THE CITY OF DUBUQUE, IOWA FOR THE FISCAL YEAR, 1941-42 Notice is hereby given that the City Manager of the City of Dubuque has prepared a budget on the basis of estimates of the expenses of the var- ious departments of said City for the fiscal year beginning April 1, 1941, and ending March 31, 1942, and such departmental estimates show expenses of each department for the preceding year in addition thereto, the City Council has caused to be prepared a budget for said fiscal year on the basis of esti- mates of the expenses of the several departments of said City, such estimates showing therein not only the purpose for which the consolidated tax levy authorized by Section 6217 of the Code of Iowa 1939 is to be used, but in addition thereto, the purpose for which all other tax levies heretofore made are to be used, including revenues from miscellaneous sources, the apportion- ment of the consolidated tax levy having heretofore been determined by said Council and incorporated in a resolution for such purpose. This budget will' be considered for final adoption by the City Council at a special meeting to be held in the Council Chamber at the City_Hall on the 19th day of March, 1941, at 7:30 o'clock P. NI. Any interested party objecting thereto or pro- testing to the same, or to any item thereof, or any omission therefrom, shall present his objections to said Council on or before that date. This notice is given pursuant to the direction of the City Council. 3-4-1T. J. J. SHEA, City Clerk. ~. 3 - '~,:;* PROPOSED BUDGET FOR TFIE CITY OF DUBUQUE, IOWA, FOR ; THE FISCAL YEAR 1941-42 Distribution of Consolidated Tax Lavy ; , General Fund _____ $169,703.00 rading Fund -°----------------------------------------------- 10,000.00 ,, ~. f: Improvement Fund ____________ ___________ -------____ 15,000.00 ' ~ Sewer Fund -------------------------- 3,000.00 r , bight Fund ----------°------------------------------ - 39 800.00 ? ; ;~;° : '' ~/ Total -------------------------------------------------®---- $237,503.00 ;, °'~ SOURCES OF REVERIUE FOR 1941-42 FISCAL OPERATIORT ' '<`~~~ A-From Taxes and Moneys and Credits bevy Regular Moneys & Fund- in Mills Tax Credits Total Consolidated ___________________ 6.857 $230,775.00 $ 6,728.00 $237,503.00 " 4 Bond & Interest _______________ O.b51 21,910.00 638.00 22,548.00 _" "- '. . Bond Retirement ______________ 1.821 61,286.00 1,787.00 63,073.00 . . "- I. --.-; Fire Maintenance ______________ 3.295 110,594.00 3 233.00 114,127.00 `° Fire Equipment ________ ______ 0.362 12,183.00 355.00 12,538.00 Garbage Disposal & St. Cleaning 0.483 16,256.00 473.00 16,729A0 i Park __________________________ 0.612 20,597.00 600.00 21,197.00 ~ Police Pension _________________ 0.333 11,207.00 327.00 11,534.00 , i.,, , Fire Pension ___________________ 0.508 17,097.00 498.00 17,595.00 ,: .- - Library Operation ______________ 0.820 27,597.00 804.00 28401.00 I= Main Sewer ____________________ 0.456 15,347,00 447.00 15,794.00 Playground and Swimming Pool_ 0.367 12,351.00 360.00 12,711.00 "~ ;~ , Dock Operation ________________ 0.489 16,457.00 480.00 16,937.00 .. Dock Bond and Interest ________ 1.060 35,674.00 1,040.00 36,714.00 Snow Removal ________________ 0.177 5,957.00 173.00 E 0 979 2 6,130.00 mergency ____________________ . 3 ,949.00 960.00 33,909.00 .,; Subtotals __________________19.270 $648,537.00 $ 18,903.00 $667,440.00 ,w= ,„ . " . ~x Road Tax on Agricultural Lands (General Fund)______________ 105.00 ' Library Tax on Agricultural bands (Library Fund)____________ 69.00 `-_ - GRAND TOTAL RECEIPTS FROM TAXES AS LEVIED ~`~ AUGUST, 1940________________________________ _ $667,614.00 ``' The above estimate is based on a revised taxable value of $34 ,636,510.00, ``;-~~i which is the assessed value for 1941-42 operation upon which the 19.270 mill levy and the adjustment of moneys and credits equal to $18,903.0 0 amounts to $667,440.00, plus taxes on agricultural lands equal to $174.00, totals $667,- 614.00, as obtained from the County Auditor. The millage for 1940-41 operation was 19.676 mills on a taxable valua- tion of $33,913,753.00 amounting to $650,610.00, plus Moneys and Credits of $16,809.00, plus taxes on agricultural lands of $171.00, totalled $667,590.00. B. From Miscellaneous Sources, 1941-42 General Misc. Revenues Excavation Permits ____________________________________________$ 100.00 Police Court Returns __________________________________________ 9,500.00 Electrical Permits ______________________________________________ 1,750.00 Plumbing Permits _____________________________________________ 1,500.00 Building Permits ______________________________________________ 2,000.00 Franchise Tax --------------------------~---------------_--_-- 600.00 Scale Fees ---------------------------------------------------- 200.00 State Highway Maintenance ___________________________________ 2,505.00 Sale of Real Property __________________________________________ 2,500.OU Dieting Prisoners _____________________________________________ 100.00 Ambulance Fees _______________________________________________ 1,200.00 Dog Licenses -------------------------------------------------- 700.00 Business Licenses ______________________________________________ 4,000.00 Miscellaneous Rental __________________________________________ 900.00 Cigarette Permits _____________________________________________ 13,500.00 Beer Permits -------------------------------------------------- 25,000.00 miscellaneous Sales ____________________________________________ 495.00 Milk Inspection Fees __________________________________________ 1,700.00 Department Receipts _ ______________________________________ --- 500.00 Board of Education (Nurses) ___________________________________ 2,750.00 Total General Miscellaneous Receipts ______________________$ 71,500.00 ~r~`.- hegular ~essicn, March 3rd, 1941. FIRE MAINTENANCE FUND Out of Limits Service Fees ____________________________________$__1,000.00 LIBRAR`1' FUND Fines, Book Rentals, Etc. ______________________________________$ 2,500.OG PARK FUND Estimated Balance April 1, 19-41 ________________________________$ 1,500.00 Collection, Concessions, Etc. ___________________________________ 750.00 Total ------------------------------------------------------$ 2,250.00 PLA~'OROUND AND SvVIMMING POOL FUND Swimming Pool Receipts ______________________________________$ 2,500.00 Skating Receipts ______________________________________________ 200.00 Athletic Field Fees ____________________________________________ 375.00 Total -----------------------------------------------------$ 3,075A0 DOCK FUND Estimated Balance April 1, 1941 ________________________________$ 1,000.00 Oil Terminal Fees ____________________________________________ 2,500.00 Harbor Leases ------------------------------------------------ 1,000.00 Wharfage Fees ------------------------------------------------ 3,000.00 Total -----------------------------------------------------$ 7,500.00 POLICE PENSION FUND Estimated Balance April 1, 1911 ________________________________$ 2,464.00 Contributions from Members ___________________________________ 1,150.00 Total ------------------------------------------------------$ 3,61}.00 FIRE PENSION FUND Estimated Balance April 1, 19=41 ________________________________$ 3,533.00 Contributions from Members __________________________________ 1,700.00 Total ------------------------------------------------------$ 5,233A0 DOCIy BOND AND INTEREST FUND Sinking Fund for Dock Bond Redemption________________________$ 2,500.00 TOTAL ESTIMATED -MISCELLANEOUS REVENUES_$ 99,172.00 TOTAL TAZES, MONEYS AND CREDITS______________ 667,61}.00 TOTAL ESTIlI-IATED CITY REVENUES______________ $766,786.00 WATER Vt70R~S DIVISION (Self-Supporting) Estimated Balance April 1, 1941 _______________________________$ 10,000.00 Estimated 1941-42 Water Revenue ______________________________ 150,450.00 Total ------------------------------------------------------$160,450.00 ESTIMATED GRAND TOTAL CITY REVENUE AND WATER DIVISION _________________________________$927,236.00 ~- °~~r ~~. _~`-;` Regular Session, March 3rd, 1941, 45 CITY OF DUBUQUE, IOWA, APPROPRIATIONS FOR THE FISCAL YEAR APRIL 1, 1941, TO MARCI3 31, 1942 GROUP 1-GENERAL ADMINISTRATION (General Fund) Item 101-Council 1940-41 Proposed 1941-42 B. Travel Appropriations Appropriations Miscellaneous _________________________________$ 125.00 $ 125.00 J• Totals ---------------------------------------$ 200.00 $ 200.00 Item 102-City Manager's Office A. Salary City Manager (80%)_________ _________x$ 4,800.00 *$ 5,200.00 A. Salaries Office Help (2) _____________ __________ 3,240.00 3,240.00 B. Travel ------------------------------ ---------- 100.00 100.00 C. Office ------------------------------- ---------- 125.00 125.00 D. Printing ---------------------------- ---------- 15.00 15.00 F. Maintenance ________________________ __________ 200.00 200.00 G. Material and Supplies _______________ __________ 325.00 325.00 Totals _______________________________________$ 8,805.00 $ 9,205.00 Item 103-City Clerk's Office A. Salary City Clerk ____________________________$ 2,500.00 $ 2,500.00 A. Salary l;xtra Help ____________________________ 150.00 150.00 G. Material and Supplies _________________________ 75.00 75.00 Totals _______________________________________$ 2,725.00 $ 2,725.00 Item 104-City Auditor's Office A. Salary City Auditor (80%) ____________________*$ 1,960.00 *$ 1,960.00 F. Maintenance __________________________________ 50.00 50.00 G. Material and Supplies _________________________ 100.00 100.00 Totals _______________________________________$ 2,110.00 $ 2,110.00 A. Salary Stenographer (50 %) _________ __________ 500.00 D. Printing and Advertising ___________ __________ 25.00 25.00 F, Maintenance ________________________ __________ 25.00 25.00 G. Material and Supplies _______________ __________ 150.00 150.00 I. Surety Bond ________________________ __________ 50:00 50.00 Totals $ 2,670.00 $ 2,170.00 (*Note: 20% of Salaries of City Manager, City Auditor and City Treasurer are paid by Water Department). Item 106-City Solicitor's Office A. Salary City Solicitor ________________ __________$ 3,800.00 $ 4,000.00 B. Travel ______________________________ __________ 40.00 40.00 C. Office ------------------------------ ---------- 40.00 40.00 G. Material and Supplies _______________ __________ 85.00 85.00 Item 105-City Treasurer's Office A. Salary City Treasurer (80%) __________________*$ 1,920.00 *$ 1,920.00 Total ----------------------------------------$ 3,965.00 $ 4,165.00 Item 108-City Assessor's Office A. Salary City Assessor __________________________$ 1,500.00 $ 1,200.00 A. Salary Deputy Assessors ______________________ 1,125.00 1,125.00 G. Material and Supplies __________________________ 25.00 25.00 J. Board of Review ______________________________ 600.00 1,200.00 Total ________________________________________$ 3,250.00 $ 3,550.00 ~~-~~ - ;' I'II, ;~i, ' ~' I, ';;~,;i~,,, 46 Regular session, March 3rd, 1941. ~,, ' ~I ~' Item 109®Civil Engineer's Office ' I ''II'I !~ A. Salary Instrument Man -----------------------$ 1,500.00 $ 1,680.00 2,640.00 ' A. Salary Rodmen _ _______________________ ---'--- 10 00 10.00 i , I " ~ C. Office ----------------------------------------- --- . 50.00 50.00 , 'R'' E. Equipment _ - - ------- -------------------- - - 500.00 500.00 r~i;'.!'~f' ~'' ~~ i ;~ ~ F. Maintenance ----------------°-------°-------- G. Material and Supplies ------------------------- 500.00 500.00 ~ ~ ' i ' ----------$ 2,560.00 $ 5,380.00 ; l i i ( ' l; Total --------------------------- --- 'I I l ~ I li ; ~ ~ l i , ~ Item 113-City Elections $ 500.00 $ 500.00 I":I'''~ ' ' ~ ' ~'1~ !''. ' ~ A. Salaries Clerks, Etc. -------------------------- ________________ lies d S 400.00 400.00 I ,I!j , ~ I ' " ' I ' '; I ________ upp G. Material an ---------------- 50.00 50.00 ;,Gi~;j~: ' . +' illl I ,! ; ~'' j. Rents ------------------------- 00 $ 5 950 G0 ii~ ~ ~ I ~ il ' ; ----------- ---- $ 0. 9 . ~ ; i , ~, ; , Total ------------------------- Item 114-City Buildings $ 000.00 2 $ 2,000.00 A. Salaries Janitors ------------------------------ ______ , 1,500.00 1,500.00 E. F. _____________ Equipment _________________ Maintenance and Repairs ---------------------- 2,500.00 000.00 1 2,500.00 1,000.00 G. Material and Supplies ------------------------ , 900.00 2 2,900.00 H. I. Heat and Light ------------------------------- Insurance (3 Years) , 550.00 Total --------------------------$ 10,450.00 $ 9,900.00 Item 115-Police Court $ 500.00 1 1 500.00 $ , A. Salary Police Judge _ , 00 15 15.00 G, ll4aterial and Supplies -------------------- ---- . Total __$ ------------------------------------- 1,515.00 $ 1,515.00 Item 116-Civil Service Commission $ 50.00 50.0; $ ------------------- G. Material and Supplies ----- 50.00 50.00 J. Miscellaneous ---------------------------- ----- - -----$ 100.00 $ 100.00 Total --------------------------------- SUBTOTALS GROUP 1-GENERAL. AD_ $ 300.00 39 $ 41,970.00 MINISTRATION ----------------- ---- , GROUP II-PROTECTIOI<I OF LIFE AIQD PROPERTY Item 118-Police Department (General Fund) Rate per Mo. A. Salary Chief of Police __________$ 2,760.00 (1) @ $235.00 00 (1) @ 180.00 100 2 $ 2,820.00 2,160.00 A. ___ Salary Senior Captain ______- . , 00 (2) @ 720 3 160.00 3,840.00 A. A. Salaries Captains -------------- Salaries Desk Sergeants ------- . , 5,580.00 (3) @ 7 200.00 (4) @ 157.50 155.00 5,690.00 7,440.00 A. A. Salaries Detectives __________-- Salaries Motorcyclists _______--_ 00 (22) @ 42'000 150.00 145.00 3,600.00 38,280,00 A. Salaries Patrolmen ___--___--- . , (After 3 Years) (3) @ 140.00 5,040.00 A. Salaries Patrolmen ________---- (Before 3 Years) (0) @ 125.00 A. - Salaries Patrolment ---------- (During First Year) 400.00 (2) @ 2 105.00 2,520.00 A A Salaries Matrons - ------------- Salaries Special Officers ______- , 100.00 100.00 00 50 . B. Travel ---------------------`-' 42.00 . 425.00 C. Office ------------------------- 50.00 50.00 D, Printing -----------------'--'- - 000.00 2 2,000.00 E, Equipment -----------------° , 200.00 2 2,200.00 F. G Maintenance ----- lies _ Material and Supp -------- , 2,700.00 2,700.00 00 500 1 . j._ 1 Feeding Prisoners ------------- llaneous (Injuries) ---- h/i 900.00 300.00 . , 300.00 J,_ sce 2 965.00 $ 77 $ 80,715.00 ____________________ Totals , _i I' ik- 12e~ular Session, 1Vlarch 3rd, 1941. Item119-A®Fire Department Maintenance Fund A. Salary Fire Chief______________ $ 2760.00 (1) @ $235.00 A. Salaries Senior Captains ______ 3,960.00 (2) @ 170.00 A. Salaries Captains _____________ 9,300.00 (5) @ 160.00 A. Salary Lieutenants ___________ 12,180.00 (7) @ 150.00 A. = Salaries Dngineers ___________ 6,960.00 (4) @ 150.00 A. Salaries Firemen ______________ 58,800.00 (28) @ 145.00 (After 3 Years) A. Salaries Firemen ______________ (6) @ 140.00 (Before 3 Years) A. Salaries Firemen ______________ 3,000.00 (4) @ 125.00 (During First Year) B. Travel ---------------------- -- 50.00 C. Office ----------------------- -- 650.00 D. Printing ____________________ __ 35.00 F. Maintenance ___ 2,600.00 F. Repairs to Buildings __________ _ 7,000.00 G. Aaterial and Supplies ________ _ 2,700.00 H. Heat, Light _________________ _ 3,300.00 I. Insurance ____________________ _ 200.00 J.-1 Miscellaneous (Injuries) _____ _ 1,200.00 J.-2 Interest on Warrants ________ _ 160.00 J.-3 Reserve for Detergency _______ _ 1,255.00 47 $ 2,820.00 4,oso.oo 9,600.00 12,600.00 7,200.00 48, 720.00 10,080.00 6,000.00 50.00 650.00 35.00 2,600.00 3,000.00 2,700.00 3,000.00 400.00 900.00 60.00 632.00 Totals ______________________________________$116,110.00 $115,127.00 (Fire Maintenance Tax-$114,127.00; 1llisc. Fire Revenue-$1,000.00). Item 119-B---Fire Equipment Fund D. Dquipment ____________________________________$ 12,550.00 $ 12,538.00 Item 120-Fire and Police Alarm (General Fund) A. Salary City Dlectrician _______________________ _$ 1 950.00 $ 1,950.00 A. Salary Asst. City Dlectrician _________________ _ 1,800.00 1 800.00 A. Salary Dxtra Help __________________________ _ 100.00 , 100 00 C. Office ---------------------------------------- - 100.00 . 100.00 D. Dqupiment __________________________________ _ 150.00 150.00 F. iVlaintenance _________________________________ _ 150.00 150 00 G. IVlaterial and Supplies ____ _____ __________ _ 200.00 . 200.00 H. Heat, Light and Power ___ ________________ _ 200.00 100.00 I. Insurance (3 Years) _________________________ _ 40.00 Totals _______________________________________$ 4,650.00 $ 4,550.00 Item 121~Building Commissioner's ®ffce (General Fund and Misc, Gen- eral Revenues) A. Salary Building Commissioner ________ ________*$ 3,000.00 *$ 3,000.00 A. Salary Stenographer (20%) __________ _________ 200.00 C. Office ---------------------------- -- ---- ---- 25.00 25 00 F. Maintenance _ 150.00 . 150.00 G. Material and Supplies _______________ _________ 100.00 100.00 Totals --------------------------------------$ 3,475.00 $ 3,275.00 (General Fund-$1,275.00; Fees-$2,000.00) (*Note: Includes Civil Dngineering Duties) Item 122®Plumbing Inspector's ®flice (General Fund and Misc. General Revenues) A. Salar Plumbin Ins ector _______ __ $ 2 2,160.00 A. Salary Stenographer (15%) _______ _____________~ 150.00 C. Office ---------------------------- ------------ 25.00 25.00 D. Printing -------------------------- ------------ 15.00 15 00 G. Material and Supplies _____________ ____________ 50.00 . 50.00 J.-1 Plumbing Board _________________ ____________ 30.00 180.00 Totals ______________________________________$ 2,430.00 $ 2,430.00 (General Fund-$930.00; Fees-$1,500.00) ,an, i,~. _3,.,,>.e ", Y'...' .<~ Il_ R= _ j.,y `,.- '~~ ~~~ :; il+f :• 6, ;~__ `. ~' _ ~, , ~, , . , ~ ,,,~ _ ~ ~l: ,l °I ' ular Session IVlarch 3rd, 1941. re t_ i ; g 48 ' ' ,`p'''ig Item 123®Electrical Inspector's Office (General Fund and 14Zise. General ! ~' I' ~ Revenues) ----$ 2,220.00 $ 2 220.00 , ' ~ ------ A. Salary Electrical Inspector --------- 150.00 ---------------- (15%) h 00 25 J~! ,:,~r; ~ -- er A. Salary Stenograp 25.00 - . , „'rb,~l!4" ~" C. Office --------------- -- 15.00 --------------------- --`-"- 15.00 00 175 ill',',,',,, ~ ~r - D. Printing ------------- ----------------------- 175.00 Maintenance ----------- 100.00 F . 100.00 ~,~ II ' '~ i'i~, . -- G. Material and Supplies ----------------------- __ ___- ' L~; ~I~;; ~!~! -----$ 2',685.00 $ ---------- 2,535.00 ~, , '~ ~,i~, `, ~ Totals -- --------------------- I,i,' "i!I' i'~~~' ' I I (General Fund-$785.00; Fees-$1,750.00) I,l i' I, ipi pi ;''i!~;I 'i'o'''l ~Iil;l,li!I';,: "' I Item 124-Dog Pound (Misc. General Revenues) 00 $ 150 50.00 r. r' ' ' . ---------$ Enforcement Dog Ordinance --------- I I ~: ~~ 1~~ h! ` 'il'!I~ i,~" ~ ' SUBTOTALS GROUP II, PROTECTION ,,20 055.00 $221,320.00 IFE AND PROPERTY __---- -- $~ ; r!'Nr~ , ,p j:, OF L ~II,I 1 ~ GROUP III-HEALTH A2+JID SANITATIOI~I , C iil~ l i 1, ~ ~', d~ ~ I tem 125--Health Operation (General Fund 00 $ 00 0 800 1 T : ;:!I,I:: ~:r(, r; ' '' ~ $ . ------------ 1,8 Salary Director (Part Time) __ 1 =}50.00 A . , 1,450.00 j , , ,,i;i, ;; ;; ' ;Ij ~ I ! , . A. Salary Sanitary Inspector - 1,080.00 1,080.00 'ipl~ i~ ~;'';! f _ A. Salary Clerk --------------- ---- ------- 1,080.00 ector I 1,080.00 00 0 ~- „ C ~, ' !" iii ~ nsp A. Salary Restaurant - 1.700.00 ------ Salary Head School Nurse (10 1!Io_) 1,}00.00 A . 1,70 4ro.o~J 1> i ' Ili, l ~ ~ I, ' -- -------- . A. Salary School Nurse ------ -- 1,350.00, 1,350.00 , ; ~ ' ' ~ ' ---------------- A. Salary School Nurse _-___--- 1,250.00 - 1,250.0) (' : ,,,!!,;I!'!il'''' A. Salary School Nurse ------------------------- 50.00 ----------- 50.00 ; ~ ; ~ ------- Travel ---------------------- 150.00 B 150.00 ~~' ~: , : :" ( i ' . C. Office ----------------------------------------- 50.00 --- 50.00 ~ , Jlii, '~"''o-~ I' ' , ;''•ilil,';l,;p',; D. Printing ---------------------------------- 50.00 Equipment ------------------------------------ 250.00 E 50.00 250.00 'h' ~~'I, ;, ,,~, '+ ` ` ' -------------------------- F, T/aintenance __------ ------------ -___-- =100.00 and Supplies -- ---- 900.00 Material G 400.00 900.00 ~.~ , ,h4' ~ I i , . ------------------ J.-1 Laboratory Expense ------- 100.00 --------------- 100.00 i I II il ' II ~~ ~','' ' i J.-2 l2iscellaneous ----------------- $ 1 60.00 __-___--- 13,060.00 $ :~ ~ ~ ~ Totals -------------------------------------- ~ i ~ ~ ~ ' ' Item 126-a-Control of Contagious Diseases 200.00 $ 1 $ 1,200.00 i i~, ~i ', ; `' ' ~;il';li~, l?~J;i', , -------------- J. Control of Contagious Diseases - Y Maintenance (Main Sewer Fund) 00 ~ 800.00 $ 1 ; i~ , ~i4 'ii 1 800. e~e Item 127-° Salary Se«~er Foreman ------------------ - ~ 8 500.00 A , 8,500.00 . ~ „N,,,,, i, ',, i ~: i '';il i~ ; ' , . --- ------- A. Z~'ages Laborers ---------------- 500.00 ---------------------- 700.00 00 700 ,,, , ; ; i.';lif:~ 700.00 E. Equipment ------------- 1lainteuance ---------------------------------- 300.00 F - . 500.00 . , ,':,ail', '',I,'' ~: . lies G, 1\Iaterial and SupP -----`-- ----- 1,300.00 --- - 900.00 ii,dl;:, ",IV , ;',' - J,_1 Power for Sewer PumPs ----------------- ____-____- i„ ~ '' _$ 13,100.00 0 $ 13,100.0 ' ; ~ Totals ------------- ~,,~!I~, ';~,';,, Item 128--Garbage Iisposal (General Fund) 490.00 $ 15 l 15,490.00 $ '"~' ' ~^' , ___ ntract for Garbage Collection and Disposa C I o J. Milk Inspection (General Fund and Miso, G n e 1 , ~6 I Item 129® 00 1 500 -- -$ ~ l 800.00 $ ,' i,,, ' ------------ A. Salary Millc Inspector _______-- 160.00 --- 160.00 G0 300 )Il`r l; '' ' '~ ~,;' E. Equipment ------------------ -------------- 300.00 F. Maintenance of Inspector's Car __ ---- 100.00 --- . 100.00 '" ~ „ I, ~i, ~~ --- G. Material and SuPPlies --------------- _______.-_ 00 60 360.00 $ 2 , . _____$ 2,3 -------- , i,,',, Totals ------------------------- I~~ ~,': l (General Fund-$660.00; Fees-$1,700) : SUBTOTALS GROUP III, HEALTH AND$ 45 210.00 $ 45,2'10.00 , SANITATION ----------------------- - I'f i. .:!. '~i _ __ Regular Session, IVlarch 3rd, 1941. 49 GROUP IV--aHIGHWAYS AI~TD STREET LIGHTS Item 131-Highways Administration (General Fund) A. Salary Timekeeper ___________________________$ 1,800.00 $ 1,920.00 F. Maintenance _ ________________________ 100.00 100.00 -------- G. Material and Supplies ________________________ 150.00 150.00 Totals --------------------------------------$ 2,050.00 $ 2,170.00 Item 132-Street Repairing and Grading (General Fund and Grading Fund) A. Wages Laborers ___________________ ~. ~quipment __________ 15,000.00 $ $ 15,750.00 __________________________ F. Maintenance _ ______________ ----- __________ 4,500.00 __________ 4 500.00 4,500.00 4 500 00 G. Material and Supplies _______________ , __________ 5,500.00 , . 5,500.00 Totals ---------------------------- $ ---------- 29,500.00 $ 30,250.00 (General Fund-$25,250.00; Grading Fund-$5,000.00) Item 133-City Garage (General Fund) A. Salaries Mechanics __ _________________________$ 7,500.00 $ 7 875 00 C. F. Office - ------------ hquipment ----------------------- 75.00 , . 75.00 F. ---------- Maintenance _________ ------------------------- 500.00 ________________________ 400.00 500A0 400 00 G. Material and Supplies ____________________ 325.00 ----- . 325 00 H. Heat, bight, Power _ _________________________ 2,500.00 . 2 500.00 I. Insurance ____________ _________________________ 50.00 , 50.00 Totals ______________________________________$ 11,350.00 $ 11,725.00 Item 134-Ash and Can Collection (General Fund) A. Wages Drivers and Laborers _________________$ 8,000.00 $ 9,000.00 F. Maintenance _ 1,400.00 1,400.00 G. 1\Iaterial and Supplies __________________________ 500.00 500.00 Totals ______________________________________$ 9,900.00 $ 10,900.00 Item 138-Street and Traffic Signal Lighting (Light Fund) H. Street Ligtiug and Traffic Signals ______________$ 39,372.00 $ 39,800.00 Totals ______________________________________$ 39,372.00 $ 39,800.00 Item 140-Street Cleaning (Garbage Disposal and Street Cleaning Fund) A. Wages Drivers and Laborers _______ __________$ 12,500.00 $ 12 500.00 1~. l:quipment __________________________ __________ 500.00 , 500 00 F. Iblaintenance 3,000.00 . 3 000.00 G. Material and Supplies ______ ____ _________ 580.00 , 580.00 J. Surplus _____________________________ __________ 143.00 149.00 Totals ---------------------------------------$ 16,723.00 $ 16,729.00 %tem 141-Snow and Ice Removal{ Snow Removal Fund) A. Labor ----------------------------- -----------$ 3,900.00 $ 4,200.00 ~. ~quipment ________________________ ___________ 350.00 350.00 F. Maintenance __ ______________ ------ ____________ 1,000.00 1,200.00 G. Material and Supplies ______________ ___________ 350.00 350.00 J. Reserve ___________________________ ____________ 65.00 30.00 Totals ______________________________________$ 5,665.00 $ 6,130.00 SUBTOTALS GROUP IV, HIGHWAYS AND STR~~T LIGHTING ___________$114,560.00 $117,704.00 ~, . ~;~ .: ,:; '~, F - ~' ~ ;: 'I j, i,,"., - f ;' ~!~ (,; ~: 50 1?egular Session, 1Vlarch 3rd, 1941. !Ili,,l,'~i ' GRC3UP V®LIBRARY '!'I' ! ; i~; Item 143-A®Library Fund and Nlisc. Library Reven ~ 00 $ 2 3=40 2,400.00 ',;;phi! :~~,:',',~, ' C;!;',''!' A. Salary Librarian --------------------------- A. Salary Reference Librarian -------------------- . 1,740.00 00 560 1 1,800.00 1,620.00 ':I';:~i,:.!!'i,'i I;! ' A. Salary Cataloguer ---------------------------- . , 4.40.00 1 1,00.00 I, ' ;!''', 4',i!;'' A. Salar Juvenile Librarian ---------------------- , 1,..60.00 , ,. '!'`~~€'!;" ~ A. Salary Circulation Head ---------------------- 140.00 1 1,200.00 '"''~ ,1it!', !,li ''''~!~ i!I; i A. Salary School Librarian ---------------------- ------------------ Salary Asst. of Circulation _ A , 1,080.00 00 960 1,1}0.00 020.00 1 i „ „ ' I~'~!'!""°'!' !'.,~!' ~IP;I„!j l! I~ ! ~ . A. Salary General Assistant ---------------------- ----------------- Salary General Assistant (3) - A . 2,700.00 00 450 , 2,880.00 621.00 ri; ,i ,, ; ;~ ~ is Il~ . A. Salary General Assistant (Half Time) - . 320.0`0 1 1,380.00 ,i ii ~i ~,~'! i i. L'~!"~' A. Salary Janitor ------ --- ------------- ----- ---------------------- l T , 50.00 50.OU 00 100 , q~lj;'j'~;u'!'' __ rave B. ------- ------------------------------ ce Off C 100.00 00 . 50 00 ,l ~I';I;I':!1~{'~'':, ~'lil'' 4'~!; i !;, ~ { I ' i . ------ ---- D. Printing -------------------------------------- Equipment and Books __--_----- F 50. 7,000.00 00 700 2 . 6,000.00 4,000.00 I ,( ~y,'' diGih, III I ,;I,~.,u;~l , ! ' iUa ~p ii' ' ---------- . F. Maintenance ---------------- ---"- G• Material and Supplies ------------------------- ---- . , 1,000.00 2,100.00 1,000.00 2,000.00 , , , l I ;a ,ij!;'~':II,'.,~~~ !{ ! ' ----------- H. Heat, Light, Water ------------- -------------- Insurance ------------------ I 300.00 00 100 200.00 ,~~,I ! „~ ~ „ii i . ----------- ----- J.1 Interest on Warrants ______-- ------ . 1,267.00 749.00 , ~ ' I,,~ '~i'" ~i~ G! ------ J,-2 Reserve for $mergency - ----- - I m ~ 1~I~ ~ ~ ' Tntals ______-- _-- -------------------------- $ 29,397.00 $ 30,970.00 00 970 30 !, , ! ~ ' ~ '!II' 4 ~ SUBTOTALS GROUP V, LIBRARY _____- $ 29,397.00 $ . , ~ „I ' ' ' ' (Library Fund-$28,=470.00; Misc. Library Revenue-$2,500. 0) ii!' I(j;, ,p;il,~ , I, ' ~!'' ` ` CR®UP VI--PARK FUI'1D I ~ ' { ~ ! !~!; ~~~, Item 144-A---Park Administration 800.00 $ 1,800.00 $ 1 : ~ ! "'~!~;li~!~'~'~',: _ A. Salary Superintendent -_---------- - , 100.00 100.00 00 ,i,l i',6'~!,r;;;', B. Travel ----------------- ------ - 125.00 125. ii u ' ;!,!la ~ I ---------------- C. Office ------------------ ----- - 50.00 50.00 ~ ! '""''"' ' ' ---- D. Printing and Advertising ___--___--- 15.00 15.00 . ; :,i' 'I ' ' i I J.- Miscellaneous -------------------------------- - 0 _-.___-_ 00 090 2 'I I !! k , ; ~ ` ------- 2,090.0 -$ . $ , ' : ~ E ', !,' ! cif! ,:I 'i~''' Totals - -- ------------ ------------- Item 144-B~-Park Areas, Buildings, 'etc. 00.00 $ 10 10,800.00 i'' 'r!j ,~~d;;" o:,.,:1 ----------------------- A. Wages of Laborers - , 2,000.00 ,000.00 2' ~'~I!, "'~I~~ ','~' ; ~ !a C. Forestry ------------------------------------ equipment -------------- -------- ~ - 1,150.00 175.00 1 1,150.00 1,175.00 ;i ~ ; , I',j' , i ~;', . ----- ------ F. Maintenance -------- -- - -- - - , - 2,900.00 3,000.00 ,''.!,,~!' ! i'~'. Material and Supplies ---------------- G - 1 775.00 1,775.00 ; ' ~~'' !''~~"'~'~''~°'r ~' ! . ----- H. Heat, light, water and Telephone _____-- -- ---- --- , - 300.00 500.00 lu ! ~„ I li',,~I'~,, ' I E i , J !I ---------- I. Insurance -------------- ----____- J.-1 Renovations and Replacements ------ men s ---------- A - 225.00 530.00 - 427.00 530.00 l , - ssess J.-2 Interest, Reserve and ~_ I I $ 20,555.00 $ 21,357.00 I' 'I I ~~ i'' u" ~' ~ 6 Totals ------------ -------------- T UBTOTALS GROUP VI-PARK FUI~ D _ 22,6-45.00 $ $ 23,-4-47.00 :: ~,~: ~:' ~' S (Park Tas-$21,197.00; tl'Iisc. Parlc Revenues-$2,250.00) ;, ! 'u ~ fa120UP VII-~PLA~It~Rt~UPID~ AIVD ~WIi1II~liINCg PDOL Fi7ND ~p ;,, ' ~ ,{ ~;; Item 145-A-Recreation Administration $ 2,250.00 $ 2,250.00 ' ! , !' - - - - Salary Director ____-- A 50.00 50.00 I,!,,'.. ~ ' ; ' ~ „ . B. Travel -------------------------------------- Office---------------- C -- 120.00 360.00 120.00 360.00 , ~ ,; ; ~~ ;, VIII, ,~' , ' !Ji . F. Maintenance (Car) _________________________ Material and SuPPlies _--------- G _ __ 100.00 100.00 i' j ' i , ,~' . - --$ 2,880.00 $ 2,880.00 ' ' --------------------- Totals --------------- I ,~ Item 145 B~Playgrounds $tc. --------- Directors s 2,050.00 --$ $ 2,050.00 00 200 ' , , A. Salaries Sttpervtsor 200.00 . 0 u,;~'',;':I'„i' '; A. Wages of Laborers ------- ---- -- 500.00 500.0 , ''~:! ''' ', „ i^ ' E" -------------- E. ~qutpment --------------- F. Maintenance ------------------------------ --------------- li 650.00 --- 400.00 --- 650.00 400.00 00 100 es ------- Material and Supp G 100.00 - . !i,I ° ' . H. Heat, Light -------------------------------- ------------ ------------- -- 50.00 - 50.00 000.00 1 '~ ,I,;, ' r ~~ ' I. Insurance ------- -1 Improvement New Playground ------------- J - - -- , ' , ----------- ---$ 3,950.00 4 950.00 $ , ~:, - Totals ----------------------- -.;- ,.: m.,,l i yYt°;, ! F`;~' 'i ~ y:" ~ regular session, I'J;'arch 3rd, 1941. 51 :., 4:„ °° '-~°`~_ '#„, Item 145-D-Winter Sports .,, - ~°^ ..? " ' A. Wages Check Room, Ftc. _____________________$ 650.00 $ 650.00 , ' ' C. Office ---------------------------------------- 25.00 25.00 ,,_. ui ment _ F. Fq P 100.00 100.00 ^ y F. Ivlaintenance ---------------------------------- 200.00 200.00 a G. Material and Supplies ________________________ 150.00 150.00 ; ~'' '_r 'i " H. Heat and Light ------------------------------ 375.00 375.00 _ = ~_ . _~ ~1,,'" . .8 Totals --------------------------------------$ 1,500.00 $ 1,500.00 '„.::. ~~_;,; Y>~= Item 145-E-Swimming Pool ~ ~!~'°"" ..a A. Salar Superintendent _________$ y 450.00 $ 450.00 .. 3 '= V A. Salar Guard 4 Y O --------------- 840.00 840.00 "-`,W: .; . ______________ A. Salary Attendants ______________ 1,500.00 1,300.00 4 ... '<::'°:.~ Illaintenance ------------------------------- --- F 600.00 450.00 ~~'~~' ~°- ' `° . Material and Supplies _________________________ G 250.00 250.00 -, serK ' ' ~" P.. ~:~ " . H. Light and Power ------------------------------ 600.00 450.00 ~ / ~ _,~; „a ` I. Insurance _________ 200.00 200.00 ` ''= ~`` J, Miscellaneous --------------------------------- 100.00 100.00 '_-": :,°. .,.. Totals --------------------------------------$ 4,540.00 $ 4,040.00 v~, 1?""".a~~ ; -~. door Winter S orts In Item 4 : P ~`- ~~", o ~~ J _ scel ----------------------- 100.00 100.00 ..~ ,~°., .,: ; ~ Item 145-H-Emergency J,-1 Interest on Warrants _________________________$ 50.00 $ 50.00 -: i y "`' J,-2 Reserve ------------------- 225.00 216.00 Totals $ 275.00 $ 266.00 /~ - _;;' Item 145-Athletic Park : . i _, - `~ A. Wages Caretaker ______________________________$ 400.00 $ 400.00 ' ,.: ' ... ::r Maintenance ---------------------------------- F 750.00 750.00 . Material and Supplies ________________________ G 150.00 150.00 _. ~.,; . H. Lights __ 200.00 200.00 { -~- Insurance ------------------------------------ I 500.00 500.00 a. i_, _; ,;:. . J. Miscellaneous _________________________________ 50.00 50.00 ;;` . ~ -$ u , Totals --------------------------------------$ 2,050.00 $ 2,050.00 ' . ,- , ~ Subtotal Group VII-Playground and Swim- `, ' ming Pool --------------------------------$ 15,295.00 $ 15,786.00 (Playground and Swimming Pool Tax-$12,711.00; Misc. Playg rou nd Rev- enue-$3,075.00) GROUP VIII-MISCELLANEOUS Item 147-Planning and Zoning (General Fund) t ' J, Miscellaneous ------------------------------ $ --- 25.00 $ 25.00 ; Item 148-E-Ambulance (General Fund and Misc. Revenues) Salaries Drivers (2) __________________________$ A 3,360.00 $ 3,480.00 `- . F. 11laintenance ---------------------------------- 400.00 00 350 280.00 00 350 :: ' "` G. Material and Supplies _______ . 22'5 00 . 225.00 °` I. Insurance _ . Totals - ------------------------------------$ 4,335.00 $ 4,335.00 (Ambulance Fees-$1,200.00; General Fund-$3,135.00). Item 148-C®Other Miscellaneous (General Fund) J.-1 Iowa League of Municipalities ---------------$ - g0.00 300.00 3 $ 80.00 3,300.00 ' ~ J.-2 Damages ------------------------------------ -3 Printing Council Procedings ------------------ J , 3,200.00 3,200.00 ~ . J.-4 Revised Ordinances 1,500.00 00 2 000 850.00 2' 000.00 " .;_ j I J.-5 State Examiners - ---------------------------- -6 Repairs to Town Clock ---------------------- J , . 500.00 , 500.00 I . J.-7 Misc. Unclassified ---------------------------- ' 3,000.00 900 00 1 3,500.00 900,00 1 - s Compensation Insurance ________-- J.-8 Workmen . , , on Warrants J._9 I ---------------------------$ Totals 15,605.00 $ 15,455.00 ~, Item 148-F-Airport (General Fund) - ---$ 130.00 $ 130.00 --- I. Insurance ----------------------------- 550.00 550.00 "" J. Miscellaneous --------------------------------- _ _ Totals ------------ -----°----$ Subtotals Group VIII, Miscellaneous ___-____-$ 680.00 20,645.00 $ $ 680.00 20,495.00 '`_ C, __- 'i' ;;:~' ~, ~` ' is ~!'! <~/Iarsh 3rd, 1941. ular Session Re , g 52 +'' ;I: ,' k'~ CROUP IX~-MARKETS AND PUBLIC SCALES „;,;:~. ~',! ~, , '~I ' (General Fund and Misc. General Revenues) {, ~, ' ,, Item 152--®-Market Master's Office $ 1 -}00.00 $ 1,400.00 ' , A. Salar}= Market Master ------------------------ 20.00 20.00 ',~;~, I ~.i Ii r6' ''~,; F. 1llaintenance ---------------------------------° 65.00 G. 1~Iaterial and Supplies ----------------------- 20 00 65.00 20.00 „'' ,!ir . - J•-1 D~Iiscellaneous ------------------------------- ' I ', Ii !'!,' ______$ 1,505.00 --- - $ 1,505.00 ,'II,'~, I ~i ''ii~ - Totals --------------------------- (General Fund-$305.00; ?Misc. General Revenues-$1,200.00). and Public Scales $ 1,505.00 k t M $ 1,505.00 ,, l!ul! s e ar Subtotals Group IX- t lI ;,'(,', ' , ,I, ~!; ~; GrROUP K~MUNICIPAL IMPR0~7EMENTS ~I ~~ ' i ,I,„, ~ ~ Item 162®Assessments and Sexuers 8,000.00 1 City's Share of Special Assessments =_________$ 00 000 - 2 J $ 8,000.00 00 000 3 , . I~ , , , ~ !, i . , • J.-2 Storm Sewer and Inlets _ . , , I ' I !! l i i i ____________4 10,000.00 $ 11,000.00 ' ~ ~'! ; l i Totals __________________________ Subtotals Group X-Ti'funicipal Improvexnents_$ 10,000.00 $ 11,000.00 ~~'. ! i uI ! (Improvement Fund-$8,000.00; Sewer Fund-$3,000.00). I ~i 'il ~I'',I'~ ! CROUP «I--PENSION a UNDS iE ~, I. i Item 154-Police Pensions ___$ 13,698.00 -- $ 13,938.00 I ~ t ~, J.-1 Police Pensions ----~- 037.00 J.-2 Police Retirement System ---------------------- 1, 1,210.00 , ~I ______-$ 14,735.00 $ 15,148.00 Totals ' "'~~' ,. ~'~!"(i! Item 155-Fire Pensions ---- $ 24,798.00 --- $ 21,083.00 ! ---------------- J.-1 Fire Pensions --------- -2 Fire Retirement System ---------------------- 1,965.00 J 1,745.00 ' . 26,763.00 $ 22,828.00 i ~ Ij °' Totals _ 41,498.00 Subtotals Group XI-Pensions ------------- $ $ 37,976.00 ~ ' j'„ii 1, , l;' '° (Policemen's Pension Tax-$11,534.00: Balance on Hand and Contributions 00; Balance on Hand and 595 $17 T ' ~, ' i', . , ax- s Pension -$3,614.00). Firemen Contributions-$5,233.00) . CROUP XII-MUNICIPAL INDEBTEDNESS Item 161-J-1-City Bonds and Interest _ 39 615.00 - $ $ 35,466.00 , A-1. Regular City= Bond Interest ---------------- 17,000.00 A-2. Grading Bond Redemption ------------------- 58 000.00 17,000.00 42,563.41 , A-3. Sewer Bond Redemption -------------------- 30,000.00 A-4. Improvement Bond Redemption ------------- 35,000.00 20,000.00 A-5. Funding Bond Redemption ------------------- 7,000.00 -- 3,000.00 A-6. Sinking Fund ----------------------------- 1,381.00 -------- 1,105.59 A-7. Surplus ----------------------------- ------'---$152,996.00 $154,115.00 Totals - -------------------------- (Bond Interest Fund-$'2,5,8.00; Bond Retirement Fund-$63,073.00; Grad- rovement Fund-$7,000.00; l~Iaiu Sewer Fund- I 00 0 mp ; . ing Fund-$5,00 ~2,694.00; ~Uater «'orks Fund-$20,000.00; Emergency Fund- $33,800.00) Item 161-J-2-Dock Bond and Interest Fund $ 8 240.00 $ 7,175.00 --------- , A-1. Interest on Dock Bonds ______-- __ _ 27,000.00 31,500.00 _ _________ A-2. Dock Bond Redemption _______-- }78.00 ---- 539.00 A-3. Surplus ---------------------------------- -------------$ 35,718.00 - $ 39,214.00 - Totals - --------------- (Dock Bond and Interest Fund-$36,714.00; Sinking Fund-$2,500.00). ai Indebtedness_$183,714.00 $193,329.00 nxci I~I I p u - Subtotals Group ~iI EMERCENC~' AND RESERiTE • 283.00 Reserve ut General 11lisc. Revenues ----------------$ 1790) $ 1,528.00 109.00 Reserve in Emergency Fund ----------------------- -------------$ 463.00 $ 1,537.00 Totals -------------- ~: i ~ i € ~ Regular Session, Nlarch 3rd, 1941. 53 CROUP XIII-DOCKS ~' ""`~~{zY (Dock Fund and Misc. Dock Revenues) Item 153-A-Dock Operation A. Salaries Engineers ----------------------------$ 420.00 $ 420.00 fi. ," m~9; B. Travel ------------------- ------------------- 100.00 150.00 i ~ F, Maintenance __________________________________ 100.00 100.00 ` -~ - G. IViaterial and Supplies _________________________ 75.00 75.00 if .;. ~ I. Insurance ------------------------------------- 467.30 517.00 ~,, 1. J- Traffic Association Dues ~ ----------------- 300.00 300.00 ~,.,; ' J-2. Improvements ___________________________ ----- 100.00 900.00 i J-3. Miscellaneous -------------------------------- 200.00 900.00 a x :,-,_ ;.: J-4. Land Purchase Contract ______________________ 500.00 i J-5. _____ Land Purchase (Interest) _______________ 480.00 Totals --------------------------------------$ 2,742.30 $ 3,362.00 ~ "~~~:, ~ . . , . Item 153-B-Dredge Operation '.< , A. Salaries Engineers ____________________________$ 180.00 $ 180.00 ""•, ; A. Salaries Operators ____________________________ 3,324.48 4,200.00 ~ ~ '-°= 't A, Wages Laborers _________ ______________ 832.00 2,000.00 ' ^ _ ._ ,. F. Maintenance (Repairs) _______________________ 300.00 1,500.00 r G. Material and Supplies ________________________ 500.00 750.00 ~ `,, H Electric Power ------------------------------- 4 52'4.00 5 000.00 ~ ''` gym . ~%e_ . I Marine Insurance ____________________________ 706.25 723.00 ,, ~ ;=:- _- `" . I. Workmen's Compensation Insurance ________ -- 225.00 300.00 ~ " ,, t J. Miscellaneous --------------------------------- 500.00 500.00 . ... , .,-.• _____________ 1 Totals ------------------------- $ 1,091.73 $ 15,153.00 :-a,: -" ,,..;. Item 153-C-W.P.A. River Front Improvement '. ;;., i E. Trucking -------------------------------------$ 1,250.00 $ 850.00 ~ °;: E. Equipment ------------------------------------ 3,650.00 q E. Scale Rental __________________________________ 100.00 200 00 00 500 ~ ;_~::, •: E. G Tools IVlaterial and Supplies ------------------------ . 1,250.00 . 772.00 - ,ae. ' 4n• . I. - Insurance (Public Liability) ________________ 150.00 I " - ~~'az Totals --------------------------------------$ 2,800.00 $ 5,922'.00 . . ; . „~ Item 153-D ~ ` ,. _ G. • Rip Rap and Surfacing ------------------------$ 2,314.97 . =`'" Y. R Totals ---------------------------------------$ 2,311.97 :; ' ` Subtotals Group VIII-Doclcs ______________$ 1 8,949.00 $ 24,437.00 ?' . . ," ,,,,;;:°:. _, (Dock Tat-$16,937.00; Misc. Dock Revenue-$7,500.00). CROUP XIV-WATER WORIgS `~ '~ ~ (Self-Supporting) ~. Receipts- Cash on Hand April 1st ___________ $ 10,000.00 ----------- Est $ 10,000.00 . Est. Receipts for 1\Ietered Sales ____________________ 140,000.00 140,OOa.00 >-- ,.,.. . Est. Receipts from Flat Sales ______________________ 250.00 250.00 ;';yf ` ' Receipts from Fire Protection Service _________ 2,250.00 Est 2,250.00 " '..~ ~° . Est. Receipts from Non-Operation Service _________ 5,000.00 00 2 950 5,000.00 2 950 00 .:. =` `; ~a } , . Est Receipts from Sales Tax ---------------------- , . Totals --------------------------------------$160,450.00 $160.450.00 ` "- ,; J` ,. ;-;, DISBURSEMEI'~TS Item 149-A-Administration ~.- - ~, ~, A. A. A. A. A. A. A. _ Salary Superintendent --------------------- Salary Accountant --------------- --------- Salary Stenographer and Clerk _____________ Salary Clerk --------------------------- -- Salary City Manager (20%) --------------- Sa1ar}> City Auditor (20%) ---------------- Salary City Treasurer (2U Jo) --------------- __* 3,000.00 ~ $ $ --- 2,160.00 ___ 1,560.00 1,200.00 --- --- 1,200.00 --- }90.00 --- 480.00 3,300.00 2,220.00 1,620.00 1,260.00 1,300.00 490.00 480.00 v `. .. '' -"' ~` ~" ~, { . " ' r, j'. j,'ii ` I, i~'I~I ili,i~ 54 Regular Session, 1Vlarch 3rd, 1941. '~'', ~ ' ~,~~:'i~~~~ ' '! 'j,' '' B. C. Tras-el ---------------------------°------ Othee Fspenses and Postage ------------ --____ 125.00 ------ 800.00 125.00 800.00 ~, ,; . D. Printing and Advertising _ 300.00 300.00 , ,!,I~"i I,~I ' E. -------------- Equlpnlent --------------° ------ 1,150.00 300 00 1,150.00 300 00 ~,~ F. G lliaintenance - ------------------------- Material and Supplies - ---------------- ------ . ------ 800.00 . 800.00 I ,'! r.f','I;, I{! II'I' . I. Insurance ------------------------------- 50.00 ------ 4 800 00 50.00 800.00 4 , I i! ~ ''~!' J-1. 2 __ Sinking Fund - ----------------------- -- -------- R f d _ _ , . --- - ------ 2,500.00 , 2,500.00 '~ ~ ., ~;~,.~,~,,, - I J- . J-3. un e s ---------------------- 1~Iiscellaneous __________-- --------------- ------ 500.00 340.00 ' ~ , I' J-4. State Sales Tas ------------------------ ------ 2,950.00 2,950.00 ' ,f!, ~ ', ~'' I i, !i iVi~,:, ;III"r! "~'p'ji'~, ',.„ Totals -------------------------------- (-Note: Includes Cashier Duties). ------$ 24,365.00 ; $ 24,785.00 ; Item 149-8®~Nater Operation A. Salary Field Engineer ________________________$ 2,400.00 $ 2,460.00 A. Salary Plant Chief Engineer __________________ 6 00 10 800 11,160.00 A. A ) ----------------- Salaries Plant Engineers ( \Vages Extra Station Labor ------------------ . , 1,000.00 1,000.00 . A. Salary Tapper c~z Hydrant Man - i M 1,620.00 1560:00 1,740.00 620.00 1 A. an ____________________ ce Salary 11/eter Serv i M 00 1860 , 920.00 - 1 A. A an -------------------- r Salary 1\'Ieter Repa Salary Nleter Reader ------------------------- . 1,560.00 , 1,620.00 . A. Salat-y Asst. i1-Teter Repairer __________________ 1,620.00 00 2 250 1,680.00 310.00 2 A. Salary General Foreman _________________ ----- . 00 680 1 , 740.00 1 A. Salary Asst. Foreman _______________________ . , 000 00 8 , 000.00 8 A. Wages Laborers ------------------------------ . , 000.00 10 , 10,000.00 ~. Equipment ------------------------------------ , 000.00 12 12,000.00 F. G l~~Iaintenance ---------------------------------- Material and Supplies _______________ , 1,500.00 1,500.00 . H. Heat, bight and Power _______________________ 25,000.00 250.00 1 25,000.00 1,250.00 I. J-1 Insurance ----------------------------------- tiUater Main Materials _______________________ , 10,000.00 10,000.00 `•, . J-2. Other Betterments --------------------------- 15,000.00 000.00 3 13,740.00 3,000.00 J-3. Store Reserve -------------------------------- - , 000.00 1 880.00 -- J-4. Miscellaneous ------------------------------- , Totals $115,260.00 $114,810.00 Gra nd Total Water Works Appropriation ___________ $139,82 $139,8 Non-Appropriated Reserve - -----_ 5 00 00 20 000 5.00 000.00 20 Tra nsfer to Cit}~ Indebtedness --------------------- . , Totals --------------------------------------$160,450.00 $160,450.00 RECAPITIJ7 ATIOl~I OF TONAL ABPROPRIATIOiIS A1VID RESRR~~ES Budget Proposed 1940-41 1941-42 (a) Cit}* Operation, Groups I to TiI Inclusive ______$560,110.00 $567,383.00 (b) Reserve in General It~Iisc. Reserves ___ _________ 2S3.00 1,528.00 00 109 (c) (d) Reserve in Emergency Fund _________ :~~Iunicipal Indebtedness, Group NII _ _________ 179.00 _________ 188,714.00 . 193,329.00 (e) (f) Doclcs, Group VIII ----------------- Water Works, Group NIV ___________ --------- 18,949.00 _________ 139,b25.00 2},437.00 139,625.00 (g) \Vater ~~rorks Reserve --------------- --------- 825.00 825.00 Totals ------------------------------- ---------$90S,685.00 $927,236.00 Ta t Revenues --------------------------- ---------$667,590.00 $667,614.00 Mi scellaneous Revenues and Estimated Balances 80 645.00 172.00 99 April 1, 1911 _ -------------------- ---- , -------- 160,}50.00 , 450.00 160 t~rater ~Vorlcs Re<<enue - , Totals --------------------°-------- -----'---$908,685.00 $927,236.00 ';: t` ~, Regular Session, Nlarch 3rd, 1941. 55 Resolution Polo. 20-41 ZVhereas, The City Manager has caused to be prepared a budget on the basis of estimates of the expenses of the various departments of the City of Dubuque for the fiscal year begin- ning April 1, 1941, and ending March 31, 1942, and such department esti- mates show the expenses of each de- partment for the preceding year, and the same has been submitted to this Council as a basis for the preparation of the annual budget required b}~ law to be prepared by the Cit}~ Council of said City; and Whereas, This Council has examin- ed such budget and from the informa- tion therein contained has prepared its budget for said fiscal year on the basis of estimates of the expenses of the several departments of such city, such estimates showing therein not only the purpose for which the consol- idated tax authorized by Section 6217 of the Code of Iowa 1939 is to be used, but in addition thereto, the purposes for which all other levies heretofore made are to be used and including therein also the estimated revenue from miscellaneous receipts and the purposes, for which the same are to be used, so that said budget shows all of the proposed expenditures for the en- suing fiscal year: Now, Therefore, Be It Resolved by the City Council of the City of Dubuque: That the Manager's budget be and the same is hereby approved and the City Clerk is hereby directed to cause the budget prepared by the City Coun- cil for the fiscal year beginning April 1, 19.11, and ending March 31, 1942, to be published in the official newspaper of this City at least once, said publi- cation to be at least two weeks in ad- vance of the date set herein for final hearing thereon and adoption thereof. Be It Further Resolved that this Council meet on the 19th day of March, 19=11, at 7:30 o'clock P, M., in the Council Chamber at the City Hall for the purpose of conducting a hearing upon said budget, at which time any interested party of said City will be given full opportunity to be heard upon any objections or protests made thereto, or to any item or items thereof, or to any omission therefrom, and after all parties have been heard, said budget will be amended or adopt- ed as proposed. This resolution being deemed ur- gent and in the preservation of peace, health, safety and public interest shall be in force and effect from and after its adoption and approval by the City Council, as provided by la~v. Passed, adopted and approved this 3rd day of March, 1941. F. W. THOi~iPSON, Mayor. FRANK VAN DU~I,1~iAN, AI,BDRT WHARTON, B. A. SCHU~I,I,$R, G$O. R. MURPHY, Councilmen. Attest: J. J. SH$A, City Clerk Councilman Van Duelman moved the adoption of the resolution. Sec- onded by Councilman Wharton. Car- ried by the following vote: Yeas- ZVlayor Thompson, Councilmen Mur- Ph3'~ Schueller, Van Duelman, Whar- ton. Nays -None. There being no further business Councilman Murphy moved to ad- journ. Seconded by Councilman Wharton. Carried by the following vote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, Wharton. Nays-None. J. J. SHWA, City Clerk. Approved -----------------------1941 Adopted ________________________1941 Councilmen: { _______________ Attest: ----------°------------------° City Clerk. " ~, 4 .; ~';", ~, 4 .' ~!' .i,, ' r, , , ~. I ,: <1 1 i s A~, £i`a 55 Special Session, March 6th, 1941. o~~ . ~ ~ ~~ (Official) Special Session, March 6th, 1941. Council met at 5:50 P. NI. Present-Ntayor Thompson, Coun- cilmen Il~Iurphy, Schueller, Van Duel- man, Wharton, Ctty Manager Rhom- berg. 11~Ieeting called by order of Coun- cilmen Murphy and Schueller. Mayor Thompson read the call and stated that service thereof had been duly made and that this meeting is called for the purpose of considering the purchasing of the Old Federal Post Office Butlding and Site for City Hall purposes and acting on any other business as may properly come before a regular meeting of the City Council. Resolution No. 21-41 Whereas, The old Post Office and Custom House site in the City of Dubuque has been supplanted by a ne~v structure and bids have been call- ed by the Treasury Department fur the purchase of this property; and \Vhereas, The City of Dubuque is badly in need of a better City Hall; and ~Z%ltereas, This property has been etamined and inspected b}~ the City Council and it is the opinton of this Council that the building is desirable fora Cit}* Hall; and tiVhereas, Certain Federal legis- tion provides that the Secretary of the Treasur}• of the United States, if he deems it to be in the best interest of the government, may sell such buildings and sites to ~ mtuticipali- ties upon such terms and pursuant to such rule , and regulations as provided bi- Par. 345-b of the Act of August 26, 1935, authorizing the sale of Fed- eral builclit:gs as tt appears in the United States Code ~'~nnotated (1910 Supplement, title 401; and \Vhereas, It is the opinion of the Citv Council of the City of Dubuque that said property should be purchas- ed by the City of Dubuque for use as a City_ Hall, tinder the laws of the State of Iowa; and \Vhereas, It is the desire and pur- pose of this Council to authorize any and all actions to purchase said build- ing fora City Hall: B~ IT RESOI,V~D BY THE CITY COUNCIL, OF THIa CITY OF DUBUOU~: That the old Uost Office and Cus- tom House site on Ninth and Locust Streets be purchased by the City of Dubuque for the lowest price obtain- able, and that the officers of the City of Dubuque, be, and they are hereby given authority to commence and cott- clude any and all proceedings neces- sary, under the laws of the State of Iowa, to complete the purchase of said building for a City Hall. Passed, adopted and approved this 6th day of March, 1941. F. W. THOMPSON, lIa}ror. FRANK VAN DURL,1\IAN, AL,B~RT WHARTON, GAO. R. MURPHY, Councilmen. Attest: J. J. SHWA, City Clerk. Councilman Murphy moved the adoption of the resolution. Seconded by Councilman ~Vhartou. Carried by the following vote: Yeas-LVlayor Thompson, Councilmen 1llurphy, Van Duelman, ~%harton. Nays - None. Councilman Schueller not voting. Councilman Wharton moved that Mayor Thompson, City Manager Rhombcrg and City Solicitor Kint- zinger be instructed to go to Washing- ton, D. C., and iutervtew the proper officials for the purpose of obtaining the necessary information for the pur- chase of the Old Post Office and Cus- tom House Site. Seconded by Couu- cii man Murphy. Carried by the fol- lowing vote: Yeas -Mayor Thomp- son, Councilmen Murphy, Van Duel- man, tiZrharton. Nays -None. Coun- cilman Schueller not voting. Councilman Wharton moved that City Clerk J. J. Shea he appointed Acting City Manager during the ab- sence of Cit}- Manager A. A. Rhom- berg from the City. Seconded by Councilman Van Duelman. Carried by the following vote: Yeas -Mayor Thompson, Councilmen 1\Iurphy, Schueller, Van Duelman, Wharton. Nays-None. There being no further business Councilman Schueller moved to ad- journ. Seconded by Councilman Mur- phy. Carried by the following vote: Yeas-1\layor Thompson, Councilmen Alurphy, Schueller, Van Duelman, Wharton. Nays-None. J. J. SH1;A, City Clerk. Approved ----------------------1911. Adopted ------------------------1941. Cotmcilmen: 3 ----------------------- Attest ------------------------------- City Clerk. S~ (Official9 _ _ _ _ ~ r Special Session, March 19th, 1941. 57 ~.~~ ° get for the fiscal year beginning April 1st, 19.11 and ending March 31st, 1942, , and acting on any other business as ~" :~; Special Session, March 19th, 1941 Council met at 7:50 P. ~I Present-Mayor Thompson, Coun- cilmen 1\Iurphy, Schueller, Van Duel- man, \>uharton, City A~fanager Rhom- berg. Meeting called by order of Council- men Schueller and Murphy. Mayor Thompson read the call and stated that service thereof had been duly made and that this meeting is called for the purpose of conducting a public hearing on the Annual Bud- may properly come before a regular meeting of the City Council. Proof of publication, certified to by the publishers, of the notice of a pub- lic hearing upon the Annual Budget of Expenditures for the fiscal year beginning April 1st, 1941, and ending 1Vlarch 31st, 1942, said public hearing to be held in the Council Chamber at the City Hall at 7:30 P. M, on March 19th, 19-41, presented and read. No written objections filed and no objec- tors present in the Council Chamber. Councilman Van Duelman moved that the proof of publication be received and filed. Seconded by Councilman Schueller. Carried by the following ~.-ote: Peas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, ~t'hartou. Nays-None. OFFICIAL NOTICE OF THE PROPOSED ANNUAL BUDCaET ~ j PREPARED BY THE CITY MANAGER AND CITY COUNCIL OF is, "~ !, THE CITY OF DUBUQUE, IOWA FOR THE FISCAL YEAR, 194142 `• u ~,~; o 1 Notice is hereby given that the City Manager of the City of Dubuque d has prepared a budget on the basis of estimates of the expenses of the var- ions departments of said City for the fiscal year beginning April 1, 1941, and ending March 31, 19.12, and such departmental estimates show expenses of each department for the preceding year in addition thereto, the City Council has caused to be prepared a budget for said fiscal year on the basis of esti- mates of the expenses of the several departments of said City, such estimates showing therein not only the purpose for which the consolidated tax levy authorized by Section 6217 of the Code of Iowa 1939 is to be used, but in addition thereto, the purpose for which all other tax levies heretofore made s,, are to be used includin revenues from miscellaneous sources the a g PPortion- . , "'°~~'' ment of the consolidated tax levy having heretofore been determined by said ~~ Council and incorporated in a resolution for such purpose. This budget will '~` be considered for final adoption by the City Council at a special meeting to ~_ be held in the Council Chamber at the City Hall on the 19th day of March, '.:;~ ~ 1941, at 7:30 o'clock P, 1\~I. Any interested party objecting thereto or pro- `- testing to the same, or to any item thereof, or any omission therefrom, shall `' `=_ present his objections to said Council on or before that date. ~ This notice is given pursuant to the direction of the City Council. ~~ ~.. 3-4-1T. SHEA Cit Clerk. J• J , y _~. ., r.co-. ., _ _ , I, ~; _,~ ~, ~. '~ ~, `'' j' ~ 8 Special Session, ~/Iarch 19th, 1941. , i ,, ; ~ '~ PROPOSED BIJD(aET FOR THE CITY OF DUBiTQtJE, IOWA, FOR THE FISCAL YEAR 1941-42 ,I ~ ,~, i, Distribution of Consolidated Tax Levy- - - _$169,703.00 4 l , ---------------------------------- General Fund _ --------------------------- 10,000.00 ---- ' ~ Grading Fund ------------------ ____ _ ____ 15,000.00 , I __ __________ Improvement Fund ------------ ----------- -------- 3,000.00 ---- ; Sevver Fund --------------------------------------- - - 39 800.00 ---- ! I ' I~ - ----------------------------------- bight Fund --------- I , , ~. __ ____$237,503.00 GRAND TOTAL, RECEIPTS FROM TAXES AS LEVIED$667,614.00 AUGUST, 1940-------------------------------------- The above estimate is based on a. revised taxable value of $34,636,510.00, jvhich is the assessed value for 1941-42 operation upon which the 19.270 mill levy and the adjustment of moneys and credits equal to $18,903.00 amounts to $667,140.00, plus tales on agricultural lands equal to $174.00, totals $667,- 614.00, as obtained from the County Auditor. The millage for 1940-41 operation was 19.676umiMoneys andaCreditsuof tion of $33,913,753.00 amounting to $650,610.00, p $16,809.00, plus taxes on agricultural lands of $171.00, totalled $667,590.00. B. From Miscellaneous Sources, 1941-42 General Misc. Revenues 100.00 Excavation Permits -----------------------------`---------_-_-_-_-$ 9,500.00 Police Court Returns ----------------------------`------- 1,750.00 ------------------- 1,500.00 ----- Electrical Permits ---------------------- -- --_---______ Plumbing Permits --------------------------'- ____ 2,000.00 Building Permits ---------------------'--"-"--"------------ 600.00 Franchise Tax ------------------------------------------------ 200.00 Scale Fees ---------------------------------------------------- 2,505.00 State Highway Maintenance ----------------------- - - 2,500.00 ----------------- 100.00 Sale of Real Property ------------------------------------------ Dieting Prisoners ---------------- ___ 1,200.00 ---- --------------- 700.00 Ambulance Fees -----------------'------- Dog Licenses -------------------------------------------------- 4,000.00 Business Ltcenses ------------------------------" _______ 900.00 Miscellaneous Rental ---------------------------'---'-" 13,500.00 Cigarette Permits -------------°------°----------------------- 25,000.00 ---------------------_ 495.00 Beer Permits -----------------'--°-----"- _________ Miscellaneous Sales -----------------------°--'-°---- 1,700.00 ------------------- ------------ -"-- 500.00 Milk Inspection ees ------- Department Receipts ----------------°-°--"--________________ 2,750.00 Board of Education (Nurses) ------------------- .___----- _____________$ 71,500.00 Total General Miscellaneous Receipts _______-- SOURCES OF REV Taxes and Moneys and Credits F rom A- bevy Regular Moneys & tal T Fund- in Mills 857 6 Tax 775.00 $230 Credits $ 6,728.00 o $237,503.00 . Consolidated 651 0 , 910.00 21 638.00 22,548.0 . Bond & Interest --------------- 821 1 , 286.00 61 1,787.00 63,073.00 . Bond Retirement -------------- 295 3 , 894.00 110 3,233.00 114,127.00 . Fire Maintenance -------------- 362 0 , 183.00 12 355.00 12,538.00 . Fire Equipment ---------------- Garbage Disposal & St. Cleaning 0 682 , 2 6 , 00 600 26,199.00 . Park ------------------------ 333 0 .00 59 0 207.00 11 . 327.00 11,534.00 . - Police Pension --------------- 508 0 , 097.00 17 498.00 17,595.00 - . Fire Pension ----------------- Library Operation ______________ 0.820 456 , 27,597.00 00 3.17 15 47.00 15,794.00 Main Sewer __________- __ 0. Playground and Swimming Pool . , 00 480 16,937.00 _ 0.489 Dock Operation -------------- 060 1 16,457.00 674.00 35 . 1,040.00 36' . Doclc Bond and Interest ______-- 177 0 , 957.00 5 173.00 130.J0 6, . Snow Removal ---------------- 0.979 , 32,949.00 960.00 33,909.00 Emergency -------------------- Subtotals - _ __19.270 $648,537.00 $ 18,903.00 $667,440A0 00 105 Road Tax on Agricultural Lands (General Fund)___ F ___________ -- . 69.UCI Library Tax on Agricultural Lands (Lib un rary ____-_-- - EI~ILTE FOR 1941-42 FISCAL OPERATIOl~I Total ---------------------------------- ~: Special Session, IV.[arch 19th, 1941. 59 FIRE MAINTENANCE FUND x Out of Limits Service Fees ____________________________________$__1,000.00 LIBRARY FUND Fines, Book Rentals, Etc. _______________________________®______$ 2,500.00 ;, PARK FUND Estimated Balance April 1, 1941 ________________________________$ 1,500.00 '. Collection, Concessions, Etc. ___________________________________ 750.00 ' Total ----------------------------------------- $ , ------------- 2 250.00 PLAYGROUND AND SWIMMING POOL FUND Swimming Pool Receipts ______________________________________$ 2,500.00 > ' Skating Receipts ______________________________________________ 200.00 Athletic Field Fees -------------------------------------------- 375.00 ' Total _____________________________ ___$ 3,075.00 DOCK FUND Estimated Balance April 1, 1941 ________________________________$ 1,000.00 '; ; Oil Terminal Fees ____________________________________________ 2,500.00 Harbor Leases ________________________________________________ 1,000.00 ;.- Wharfage Fees ------------------------------------------------ 3,000.00 Total -----------------------------------------------------$ 7,500.00 ' POLICE PENSION FUND ~ ~ Estimated Balance April 1, 1941 ________________ I' Contributions from Members ___________________________________ 115'0.00 I, Total--------------------------°-------------____----------$ 3,614.00 ' FIRE PENSION FiJND Estimated Balance April 1, 1941 ________________________________$ 3,533.00 Contributions from 1\~Iembers __________________________________ 1,700.00 Total ------------------------------------------------------$ 5,233.00 DOCK BOND AND INTEREST FUND Sinking Fund for Dock Bond Redemption________________________$ 2,500.00 TOTAL, ESTIMATED MISCELLANEOUS REVENUES-$ 99,172.00 ~~ TOTAL, TAXES, MONEYS AND CREDITS______________ 667,614.00 TOTAL ESTIMATED CITY REVENUES______________ $766,786.00 WATER WORKS DIVISION (Self-Supporting) Estimated Balance April 1, 1941 _____________ _______$ 10,000.00 ----------- Estimated 1941-42 Water Revenue ______________________________ 150,450.00 ' Total ------------------------------------------------------$160,450.00 L', ESTIMATED GRAND TOTAL CITY REVENUE AND ' `VATER DIVISION ---------------------------------$927,236.00 i I' ' I I (,Ii 0 S ecial Session, March 19th, 1941. p ` ~ '' , , .I ',~,i, f CIT 51 OF DUBUQUE, IOWA, APPROPRIATIOIQS FOR THE F ISCAL ~. ~''! ` YbAR APRIh 1, 1941, TO MARCIi 31, 1942 ii ' ,,~,' ~~ ,lip' ~, ! ~'rROUP 1®d°sEiVERAI. ADMIa~lISTRATI0~1 i. il; ,i~''~'i (General Fund) ,Isi~` ;,,~, I'~i~',. p, Item lO1~Council 1940-41 Proposed 1941-42 i , ,I,~ ~ E ;,;,, ons Appropriations Appropriat , ~ , l ' ~, B. Travel -----------------------------$ 175.00 ----------- 25.00 ---------------- 175.00 25.00 '„ ' J. Tliscellaneous ----------------- , v~ ~ ~' I,I ~' 200.00 $ 200.00 "I,, Totals ------------------- - ~, E f II ~! ~I Item 102-mCity Manager's Office 800 00 *$ *$ 4 5,200.00 , i i i , I i A. A . , ------------------ Salary City I~~Ianager (SO%) _ 3,240.00 ries Office Help (2) --------------------- - l S 3,240.U0 ~.; ^,'',I' ~4,III~ . B. a a 100.00 Travel ---------------------------------------- 125.00 100.0!1 125.00 t ' ~,'4 ~„i, !~ ;,,: C. Office -------------------- --- 15.00 - 15.00 ! ~ D. --- -------------- Printing ----------------- 200.00 200.00 { ' ~ ~, ~ ' F. Maintenance _ --- ------- 325 00 325.00 ~ !, ' , i! ! ` ' G. . ----------------------- material and Supplies __ ~ ! ,. ' ~r'ii I ,. ''ll;, $ ----------------°----- S,805.00 $ Totals ----------------- 9,205.00 Item 103--City Cleric's Office A. Salary City Cleric ----------------------------$ 2,500.00 $ 2,500.00 A. Salary ~titra Help ---------------------------° 150.00 150.00 G. Material and Supplies ------------------------- 75.00 75.00 ________ 2,725.00 $ 2,725.00 Totals -------------' $ Item 104®City Auditor's Office A. Salary City Auditor (80%) --------------------*$ 1,960.00 *$ 1,960.00 __ 50.00 50.00 p'. Maintenance -------------------------------- 100.00 100.00 G. IVfaterial and Supplies ------------------------- ---------------------------------------$ 2,110.00 $ z,llo.co Totals Item 105®City Treasurer's Office ~$ 920.00 *$ 1 1,920.00 Salary City Treasurer (80%) ----------------- A , 00 500 . A. Salary Stenographer (50%) ___________________ . 25.00 25.00 D. Printing and Advertising --------------------- 25.00 25.00 F. Maintenance --------------------°--------'-°-- G. Material and Supplies ------------------------- - 150.00 50'.00 150.00 50.00 I. Surety Bond --------------------------------- _ -----------$ 2,670.00 $ 2 170.00 , Totals --------------------------- 20% of Salaries of City Manager, City Auditor and City Treasurer *N ote: ( * Water Department). id U } are pa Item 106®City Solicitor's Office -$ 3 g00.00 $ 4,000.00 A. - --- Salary City Solicitor --------------- 40.00 40.00 B. Travel ________________________________________ 40.00 40.00 C. ----------------- Office ----------- 85.00 85.00 G. -------- lies T-laterial and SLtPP ---------------- _$ ---------- 3,965.00 $ 4,165.00 Total ----------------------------- Item 108®City Assessor's Office 1,500.00 $ 1,200.00 A. Salary City Assessor --------------------------$ 1125.00 1,125.00 A. Salary Deputy Assessors ---------------------- 25.00 25.00 G. Paterial and Supplies -------------------------- 600.00 1,200.00 J. Board of Revte«' ----------°------------------- ~_ Total----------------------------------------$ 3,250.00 $ 3>550.00 s =: 4 .;: Item 109-Civil Engineer's Office A. Salary Instrument Man _______ ________________$ 1,500.00 $ 1,680.00 I' - A. Salary Rodmen _______________ ________________ 2,640.00 C. Office ------------------------- ---------------- 10.00 10.00 ,: „, E. Equipment ___________________ ________________ 50.00 50.00 ~°- F. Maintenance _________________ ________________ 500.00 500.00 G. Material and Supplies _________ ________________ 500.00 500.00 - - Total _.,______________________ ________________ $ 2 560.00 , $ 5,380.00 - ; ~ ,. Item 113-City Elections A. Salaries Clerks, Etc. _________ __________ $ 500.00 $ 500.00 i G. Material and Supplies ________ ________________ 400.00 400.00 " J. Rents ------------------------- ---------------- 50.00 50.00 :, ` ., - Total ________________________ ________________$ 950.00 $ 950.00 Item 114-City Buildings A. Salaries Janitors __________ _$ 2,000.00 $ 2,000.00 ~ y ' ~. Equipment -------------------- ---------------- 1,500.00 1,500.00 - _-_,_:,-_ ', -- F. Maintenance and Repairs _______ _______________ 2,500.00 2,500.00 ' ` G. Material and Supplies 1,000.00 1000.00 H. Heat and bight ________________ _______________ 2,900.00 2,900.00 I. Insurance (3 Years) __________ ________________ 550.00 'I' Total _____________ __________$ 10,450.00 $ 9,900.00 i';;. _- ' Item 115-Police Court '!, A. Salary Police Judge ___________ _______________$ 1,500.00 $ 1,500.00 is -_ _- ' G. Material and Supplies _________ _______________ 15.00 15.00 ` Total _______________________________________$ 1,515.00 $ 1,515.00 Item 116~Civi1 Sesvice Commission G. Material and Supplies __________ ______________$ 50.00 $ 50.OC J. Miscellaneous _________________________________ 50.00 50.00 Total ------------------------- ------°-------$ 100.00 $ 100.00 ~: , SUBTOTALS GROUP 1-GENERAL, AD- MINISTRATION ________ ______________$ 39,300.00 $ 41,970.00 ' GROUP II-PROTECTION OF LIFE AND PROPERTY Item 118-Police Department (General Fund) Ra te per NIo. A. Salary Chief of Police __________$ 2,760.00 (1) @ $235.00 $ 2,820.00 A. Salary Senior Captain __________ 2,100.00 (1) @ 180.00 2,160.00 A. Salaries Captains ______________ 3,720.00 (2) @ 160.00 3,840.00 A. Salaries Desk Sergeants _______ 5,580.00 (3) @ 157.50 5,690.00 A. Salaries Detectives ____________ 7,200.00 (4) @ 155.00 7,440.00 i A. Salaries Motorcyclists __________ 3,480.00 (2) @ 150.00 3,600.00 i A. Salaries Patrolmen ____________ 42,000.00 (22) @ 145.00 38,280.00 (After 3 Years) A. Salaries Patrolmen ____________ (3) @ 140.00 5,040.00 (Before 3 Years) A. Salaries Patrolment ___________ (0) @ 125.00 (During First Year) A Salaries Matrons _______________ 2,400.00 (2) @ 105.00 2,520.00 A. Salaries Special Officers _______ 100.00 100.00 B Travel------------------------- 50.00 50.00 . C. Office ------------------------- 425.00 425.00 - D. Printing ---------------------- 50.00 50.00 E. Equipment ____________________ 2,000.00 2,000.00 F. G Maintenance ___________________ Material and Supplies _________ 2,200.00 2,700.00 2,200.00 2,700.00 ' . J.-1 Feeding Prisoners _____________ 900.00 1,500.00 J.-2 Miscellaneous (Injttries) _______ 300.00 300.00 Totals ~ 77,965.00 $ 80,715.00 _.. ' 'iI. ..j. '' ff ~` ' ~;~; ' i' r ~ 9th 1941. S ecial Session l~iarch , p 9 II , ~ ' ; , Item il9-A-Fire Department Maintenance Fund „ _ i ~, l A. Salary Fire Chief______________$ 2,760.00 (1) @ $235.00 $ 2,820.00 p, ~'~ lil A. Salaries Senior Captains ______ 3,960.00 (2) @ 170.00 4,080.00 i, ,, ,', III', , A. A Salaries Captains _____________ _________-_ Lieutenants Salar 9,300.00 (5) @ 12,180.00 (7) @ 160.00 150.00 9,600.00 12,600.00 ~ i ; ~,'±~~,' ~ . A. _ y Salaries Engineers __________-- 6,960.00 (4) @ 150.00 7,200.00 A Salaries Firemen ______________ 58,800.00 (28) @ 145.00 48,720.00 c.: I;, i iii, ~ !',~ ', . A. (After 3 Years) Salaries Firemen ______________ (6) @ 140.00 10,080.00 ~i ,,,,f, ~~:: ' ! A (Before 3 Years) Salaries Firemen ______________ 3,000.00 (4) @ 125.00 6,000.00 ,, I,, '' ' ,'I'' ~' . (During First Year) 00 50 50.00 'I~i', ' '~'"' B. C. Travel _ Office _ _ . 650.00 35 00 650.00 35.00 I ';: ~I!~'~~, ~ ~I'I;i,~ r1 '!~ l'~ I'r"'~ D. F. Printing ---------------------- maintenance ------------------ . 2,600.00 2,600.00 000 00 3 ! i ~ '„°i,~.~,;; ;~,, F. Repairs to Buildings ___________ 7,000.00 0 . , 00 2 700 "!'';''' ' ' ' G. material and Supplies _________ 2,700.0 , . 00 000 3 i i( i'I ,ib,,!; , i ', , ,,;i! ' ~ H. Heat, Light ------------------ 3,300.00 200 00 . , 400.00 , ,, , ?,,`;~,~,,, ~,ly, I. J -1 Insurance -------------°------- 1~Iiscellaneous (Injuries) ______ . 1,200.00 900.00 Iii, i~li,l''r . 2 J•- Interest on Warrants ______-__ 160.00 255 00 1 60.00 632.00 ,;, .!~,'; i " J.-3 Reserve for emergency -- _ . , , ~, Totals ----------------------- ---------------$11 6,110.00 $115,127.00 ' I' , '~ i ` it `'! ; !II'I' '', - (Fire 11~Iaintenance Tax-$114,127.0 0; Misc. Fire Reve nue-$1, 000.00). Item 119-B-Fire Equipment Fund E. Equipment ------------------------------------$ 12,550.00 $ 12,535.00 Item 120-Fire and Police Alarm (General Fund) Salary City Electrician ________________________$ A 1,950.00 $ 1,950.00 . A. Salary Asst. City Electrician __________________ 1,800.00 00 100 1,800.00 100 00 A. Salary Extra Help ___________________________ . 100 00 . 100.00 C. E Office ----------------------------------------- Equpiment ----------------------------------- . 150.00 150.00 . F. G l~Iaintenance __________________________________ Material and Supplies ________________________ 150.00 200.00 150.00 200.00 . H. Heat, Light and Power _______________________ 200.00 100.00 I. Insurance (3 Years) -------------------------- 40.00 Totals ---------------------------------------$ 4,650.00 $ 4,550.00 Item 121-Building Commissioner's Office (General Fund and Misc. Gen- eral Revenues) A Salary Building Commissioner ________________*$ 3,000.00 *$ 3,000.00 . A. Salary Stenographer (20°Jo) ---------- --------- 200.00 25 00 25.00 C. F Office ------------------------------ Naintenance ------------------------ . -- -------- ---------- 150.00 150.00 . G. Material and Supplies _______________ _________ 100.00 100.00 Totals 3,475.00 $ 3,275.00 (General Fund-$1,275.00; Fees-$2,000.00) (*Note: Includes Civil Engineering Duties) Item 122-Plumbing Inspector's Office (General Fund and Misc. General Revenues) A Salary Plumbing Inspector ____________________$ 2,160.00 $ 2,160.00 . A. Salar}* Stenographer (15%) --------------------- 150.00 25 00 25.00 C. D Office _ _ Printing -- --------------- . -------------------- 15.00 15.00 . G. 1aterial and Supplies ----- -------------------- 50.00 30 00 50.00 180 00 J.-1 Plumbing Board --------- . -------------------- . Totals --------------------------------------$ 2,430.00 $ 2,430.00 (General Fund-$930.00; Fees-$1,500.00) a, t` Special Session, March 19th, 1941. 63 Item 123-Electrical Inspector's Office (General Fund and Misc. General Revenues) A. Salary Electrical Inspector ________________ ___$ 2,220.00 $ 2,220.00 A. Salar}* Stenographer (15°Jo) _______________ ___ 150.00 C. Office ------------------------------------- --- 25.00 25.00 D. Printing ___________________________________ ___ 15.00 15.00 F. Maintenance _______________________________ ___ 175.00 175.00 G. Material and Supplies ______________________ ___ 100.00 100.00 Totals ______________________________________$ 2,685.00 $ 2,535.00 (General Fund-$785.00; Fees-$1,750.00) Item 124-Dog Pound (Misc. General Revenues) J. 1~nforcement Dog Ordinance __________________$ 150.00 $ 150.00 SUBTOTALS GROUP II, PROTDCTION OF LIFT; AND PROPERTY __________$220,055.00 $221,320.00 GROUP IIi-IiEAI.TII AND SANITATIOi~ Item 125-Health Operation (General Fund) A. Salary Director (Part Time) _________________$ 1,800.00 $ 1,800.00 A. Salary Sanitary Inspector ____________________ 1,450.00 1,450.00 A. Salary Clerk _________________________________ 1,080.00 1,080.00 A. Salary Restaurant Inspector __________________ 1,080.00 1,080.00 A. Salary Head School Nurse (10 Mo.) __________ 1.700.00 1,700.00 A. Salary School 1\TUrse __________________________ 1,400.00 1,400.00 A. Salary School Nurse __________________________ 1,350.00 1,350.00 A. Salary School Nurse __________________________ 1,250.00 1,250.00 B. Travel ---------------------------------------- 50.00 50.00 C. Office _________________________________________ 150.00 150.00 D. Printing _______________________________________ 50.00 50.00 D. Fquipment ------------------------------------ 50.00 50.00 F. Naintenance __________________________________ 250.00 250.00 G. Material and Supplies ________________________ 400.00 400.00 J.-1 Laboratory Dspense _________________________ 900.00 900.00 J,-2 1\Iiscellaneous ________________________________ 100.00 100.00 Totals ______________________________________$ 13,060.00 $ 13,060.00 Item 126-Control of Contagious Diseases J. Control of Contagious Diseases _______________$ 1,200.00 $ 1,200.00 Item 127-Sewer Maintenance (Main Sevrer Fund) A. Salary Sewer Foreman ________________________$ 1,800.00 A. Wages Laborers _____________________________ 8,500.00 E. Equipment ----------------------------------- 500.00 F, Maintenance __________________________________ 700.00 G. Material and Supplies _________________________ 300.00 J.-1 Power for Sewer Pumps ______________________ 1,300.00 $ 1,800.00 8, 500.00 700.00 700.00 500.00 900.00 Totals _______________________________________$ 13,100.00 $ 13,100.00 Item 128-Garbage Disposal (General Fund) J. 'Contract for Garbage Collection and Disposal ___$ 15,490.00 $ 15,490.00 Item 129-Milli Inspection (General Fund and Misc. General Revenues) A. Salary Milk Inspector ________________________$ 1,800.00 $ 1,800.00 1;, $quipment ___________________________________ 160.00 160.00 F. Maintenance of Inspector's Car ________________ 300.00 300.00 G. Material and Supplies _________________________ 100.00 100.00 Totals ______________________________________$ 2,360.00 $ 2,360.00 (General Fund-$660.00; Fees-$1,700) SUBTOTALS GROUP III, HEALTH AND SANITATION _________________________$ 45,210.00 $ 45,210.00 `; 64 Special Session, March 19th, 1941. GR®uP Iv-dHS~HwAYS aND S~R~~T IdI~HTS Ytem 131--iIighways Administration (General Fuaid) A. Salary Timekeeper ---------------------------$ 1,800.00 $ 1,920.00 F. l~~Iaintenance ---------------------------------- 100.00 100.00 G. Material and Supplies ------------------------ 150.00 150.OU Totals _________________$ 2,050.00 $ 2,170.00 --------------------- Item 132-Street Repairing and Grading (General Fund and Grading Fund) A. Wages Laborers -----------------------------$ 15,000.00 $ 15,750.00 $. Equipment ------------------------------------ 4,500.00 4,500.00 F. IVlaintenance ---------------------------------- 4,500.00 4,500.00 G. Material and Supplies ------------------------- 5,500.00 5,500.00 Totals $ 29,500.00 $ 30,250.00 -------------------------------------- (General Fund-$25,250.00; Grading Fund-$5,000.00) Item 133-City Garage (General Fund) A. Salaries Mechanics ------------------- --------$ 7,500.00 $ 75.00 7,875.00 75.00 C. ----- Office --------------------------- -------- 500.00 500. 1 F. Equipment _ _ _ 400.00 400.00 F. G. Maintenance - - - ------------------ Material and Supplies ----------------- -------- -------- 325.00 00 0 325.00 00 500 2 H. Heat, bight, Power ------------------ . 2,50 -------- 50A0 . , 50.00 I. Insurance _______ Totals $ 11,350.00 $ 11,725.00 -------------------------------------- Item 134-Ash and Can Collection (General Fund) A. Wages Drivers and Laborers _________________$ 8,000.00 $ 9,000.00 F. lllaintenauce _______-- _ 1,400.00 1,400.00 G. Material and Supplies __________________________ 500.00 500.00 Totals $ 9,900.00 $ 10,900.00 -------------------------------------- Item 138-®Street and Tra:Fic Signal Lighting (.Light Fund) H. Street Ligting and Traffic Signals ______________$ 39,372.00 $ 39,800.00 Totals --------------------------------------$ 39,372.00 $ 39,800.00 Stem 140-Street Cleaning (Garbage Disposal and Street Cleaning Fund) A. Wages Drivers and Laborers -----------------$ 12,500.00 500.00 $ 12,500.00 500.00 ~. 1~quipment ----------------------------------- 000.00 -- 3 3,000.00 F. G. , i\laintenance -------------------------------- Material and Supplies ------------------------- 580.00 143.00 580.00 149.00 J. Surplus --------------------------------------- Totals ---------------------------------------$ 16,723.00 $ 16,729.00 Item 141-Snow and Ice Removal( Snow Removal Fund) _$ 3,900.00 $ 4,200.00 A. Labor _______ 350.00 350.00 F. Fquipment ----------------------------------- ° 1,000.00 1,200.00 F. G. IVlaintenance -------------------------------° 1\Iaterial and Supplies _________________________ 350.00 65.00 350.00 30.00 J. Reserve --------------------------------------- -------$ 5,665.00 $ 6,130.00 Totals ------------------------------- SUBTOTALS GROUP IV, HIGHWAYS 1 $ IGHTING 14,560.00 $117,704.00 _________ AND STR~>~T L €- ~- Special Session, IVlarch 19th, 1941. 65 Item 143-A-Library Fund and Misc. Library Revenue A. Salary Librarian _______________________ _______$ 2,340.00 $ 2,400.00 A. Salary Reference Librarian _____________ _______ 1,740.00 1,800.00 A. Salary Cataloguer _____________________ _______ 1,560.00 1,620.00 A. Salary Juvenile Librarian _______________ _______ 1,440.00 1,500.00 A. Salary Circulation Head _______________ _______ 1,260.00 A. Salary School Librarian _______________ _______ 1,140.00 1,200.00 A. Salary Asst, of Circulation ____________ _______ 1,080.00 1,140.00 A. Salary General Assistant _______________ _______ 960.00 1,020.00 A. Salary General Assistant (3) ___________ _______ 2,700.00 2,880.C0 A. Salary General Assistant (Half Time) __ _______ 450.00 621.00 A. Salary Janitor _________________________ _______ 1,320.0`0 1,380.00 B. Travel --------------------------------- ------- 50.00 50.00 C. Office --------------------------------- ------- 100.00 100.00 D. Printing ------------------------------- ------- 50.00 50.00 E. Equipment and Books _________________ _______ 7,000.00 6,000.00 F. Maintenance ___________________________ _______ 2,700.00 4,000.00 G. 1\Iaterial and Supplies __________________ _______ 1,000.00 1,000.00 H. Heat, Light, ZVater _____________________ _______ 2,100.00 2,000.00 L Insurance _____________________________ _______ 300.00 200.00 J.1 Interest on Warrants ___________________ _______ 100.00 J.-2 Reserve for Emergency ________________ _______ 1,267.00 749.00 Totals _______________________________ _______$ 29,397.00 $ 30,970.00 SUBTOTALS GROUP V, LIBRARY ______$ 29,397.00 $ 30,970.00 (Li brary Fund-$28,470.00; IVlisc. Library Revenue-$2, 500.00) GROUP VI-PARK FU1VD Item 144-A-Park Administration A. Salary Superintendent _________________ _______$ 1,800.00 $ 1,800.00 B. Travel __________________________________ ______ 100.00 100.00 C. Office ---------------------------------- ------- 125.00 125.00 D. Printing and Advertising _______________ ______ 50.00 50.00 J.- Miscellaneous ___________________________ ______ 15.00 15.00 Totals ________________________________ ______$ 2,090.00 $ 2,090.00 Item 144-B-Park Areas, Buildings, Eetc. A. Wages of Laborers _____________________ ______$ 10,500.00 $ 10,800.00 C. Forestry _______________________________ ______ 2,000.00 2,000.00 E. Equipment ______________________________ ______ 1,150.00 1,150.00 F. Maintenance ____________________________ ______ 1,175.00 1,175.00 G. Material and Supplies ___________________ ______ 2,900.00 3,000.00 H. Heat, light, water and Telephone ________ ______ 1,775.00 1,775.00 I. Insurance ______________________________ ______ 300.00 500.00 J.-1 Renovations and Replacements __________ ______ 225.00 427.00 J.-2 Interest, Reserve and Assessments ______ ______ 530.00 530.00 Totals _________________________________ ______$ 20,555.00 $ 21,357.00 SUBTOTALS GROUP VI-PARK FU ND __$ 22,6-15.00 $ 23,447.00 (Park Tax-$21,197.00; lllisc. Park Revenues- $2,250.00) GROUP VII-PLAYCaROUI~ID^,~ A1VD SWIMMII~IG POOL FUleTD Item 145-A-Recreation Administration A. Salary Director _________________________ ______$ 2,250.00 $ 2,250.00 B. Travel __________________________________ ______ 50.00 50.00 C. Office ----------------------------------- ------ 120.00 120.00 F. Maintenance (Car) _____________________ ______ 360.00 360.00 G. Material and Supplies __________________ ______ 100.00 100.00 Totals --------------------------------- ------$ 2,880.00 $ 2,880.00 Item 145 B-Playgrounds A. Salaries Supervisors, Directors, Etc. _____ ______$ 2,050.00 $ 2,050.00 A. Wages of Laborers _____________________ ___ --- 200.00 200.00 E. Equipment ----------------------------- ------ 500.00 500.00 F. Maintenance ____________________________ ______ 650.00 650.00 G. Material and Supplies ___________________ ______ 400.00 400.00 H. Heat, Light ----------------------------- ------ 100.00 100.00 I, Insurance ______________________________ ______ 50.00 50.00 J.-1 Improvement New Playground __________ ______ 1,000.00 Totals -------------------------------- ------$ 3,950.00 $ 4;950.00 GROUP V-LIBRARY 66 Special Session, l~~iarch 19th, 1941. Item 145-D®tft7inter Sports $ 650.00 $ 650.00 A. Rrages Check Room, F,tc. ------------------- --_ 25.00 25.00 C. Office ------- _ ---------------- 100.00 - 100.00 F. )~quipmeut --------------------------------- - 200.00 - 200.00 F. Maintenance --------- --------------- ------- -- 0 150.00 G. Material and Snpplies --------------------- --- 37 5.00 375.00 H. Heat and Light --------------------------- --- ___$ 1,500.00 $ 1,500.00 T t is __ --------------------------- o a ____-- Ttem 145-E-Swimming Pool $ A. Salary Superintendent ------------------------ ----- A. Salary Guards ----------------------" A. Salary Attendants --------------------------- F. Maintenance --------------------------`--'-- G, Material and Supplies ------------------------- H. bight and Power ------------------------------ - ----------------------------- 1. Insurance ------- J, l~'Iiscellaneous ---------------------------`---- Totals ------------ ----------------- 450.00 $ 450.00 840.00 840.00 1,500.00 1,300.00 600.00 450.00 250.00 250.00 600.00 450.00 200.00 200.00 100.00 100.00 ____$ 4,5=}0.00 $ 4,040.00 Item 145-G-Indoor Winter Sports 100.00 -- 100.00 J. kiscellaneous ------------------------------- Item i45-H---Emergency ---- --$ 00 25 50.00 $ J.-1 Interest on Warrants ------------------ - 2 . -- 216.00 J.-2 Reserve ---------------------- ------------- ------ ---$ 275.00 266.00 $ Totals ----------------------------- Item 146-Athletic Park -- ---$ 4r)O,Op $ A. Wages Caretaker ----------------------- 750.00 750.00 F. Maintenance ------------------------------- --- 150.00 150.00 G, Material and Supp tes ------------- -------- --- 200.00 200.00 H. Lights ------------------------------------- --- 500.00 500.00 I. Insurance ---------------------------- ---- --- 50.00 -"- 50.00 J. Miscellaneous ----------------------------- _ $ 2,050.00 $ 2,050.00 Totals -------- Subtotal Group VII-Playground and Swim- -----$ 15,295.00 $ 15,786.00 ming Pool ___ _ ----------- (Playground and Swimming Pool Tax-$12,711.00; 1~Iisc. Pla}*grotutd Rev- enue-$3,075.00) G12t1UP VIII-MISCELI.AP3 EGU5 Item 147-Planning and Zoning ('~"eneral Fund) - $ 25.00 $ 25.00 J. ~-liscellaneous ---------------------'- Item 143-E-Ambulance (Cameral Fund and Misc. k2ev~~en3 360.00 $ 3,480.00 ' --- A. Salartes Dnvers ( --------- 400.00 280.00 -----------=----------- F'. ~Iaintenauce ------- ---- 350.00 350.00 G. Material and Supplies ------------------------' 225.00 ---- ---- 225.00 ------ I. Insurance --------------------- ______ -,- _____ ___$ -" 4,335.00 $ 4,335.00 (Am Totals _ ------------" bulance Fees-$1,200.00; General Fund-$3.135.00). $ Item 148-C-Other Miscellaneous General Fund) 80,00 $ 80.00 J.-1 - Iowa League of Municipalities -___________ 3 300.00 3,300.00 J.-2 J,_3 Damages ------------------------------------ printing Council Procedings __- ----- 3,200.00 1,500.00 3,200.00 850.00 4 J' Revised Ordinances ---------------------- -------- ---------------- i 2000.00 2,000. 00 500 J.-5 J.-6 ners ------ State $xam Repairs to Town Clock ---------------------- 500.00 3,000.00 . 3,500.00 J,_7 J._g Misc. Unclassified ---------------------------- ~Vorlcmen's Compensation Insurance _ --- --- 1,900.00 L5.00 1,900.00 125.00 J.-9 Interest on ~U arrants _-------- _________$ ---- 15,605.00 $ 15,455.00 Totals -----"---- Item 148-F-Airport (General Fund) - - - -- ----$ 130.00 $ 130.00 I, Insurance ---------------- ____ 550.00 550.00 Miscellaneous --------------'---°-"------ J• o $ 6so.oo Totals ---- ----------'------ ----`----------_$ 20,645.00 $ 20,495.00 Subtotals Group VIII, Miscellaneous -------- $ sue---- - ~~ 1 E - „ =~'- ~, ' - ~:":;~ Special Session, 1Vjarch 19th, 1941. 67 " ~'• GROUP IX-MARKETS AND PUBLIC SCALES £` ,(General Fund and Misc. General Revenues) _"- '= '"l, Item 152-Market Master's Oflice A. Salary i\Iarket Master ________________________$ 1,400.00 $ 1,400.00 , F. Maintenance _ _ 20.00 20.00 '-' - ;,. G. Material and Supplies ________________________ 65.00 65.00 j,-1 Miscellaneous 20.00 20.00 Totals --------------------------------------$ 1,505.00 $ 1,505.00 ' (General Fund-$305.00; Misc. General Reventtes-$1,200.00). Subtotals Group IX-?~larl:ets and Public Scales $ 1,505,00 $ 1,505.00 GROUP X-MUNICIPAL IMPROVEMENTS - Item 162-Assessments and Sevrers ~° J.-1 City's Share of Special Assessments __________$ 8,000.00 $ 8,000.00 _ II{ ~' J.-2 Storm Sewer and Inlets ______________________ 2,000.00 3,000.00 ___ 10,000.00 Totals ----------------------------------- $ -. ,. _. 11000.00 ';` _.:" _._.:_' Subtotals Group X-Municipal Improvements_$ 10,000.00 _ $ 11,000.00 (Improvement Fund-$8,000.00; Sewer Ftmd-$3,000.00). _ GROUP XI-PENSION FUNDS Item 154-Police Pensions J.-1 Police Pensions ______________________________$ 13,698.00 $ 13,938.00 ' J.-2 Police Retirement System ______________________ 1,037.00 1,210.00 _`';-~:" -____-- 14,735.00 Totals ----------------- $ $ 15,148.00 , ". - Item 155-Fire Pensions ` _ _' " J.-1 Fire Pensions --------------------------------$ 24,798.00 $ 21,083.00 J.-2 Fire Retirement System ______________________ 1,965.00 1,745.00 , .°µ- ~ ` Totals --------------------------------------$ 26,763.00 ,; ,-`. $ 22,828.00 Subtotals Group XI-Pensions ______________$ 41,198.00 . $ 37,976.00 (Policemen's Pension Tax-$11,534.00; Balance on Hand and Contributions - lance on firemen s Pension Tax 17 595.00; Ba -$3,614.00). F $ Hand and Contributions-$5,233.00). __ " GROUP XII-MUNICIPAL INDEBTEDNESS - Item 161-J-1-City Bonds and Interest s /j~° ; A-1. Regular City Bond Interest __________________$ 39,615.00 . $ 35,466.00 ° ~ __ 17 000.00 A-2. Grading Boud Redemption _________________ _ 17,000.00 ` _____ 58,000.00 A-3. Sewer Bond Redemptton _______________ A-4. Improvement Bond Redemption ______________ 30,000.00 ` 42,563.41 ~ 35,000.00 A-5. Funding Bond Redemption ___________________ 00 000 7 20,000.00 000.00 3 . , A-6. Sinking Fund ------------------------------- A-7. Surplus -------------------------------------- 1,381.00 , 1,105.59 ~_, -" Totals --------------------------------------$152,996.00 -- $154,115.00 -• -,:=_=',. (Bond Interest Fund-$32,5.18.00; Bond Retirement Fund-$63,07 3.00; Grad- ing Fund-$5,000.00; Improvement Fund-$7,000.00; Maui Sewer Fund- - $2,694.00; Water ~Vorlcs Fund-$20,000.00; Emergency Fund- $33,800.00) - .. Item 161-J-2-Dock Bond and Interest Fund ' A-1. Interest on Dock Bonds ______________________$ 8,240.00 00 000 27 i $ 7,175.00 ; , 31 500.00 j . , on ______________________ A-2. Doclc Bond Redempt 00 478 , 539.00 ~ . A-3. Surplus --------------------------------------- Totals --------------------------------------$ 35,718.00 $ 39,21}.00 (Dock Bond and Interest Fund-$36,714.00; Sicking Fund-$2,500.00). Subtotals Group XII-Mtuucipal Indebtedness_$188,714.00 $193,329.00 EMERGENCeI AND PI:SERVE !' ~ Reserve in General 1\Iisc. Reventtes ________________$ 283.00 $ 1,528.00 '`_ " „ Reserve in Emergency Fund _______________________ 179.00 109.00 , ' Totals __________-$ 462.00 $ 1,637.00 wiz:" _: ''' '~' ~, 6~ especial session, 1VIarch 19th, 1941. GROUP VIII®DOCI~S (Dock Fund and IVlisc. Dock Revenues) Item 153-.~®Dock Operation A. Salaries Engineers ____________________________$ B. Travel ---------------------° F. Maintenance ---------------------------------- G. 1~Iaterial and Supplies ------------------------- -------------------- I. Insurance ------- -------- J-1. Traffic Association Dues ---------------------- J-2. Improvements -------------------------------- J-3. Miscellaneous -------------------------'--'--- J-4, band Purchase Contract ------------------- J-5. band Purchase (Interest) -------------------- Totals ------------------- 420.00 $ 420.OU 100.00 150.00 100.00 100.00 75.00 75.00 467.30 517.00 300.00 300.00 100.00 900.00 200.00 900.00 500.00 480.00 ___________$ 2,742.30 $ 3,362.00 Item 153-B-Dredge Operation ----- $ 180.00 $ 180.00 A. Salaries Engineers ----------------------- -- 324.4S 3 4,200.00 A. Salaries Operators -------------------------- , 832.00 2,000.00 A. Wages Laborers ----------------------------- nce (Repairs) ---------------------° i t 300.00 1,500.00 0 F. G. ena n Ma material and Supplies ------------------------ ---- 500.00 4,524.00 750.0 5,000.00 H. Electric Power ----------------------°---- 706.25 723.00 I. I, Marine Insurance ---------------------------- Workmen's Compensation Insurance ---------- 225.00 500.00 300.00 500.00 J, T/iscellaneous -----------------------------°-- --------- $ 11,091.73 $ 15,153.00 Totals -------- --------------------- Item 153-C-W.P•~• River Front Improvement ----- -$ 1,250.00 850.00 $ ~. Trucking ------------------------------- 3,650.06 E. E4uipment ----------------------------------- ° 100.00 ;~. Scale Rental ----------------------------'---- - 200.00 500.00 ~. G Tools --------------------------------------- T/aterial and Supplies ----------------------- - 1,250.00 - 772.00 150.00 , I. Insurance (Public Liability --------- -------- -$ 2,800.00 $ 5,922.00 Totals ----------------------------- Item 153-D 311.97 2 $ G, Rip Rap and Surfacing ---------------------°- , - ___$ 2,314.97 --- - - Totals ------------------------------- Subtotals Group SIII-Docks ------------- -$ 18,919.00 $ 2.4,437.00 (D ock Tas-$16,937.00; Misc. Dock Revenue-$7,500.00). CROUP ~I~T-WATER WORDS (Self-Supporting) Receipts- 10,000.00 $ 10,000.00 Est. Cash on Hand April 1st ----------------------$140,000.00 140,000.00 Est. Receipts for Metered Sales ------------------- 250.00 250.00 Est. Receipts from Flat Sales ---------------------- 2 250.00 2,250.00 Est. Receipts from Fire Protection Service --------- 5,000.00 5,000.00 Est. Receipts from Non-Operation Service --------- 2 950.00 2,950.00 Est Receipts from Sales Tax ---------------------- Totals _$160,450.00 $160.450.00 ------------------------------------- DISBURSENIEI3TTS Item 149-A®64dministration --~$ 3,000.00 ~$ 3,300.00 A. ----------- Salary Superintendent ----------- - -- 2,160.00 2,220.00 A. - - -- Salary Accountant ------ ------- her and Cleric --------------- a 1560.00 1,620.00 00 A. p Salary Stenogr ----- 1,200.00 1,260. A. A Salary Clerk ---------------------------- Salary City 1~Ianager (20%) ------------------ 1,2.00.00 490 00 1,300.00 490.00 . A. Salary City Auditor (20%) ------------------- Treasurer (20%) ___________ Cit . 480.00 180.00 A. y Salary Special Session, iVlarch 19th, 1941, 69 B. Travel ________________________________ ________ 125.00 125.00 C. Office Expenses and Postage __________ ________ 800.00 800.00 D. Printing and Advertising ______________ ________ 300.00 300.00 E. Equipment ____________________________ ________ 1,150.00 1,150.00 F. Ivlaintenance __________________________ ________ 300.00 300.00 G. lllaterial and Supplies ________________ ________ 800.00 800.00 I. Insurance _____________________________ ________ 50.00 50.00 J-1. Sinking Fund _____________________ --- 4,800.00 -------- 4,800.00 J-2. Refunds ______________________________ ________ 2,500.00 2,500.00 J-3. 1\Iiscellaneous _________________________ 500.00 -------- 340.00 J-4. State Sales Tax ______________________ ________ 2,950.00 2,950.00 Totals --------------------------------------$ 24,365.00 $ 24,785.00 (*Note: Includes Cashier Duties). Item 149-B-Water Operation A. Salary Field Engineer ________________________$ 2,400.00 $ 2,460.00 A. Salary Plant Chief Engineer _____________ ----- 2,160.00 2,220.00 A. Salaries Plant Engineers (6) _________________ 10,800.00 11,160.00 A. Wages Extra Station Labor ___________ ------- 1,000.00 1,000.00 A. Salary Tapper & Hydrant Man ______________ 1,620.00 1,740.00 A. Salary Meter Service Ulan _________ ---------- 1,560:00 1,620.00 A. Salary Meter Repair Man ____________________ 1,860.00 1,920.00 A. Salary Meter Reader _________________________ 1,560.00 1,620.00 A. Salary Asst. Meter Repairer __________________ 1,620.00 1,680.00 A. Salary General Foreman ______________________ 2,250.00 2,310.00 A. Salary Asst. Foreman _______________________ 1,680.00 1,740.00 A. Wages Laborers _________________________ 8,000.00 8,000.00 E. Equipment ____________________________________ 10,000.00 10,000.00 F. Mainteuance __________________________________ 12,000.00 12,000.00 G. Material and Supplies ________________________ 1,500.00 1,500.00 H. Heat, Light and Power _______________________ 25,000.00 25,000.00 I. J-i. Insurance ___________________________________ Water Main Materials _______________________ 1,250.00 10,000.00 1,250.00 10,000.00 J-2. Other Betterments ____________________________ 15,000.00 13,740.00 J-3. Store Reserve _____________________ ----------- 3,000.00 3,000.00 J-4. Miscellaneous ________________________________ 1,000.00 880.00 Totals ______________________________________$115,260.00 $114,840.00 Grand Total Water Worlcs Appropriation ___________$139,625.00 $139,625.00 Non-Appropriated Reserve ________________________ 825.00 825.00 Transfer to City Indebtedness ______________________ 20,000.00 20,000.00 Totals ______________________________________$160,450.00 $160,450.00 RECAPITIJLATIOI~ OF TOTAL APPROPRIATIOIsIS AIVD RESIJRjIFS Budget Proposed 1940-41 1941-42 (a) City Operation, Grottps I to XI Inclusive ______ $560,110.00 $567,383.00 (b) Reserve in General 11lisc. Reserves ____________ 283.00 1,528.00 (c) Reserve in Emergency Fund __________________ 179.00 109.00 (d) Municipal Indebtedness, Group XII __________ 188,714.00 193,329.00 (e) Doclcs, Group XIII -------------------------- 18,949.00 24,437.00 (f) ~ZTater Works, Group XIV ____________________ 139,625.00 139,625.00 (g) ~~rater Works Reserve ________________________ 825.00 825.00 Totals ----------------------------------------$908,685.00 $927,236.00 Tax Revenues _________..--------------------------$667,590.00 $667,614.00 Miscellaneous Revenues and Estimated Balances April 1, 1941 _________________________ 80,645.00 99,172.00 Water Works Revenue ____________________________ 160,450.00 160,450.00 Totals --------------------------------------$908,685.00 $927,236.00 7~'~ ~~'~., Re,~olution hlo. 22-41 e f~lii,: i I ,,f r; I k I„~! ~ ~,jjj~l~',; "'~'~'''4 E'ui~ I; ~ ~ ,i,,`I I~~II,'~ , ~fi + i,1~li!, !! `, ~ ~' t', '` ' ~~'li , f lit ~i it ~!.i ~, ~t,~ { i L, ~,~r ..' ` I'~ ,1, ~i'~ 4' •j. \\'hereas, A 'uudget of proposed ex- penditures for the fiscal year begin- ning April 1, 19.11 and endingl/arch f 31, 19-4', has been duly prepared by the City Illanager, published as required by law and submitted to this Council for approval; and \Vhereas, This Council has prepared t its budget of proposed expenditures for the fiscal year beginning April 1, 1941 and ending March 31, 1942, wherein estimates of the expenses of the departments and purposes are shown, including the estimates for which the consolidated tax levy and all other levies heretofore made, re- ceipts from moneys and credits and miscellaneous sources are to be used, and said budget shows all of the pro- posed expenditures for the ensuing fiscal year, and the same tivas publish- ed as provided by law, and an oppor- tunity «°as given all who might wtsh to file objections or protest to the same, and the time for final action thereon having been fixed as the 19th day of :March, 19-41; and Whereas, No objections have been filed or made to said budget: Now, Therefore, Be It Resolved by the City Cottncil of the City of Dubuque that said Bud- get of proposed expenditures for the fiscal }=ear beginning April 1, 19-41 and ending March 31, 19-42 as heretofore prepared be and the same is hereby adopted and approved. Passed, adopted and approved this 19th day of li~Iarch, 19-41. F. VV. THOIIPSON, Ntayor. FRA\~K VAN DUDI,~4AN, ALBDRT WHARTON, B. A. SCUDI.LDR, GDO. R. 1~IURC Htcilmen. Attest: J. J. SHDA, City Clerl:. Councilman Van Duelman moved the adoption of the resolution. Seconded by Councilman \Vharton. Carried by the following cote: Yeas - Mayor Thompson, Councilmen Il~Iurphy, Schueller, Van Duehnan, \Vharton. i'days-None. Ordinance No. 6-41. An Ordinance appropriating money far the various fiends and purposes of the City of Dtt- huque for the fiscal year beginning April 1, 1941 and ending March 31, 1912, presented and read. Cotutcil- man Van Duelman moved that the reacting just had he considered the first reading of the ordinance. Seconded b}- Councilman Schueller. Carried by the follo~cing vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, Van Duelman, \Vharton. Nays-None. Cot?ncilman Van Duel- man moved that the rules be suspend- d requiring an ordinance to be read on three separate days. Seconded by Councilman Schueller. Carried by the ollowing vote: Yeas-li/ayor Thomp- son, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None. The ordinance was then read a sec- on time. Councilman Van Duelman noved that the reading just had be considered the second reading of the ordinance. Seconded by Councilman Schueller. Carried by the following rote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, \Vharton. Nays-None. Coun- cilman Van Duelman moved that the ordinance be placed on file with the City Clerk for public inspectiin for at least one week before its final adop- tion. Seconded by Councilman Schuel- ler. Carried by the following vote: Yeas-Rlayor Thompson, Councilmen Murphy, Schueller, Van Duelman, \Vharton. Nays-None. Councilman l~furphy moved that the rules be suspended for the purpose of allowing any one present in the Coun- cil Chamber, who wishes to do so, to address the Council. Seconded by Councilman Schueller. Carried by the following vote: Yeas-Mayor Thomp- son, Councilmen Murphy, Schueller, Van Duehnan, Wharton. Na}~s-None. ~lrs. George Kirkpatrick addressed the Council requesting that the Spanish American War Veterans Auxiliary be granted permission to hold a tag clay on April 19th, 19-41. Councilman Van Duelman moved that the request be 7rattted. Seconded by Councilman Schueller. Carried by the following cote: Yeas-Mayor Thompson, Coun- cilmen i\Iurph}~, Schueller, Van Duel- man, \\Tharton. Nays-None. Petition of Ddward Albert requesting that a permanent grade be established on Simpson Street, also that permanent sidewalks be constructed on the Dart side of Simpson Street except where ah-eady constructed, and that the bed of the sidewalk space be graded pre- sented and read, Attorney 1\I. H. Czizelc addressed the C o u n c i l r e q tt e s t i n g that the prayer of the petition of Ddward Al- bert be granted. Councilman \Vhar- ton moved that the petition be referred to the Council to view the grounds. Seconded by Councilman IvIurphv. Car- ried b}* the following vote: Yeas - 1\Ta}ror Thompson, Councilmen ~~Iur- phy, Schueller, Van Duelman, \Vhar- ton. Nays-None. Petition of Andrew McGrath, et al requesting that Dodge Street from Al- e•ona Street to Gandolfo Street and Ga.udolfo Street to St. Joseph Street he improved. b}- grading, curb and buttering, and hard surfacing the same presented and read. Mr. Harr}* Shaw ~r,,,,...._.. :~ _" !:, Special Session, Nlarclt 19th, 1941. addressed the Council requesting that the prayer of their petition be granted. Councilman Van Duelman moved that the petition be referred to the Council to view the grounds. Seconded by Councilman Schueller. Carried by the following vote: Yeas-R-layor Thomp- son, Councilmen Illurphy, Schueller, Van Duelman, Wharton. Navy - None. Notice of Claim of Mrs. Robert ~. Reinicke in the amount of X175.00 for injuries sustained in a fall on an icy sidewalk on the South side of the Shorten residence on West Tenth Street presented and read. Council- man Schueller moved that the Notice of Claim be referred to the City So- licitor for investigation and report. Sec- onded by Councilman l-Iurphy. Car- ried by the following vote: Yeas - 1llayor Thompson, Councilmen 11Iur- phy, Schueller, Van Duelman, `Whar- ton. Navs-None. Notice of Hospital Lien and State- ment of Filing of Hospital Lien of St. j\[ercy Hospital against Miss Nora Kane presented and read, Council- man Van Duelman moved that the Notice and Statement be referred to the City Solicitor. Seconded by Coun- cilman Illurphy. Carried by the fol- lotving vote: Yeas-Mayor Thomp- son, Councilmen Murph}>, Schueller, Van Duelman, Wharton. Nays-None, Communication of ~. G. Forward submitting application for reappoint- ment as a member of the Local Board of Adjustment and Review for the cur- rent year presented and read. Coun- cilman b-Iurphy moved that the com- munication be referred to the Conncil. Seconded by Councilman Schueller. Carried by the following vote: Yeas- 1\Iayor Thompson, Councilmen Mur- phy, Schueller, Van Duehnau, Whar- ton. Nays-None. Communication of the U. S. Depart- ment of Justice, Immigration and Nat- uralization Service, Washington, D. C., advising that the third Sunda}* of I1Iay of each year has been designated as Citizenship Day for the observance and commemoration of American citi- zenship and requesting support in col- laboration with the various groups representative of the community in planning and carrying out such a cere- mony this year presented and read. Councilman Van Duelman moved that the communication be referred to the Council. Seconded by Councilman Wharton. Carried by the following vote: Yeas-Mayor Thompson, Coun- cilmen Murphy, Schueller, Van Duel- man, Wharton. Nays-None. Petition of Sarah Koehler, referred to the City Council by the Board of Supervisors, requesting suspension of 71 the 19-10 taxes on L,ot 15 of Jackson School Subdivision presented and read. Councilman 1blurphy moved that the petition be referred to the City So- licitor for investigation and report. Sec- onded by Councilman Schueller. Car- ried by the following vote: Yeas - Mayor Thompson, Councilmen Mur- phy, Schueller, Van Duelman, Whar- ton. Trays-None. Petition of Wm. A. Haller, referred to the City Council by the board of Supervisors, requesting suspension of the 1940 tales on I,ot 27 of McCraney's 2nd Addition presented and read. Coun- cilman Murphy moved that the peti- tion he referred to the City Solicitor for investigation and report. Seconded by Councilman Schueller. Carried by the following vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, Van Duelman, Wharton. Pv avs-None. Council Proceedings for the month of December, 1910 presented for ap- proval. Cotmcilman Van Duelman moved that the Council Proceedings for the month of December, 1910 be approved as printed. Seconded by Councilman 1\Iurphy. Carried by the following vote: Yeas-Nlayor Thomp- ~on, Councilmen, Murphy, Schueller, Van Duelman, Wharton. Navs-None. March 10, 1941 To the Honorable Mayor, a.nd City Council, Dubuque, Iowa. I herewith submit the reports of the City Auditor, City Treasurer, City Health Department, City Water De- partment and Citv Recreational De- partment for the month of February, 1941, also a list of claims and list of payrolls for which warrants were drawn during the month of February, 1941. Respectful)}~ submitted, A. A. RHOI\IB~RG, City Manager. Councilman Murphy moved that the reports he received and placed on file. Seconded by Councilman Schueller. Carried by the following vote: Yeas- 1\Iayor Thompson, Councilmen I~fur- phy, Schueller, Van Duelman, Whar- ton. Navs-None. 1\Iarch 10, 1941. In re: Claim of Frank Carter, Ad- ministrator of the Estate of Julia Carter, Deceased, Honorable Mayor and members of the City Council, City of Dubuque, Iowa. Gentlemen: There is now pending in the District Court of Dubuque County, Iowa, the case No. 29753 I,aw, Frank Carter, ;i ~'', ;~ '' ~ ~' C''', I ' I' 2 Special Sesston, N ; ' ;~,, ' ,,~I p:, Administrator of the Estate of Julia ' ' ~~ ' , Carter, deceased, vs. Cit}> of Dubuque, in «ilich case it is claimed that Julia I~, II'I'-' ~'. Carter, deceased, fell on or about Sep- i I ~ ~, ~ tember -1, 19-10 in front of the property I ~ "'' ',; knot; n as 784 Dodge Street in the City , " Iowa, stepping into a hole of Dubuque „ p,, , ~~'' " ' 1! , in the sidewalk, causing her to fall and ~ I,„.: ! ! ~ ' , , lil,,i,,, ' l'„~ receive injuries, from which injuries she died; that said petition further „. ~ l ; ,; laims the sum of $1,650.00 damages, ~ ~ , ~ ", I, c ,;958.00 being the actual damages. ( ', ' I That I have investigated this case ~ I I I I and am of the opinion that there is - f D h Ci II I '', u ty o e liabilit}> on the part of t ~ ~ I!';I' Dubuque; that Plaintiff has agreed to ' '~'~ ~,~ , I''!i ;'; settle the case for $750.00. I recom- ' I ~ I'II' `''' mend that said case be settled for the !~' I I ; ' 'i' a'~' sum of $750.00, and that a warrant be , , , a !; r, ,p!'~',d;,l issued pad>able to Frank Carter, Ad- ' ~~,~ '' I~, ,,, „ ministrator of the Estate of Julia Car- ; , ;' ; ; p~'~I'I~''~I''' : ter. deceased, in the sum of $750.00, I , , ~;'; .' and that the same be delivered to him ' I, , I"''" i upon the execution aucl delivery of a I ~'~,ill' t , proper release to the City of Dubuque. I' ' ' Respectfully submitted, ~ ',I~i l' ''jl JOHN J. KINT7-.INGER, ' ~ ~~~; ~''~,~) ~ , il I,,,,i'„ I. ~' City" SOhCItOT'. ~ ! ~ l jl ~,;l rl, , I'i~j','' ';i. ! , I. Councilman 1\Iurphy moved that the l , ,. ' I reconuuendation of City Solicitor Kint- zinger be approved and that the City i, ~`"I! I" I " '~' I Auditor be instructed to draw a war- i ~~ I iii I rant in the amount of $750.00 in favor i ~ ~ " ~ " I of Frank Carter, Administrator of the ' "' ' I' I°~!'' Estate of Julia Carter, deceased, and ~ I'I'' " I that the same be delivered to him upon •' ;' ~ II~~'~'" the execution and delivery of a proper ~ ~I I' ~ ' release to the City of Dubuque. Sec- I d ~ II ~ onded by Councilman Wharton. Car- ' ;,, il.l 1~., vied by the follot;-ing vote: Yeas - ~ i' ,~ ''' ~I TIa~>or Thompson, Councilmen ?~Iur- i~ ~ "' I phv, Schualler, Van Duelman, ~Vhar- i,,:!,',~ ,~';!~,;`" ton. Na~>s-None. .,i i„ri ' ' ;,, l,i .!' ij',~,,,', '' he:>olution No. 23-41 ~ `' I.,;~P',' " Whereas, Application for Class "B„ }~ ~~' '' ' l ~ d Beer Permit has been submitted to ( ' I , , this Council for approval aucl the same '.'',,j'la'„ '" has keen examined: Now, Therefore, •i,','",i~': Be It Resolved by the Council of ' the City of Dubuque that the following '., ' ~;'~';; ~' ' application be and the same is hereby „ I'I,I , approved and it is ordered that the li h i d b app - y suc e premises to be occup 11~i,• ~ cant shall be forthwith inspected. ~ ~, ( III '' Class "B" I'ermi.t , I Name Address II',, ' H. I,. Barrett, 2:6 Nest First Street. i I,''; ',"' Passed, adopted and approved this '~! '' ~; ' 19th day of 11larch, 19-11. I,',;' '~' '." F. `V. THOIIPSON, Mayor '' 'i; '„'' FRANK VAN DUEL,l\IAN, , ' ' ALBERT ~VHARTONT, ~' B. A. SCHUEI,I.ER, ~;': GEO. R. MURPHY, " '' Councilmen. I I; '''~ I,'," Attest: J. J. SHEA, City Clerl:. arch 19th, 1941. Councilman Murphy moved the adoption of the resolution. Seconded be Councilman Schueller. Carried by the following vote: Yeas-Mayor Thompson, Councilmen >Vlurphy, Schueller, Van Duelman, Wharton. Naas-None. ?2esolution No. 24-41 \~rhereas, Heretofore application was tiled by the within named applicant for Class "B" Beer Permit and it has received the approval of this Council; and 1~Thcreas, The premises to be occu- pied by such applicant have been in- spected and found to comply with the ordinances of this City and he has filled a priper bond; Now, Therefore, Be It Resolved by the Council of the Cit}- of Dubuque that the Mana- ger he and he is hereby directed to Issue to the following named person ~, Beer Permit. Class "B" Permit Name Address H. I,. Barrett, 236 ~l'est First Street. Be It Further Resolved that the bond filed by such applicant be and the same is hereby approved. Passed, adopted and approved this 19th day of March, 1941. F. AZT. THOMPSON, Mayor FRANK VAN DUEI,'~IAN, ALBERT ~,\'HARTON, B. A. SCHUF.I,I,I;R, GEO. R. D,IURPHY, Councilmen. Attest: J. J. SHEA, City Clerk. Councilman 1~Iurphy moved the adoption of the resolution. Seconded lit, Councilman Schueller. Carried b}> the following vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, ~'an Duelman, Z~rharton. aj's-done. There being no further business Councilman 1lurphy moved to adjourn. Seconded h}- Councilman Schueller. Carried by the following vote: Yeas- :~'Ia.yor Thompson, Councilmen It/ur- phy, Schueller, Van Duelman, ~Vhar- tou. Nays-None. J. J. sHEA, City Clerk. Ahprozed -----------------------19-11 Adopted ------------------------19`11 Councilmen: ~ _______________ Attest: -----------••- -------- City Clerk. ~:'.~-_ 1;R - heretofore levied pursuant to Section 6217 of the 1939 Code of Iowa is hereby appropriated to the General, Grading, Improvement, Server and Light Funds in the following ratios, to-Suit: (a) General Fund $169,703.00; (b) Grading Fund $10,000.00; (c) Improvement Fund, $15,000.00; (d) Sewer Fund, $3,000.00; (e) Light Fund, $39,800.00 Paragraph 900 Agricultural tax. Sec- tion 2. That the revenue anticipating to be received from the tax upon ag- ricultural lands within the city (ex- clusive of such portion thereof alloted to the Library Fund) in the sum of $105.00 is hereby appropriated to the Special Session, (OFFICIAL) Special Session, March 26th, 1911. Council met at 7.45 P. ill. Present-Itiayor Thompson, Council- men tl~Iurph}', Schueller, Van Duelman, ZVharton, City 1\-Tanager Rhomberg. 11~Ieeting called by order of Coun- cilmen Vau Duelman and Wharton. Illayor Thompson read the call and stated that service thereof had been duly made and that this meeting is called for the purpose of considering for final adoption of Ordinance No. 6-41. Au ordinance appropriating money for the various funds and purposes of the City of Dubuque for the fiscal year beginning April 1, 1941 and ending 1\Iarch 31, 1942 and acting on any oth- er business as tnap properly come be- fore a regular meeting of the City Council. Ordinance No, 6-41. An ordinance appropriating money for the various funds and purposes of the City of Du- buque for the fiscal vear beginning '', April 1, 1941 and ending March 31, 19-42, said ordinance having been passed upon first and second readings on March 19th, 1941 and ordered placed on file with the City Clerk for public inspection for at least one week before its final adoption, presented and read a third time: Ordinance No. 6-41 An ordinance appropriating money for the various funds and purposes of the City of Dubuque far the fiscal year beginning April 1, 19-11 and end- ing 1\Iarch 31, 1912, Be it ordained by the City Council of the City of Dubuque: Paragraph 899 Consolidated tax levy, Section 1 That the consolidated tax --'~ March 26th, 1941. 73 -- General Fund, malting the tas total of said General Fund, $169,805.00. Paragraph 901 Funds. Section 3. That the appropriations for the fiscal year beginning April 1, 1941, and end- - utg 1\Iarch 31, 1942, for the various departments and purposes of the City of Dubuque be filed and determined as follows !ax•oup 1. General Administration Departments / " 101-City Council ___________$ 200.00 ,,;„ 102-Office of Cit}~ 1bTanager__ 9,205.00 103-Office of City Clerk____ 2,725.00 10-4-Office of City Auditor__ 2,110.00 105-Office of City Treasurer 2,170.00 106-Office of City Solicitor___ 4,165.00 108-City Assessors Office___ 3,550.00 " r , ;- 109-Office of Civil Eugineer_ 5,380.00 , 113-Elections ______________ 950.00 ,- t; 114-City Buildings _________ 9,900.00 115-Police Court __________ 1,515.00 %..a 116-Civil Service Commission 100.00 '~ - (These appropriations shall be paid from the General Fund) ' '1= ' Caroup II. Protection of Life >: and Property 118-Police Department_____$80,715.00 ($22,2.13.00 of the appropriation shall be paid from the General Fund and $60,-472.00 from miscel- laneous general revenues.) 119A-Fire Dept. D-Iainte- nance ___________________$115,127.00 (This appropriation shall be paid from the Fire Department T~Tain- tenarce Fund and $1,000.00 from out of limits service fees.) 119B-Fire Equipment_____$ 12,538.00 (This appropriation shall be paid fi•om the Fire Equipment Fund.) 120-Fire and Police Alarm Systems ________________$ 4,550.00 (This appropriation shall be paid from the General Fund.) 121-Office of Building Com- missioner _______________$ 3,275.00 ($1,275.00 of this appropriation shall be paid from the General Funcl and $2,000.00 from miscel- laneous general revenue.) 122-Office of Plumbing In- spector -----------------$ 2,430.00 ($930.00 of this appropriation shall be paid from the General Fund and $1,500.00 from miscellaneous general revenues.) 123-Office of Electrical In- spector __________________$ 2,535.00 (785.00 of this appropt•iation shall be paid from the General Fund and $1,750.00 from miscellaneous general revenues.) 124-Dog Pound ____________$ 150.00 (This appropriation shall be paid from miscellaneous general rev- enues.) ~s,,.,; Group III. Health and Sanitation 125-Health Operation _____-$13,060.00 (This appropriation shall be paid from the General Fund.) 126-Control of Contagious Dise~ses _ $ 1,200.00 (This appropriation shall be paid from the General Fund.) 127-Sewer Maintenance ___$13,100.00 (,This appropriation shall be paid from the Mam Sewer Fund.) 12S-Garbage Disposal _____$15,-}90.00 (This appropriattou shall be paid from the General Fund.) 129-Milk Inspection ______$ 2,360.00 ($660.00 of this appropriation shall be paid from the General Fund and $1,700.00 from miscellaneous general revenues.) Group IV. Highways and Streeet Lights 131-Highway Administra- tiott ---------------------$ 2,170.00 (This appropriation shall he paid from the General Fund.) 132-Sheet Repairing and grading ------------------$30,250.00 $25,250.00 of this appropriation shall be paid from the General Fraud and $5,000,000 from the Grading Fund.) 133-City Garage ----------$11,725.00 13-1-Ash and Can Collection_$10,900.00 (These appropriations shall be paid from the General Pund.) 138-Street and Traffic Sig- nal Lighting _____________539,800.00 (This appropriation shall be paid from the Light Fund.) 140-Street Cleaning _______$16,729.00 (This appropriation shall be paid from the Garbage Disposal and Street Cleaning Fund.) 1-11-Snow and Ice Removal_$ 6,130.00 (This appropriation shall be paid fi~om the Snow Removal Fund.) Czroup V. Library 1-13-Library Operation ____$30,970.00 $28,-170.00 of this appropriation shall be paid from the Library Fund and $2,500.00 from miscel- laneous library revenues.) Group VI. Parks 144A-earl: Admiuistration__$ 2,090.00 144B-Park Areas, Buildings 1tc. ---------------------$21,357.00 ($21,197.00 of these appropriations shall be paid from the Park Pund and $2,250.00 from miscellaneous park revenues.) Caroup VII. Recreation 145A-Recreation Adminis- tration ___________________$ 2,880.00 145B-Playgrounds _________ 4,950.00 145D-~~Iinter Sports ______ 1,500.00 1451-Swimming Pool _____ 4,040.00 i45G-Indoor Winter Sports 100.00 1~5H-lmergency _______-- 266.00 1~6 -Athletic Parlc ______ 2,050.00 ti 12,711.00 of these appropriations shall he paid from the Playground and Swimming Pool Fund and $3,075.00 from miscellaneous recre- ation revenues.) ~sroup VIII. 1Vliscellaneous 1.17 -Planning and Zon- ing ----------------------$ 25.00 (This appropriation shall be paid froth the General Pund.) 1~1S1-Ambulance _________-$ 4,335.00 $3,135.00 of this appropriattou shall be paid from the General Fund and $1,200.00 from the mis- cellaneous general revenues.) 14SC-Other it/iscellaneotts__$15,455.00 14SF-Airport -------------$ 680.00 (These appropriations shall be paid from the General Pund.) Group Ii. P/Iarl=.ets and Scales 152-Office of Market I\Ias- ter ----------------------$ 1,505.00 (4305.00 of this appropriation shall he paid from the General Fund and $1,200.00 from miscellaneous general revenues.) Caroup ~. Idtunicipal Improvements 162T-1 - Citt-'s Share of Special Assessments ______$ 5,000.00 (This appropriation shall be paid from the Improvement Fund.) 162J-?-Storm Sewers and Inlets ____________________$ 3,000.00 (This appropriation shall be paid from the Server Fund.) Group ~I. Pensions 154J-1-Police Pensions ____$13,938.00 (This appropriation shall be paid froth the Police Pension Fund.) 154J-2-Police Retirement System ------------------$ 1,210.00 (This appropriation shall be paid from the Police Retirement Fund. ) 155J-1-Fire Pensions ______$21,083.00 (This appropriation shall be paid from the Fire Pension Puud.) 155J-2 -Fire Retirement System ------------------$ 1,7-15.00 (This appropriation shall be paid from the Fire Retirement Pund.} Group III. Pdunicipal Indebtedness 161-J-1-Retirements of Bonds and payment of in- terest ___________________$151,115.00 (This appropriation shall be paid from the following funds: Bond Interest Fund, $22,548.00; Bond Retirement Fund, $63,073.00; Grad- ing Fund, $5,000.00; Improvement Fund, $7,000.00; Main Sewer Fund, $2,694.00; Water Works Fund, $20,000.00; lmergency Fund, $33,- 800.00. ) 161J-2-Retirement of Dock Bonds and payment of in- terest ___________________$39,21-4.00 (This appropriation shall be paid from the Doclc Bond Fund.) Group X%I%. ]Public Docks 153A-Dock Operation _____$ 3,362.00 153B-Dredge Operation ___$15,153.00 153C-W. P. A. Project ____$ 5,922.00 ($16,937.00 of these appropriations shall be paid from the Dock Op- eratiou Fund and $7,500.00 from miscellaneous dock revenues.) Group XI~7. Water Works 149x1-Administration _____$ 24,785.00 149B-Operation __________ 114,840.00 (This department is operated from its receipts and is not sup- ported by tax levy, hence no ap- propriation from taxes is made, but the foregoing amounts are appropriated from the revenue of such department.) Paragraph 902 General miscellane- ous revenues. Section 4. General miscellaneous revenues which are col- lected during the fiscal year shall be allocated to the departments and pur- poses as provided for herein and shall be used for the payment of the ex- penses of such departments and pur- poses in the sums herein shown. Paragraph 903 Surplus. Section 5. Any surplus not specifically allocated for a definite purpose in the budget and tivhich may exist in either the General Fund or miscellaneous reve- nues account shall be and the same is hereby appropriated and set apart to be applied as contingencies arise or may be used for such proper purposes as the Council may determine upon. Any surplus not specifically distributed in the budget and remaining in funds created by the levy of special taxes shall be and the same is hereby appro- priated for any proper purpose incident to such funds. Any surplus remaining in any fiord at the close of the fiscal year 1910-41 (except taxes which have been levied fot- special purposes) shall be transferred into and become a part of the General Fund. Nothing herein contained shall authorize the transfer of ftmds realized from special taxes to a fund or purpose for which any special tax levy has been made, except only with the approval of the State Comp- troller. Paragraph 904 Receipts from Swim- ming Pool. Section 6. All receipts from the operation of the swimming pool shall be allocated to the Play- ground and S~vimmiug Pool Fttnd. Paragraph 905 );mergency Funds. Section 7. Transfers of money may be made from the emergency Fund :'. :-, 9.,~~ Jlarch 26th, 1941. ~5 to any other fund for the purpose of meeting deficiencies in an}* such fund arising from any cause; provided, how- ever, that no such transfer shall be made except upon the written approv- al of the State Comptroller and then only when such approval is unanimousa "- 1}- requested by the City Council. Paragraph 906 Delinquent Taxes. ~ Section 8. Delinquent prior years' _- taxes shall be allocated to the respec- - tive funds entitled to the same when and as the same are received by the City Treasurer. Paragraph 907 Distribution. Section 9. That the distribution and division of the within appropriation shall be made in accordance with the budget of the City Council adopted on IVlarch 19, 1941, which budget is made a part of this ordinance by reference thereto and shall be considered in con- - nection with the expenditures of said appropriations. Paragraph 908 emergency clause. Section 10. This ordinance, in the in- terest of the preservation of public peace, health, safety and the general welfare of the City of Dubuque and ~ _ the inhabitants thereof heing deemed ~m urgent and lof immediate necessity, ,. shall be in force and effect from and -T after its final passage, adoption and approval by the City Council and pub- lication as provided by law, and the < `§ appropriations herein provided for shall be available when transferred to their respective funds. Passed upon first and second read- `; ings this 19th day of March, 1941, . Passed, adopted and approved upon ~_ final reading this 26th day of March, N_ 19-}1. ' F. ti1'. THOI\IPSON, Mayor. . FRANK VAN DU~L1tIAN, AI,B~RT WHARTON, B. A. SCHUI~L,L,~R, ~ Councilmen. '~, Attest: J. J, SH)A, City Clerk. a - Published officially in the Telegraph- Herald newspaper, March 27th, 1941. J• J. SH1;A, 3,27,1t City Clerk Councilman Van Duelman moved the adoption of the ordinance, Seconded b~- Councilman ZVharton. Carried by the following vote: Yeas-Mayor Thompson, Councilmen Mtu-phy, Schueller, Van Duelman, Wharton. '~; ays-None. (,. (~ ~, I, (, i ;, I j', ", Communication of Joseph TI. Con- ley submitting application for appoint- ineut as a member of the Board of Revi: ~v for the coming year presented and r%ad. Councilman \Iurph}~ moved that the communication be referred to the Council Seconded b}- Councilman Schuelier. Carried by the following Grote: Peas-Mayor Thompson, Coun- cilmen Alurphy, Schueller, Van Duel- man, Wharton, Nays-None. Communication of J. ~V, Lundin sub- mitting application for appoiutnzent as one of the members of the Board of Revietiv presented and read, Council- man ~TJharton moved that the commun- ication be referred to the Council. Sec- onded b}= Councilman D~Iurph}>. Car- ried by the following t=ote: Yeas - 1'Ia}=or Thompson, Councilmen Mur- ph}=, Schueller, Van Duelnzau, ~Z%har- ton. Navs-None. Schueller, Van Lueunau, vv vva= ~~~~• Nays-None. Petition of Louis Iiuehnle, referred to the City Council by the Board of Supervisors, requesting suspension of the 19-}0 taxes on Lot 60 of VlcCraney's 2nd Addition presented and read. Coun- cilman Murphy moved that the petition ire referred to the City Solicitor for investigation and report. Seconded by Councilman Wharton. Carried by the following vote: Yeas-mayor Thomp- son, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None. Petition of ~Irs. Libby Goodman, re- ferred to the Cit}= Council by the Board of Supervisors, requesting suspension of the 19-40 taxes on the North / of L,ot 30S of Bast Dubuque Addition presented and read. Councilman 1\Zur- phy moved that the petition be re- ferred to the Cit}> Solicitor for investi- gatio~t and report. Seconded by Coun- cilman '\Vharton, Carried by the fol- lowing vote: Yeas-Mayor Thompson, Councilmen llurph}=, Schueller, Van Duelman, Wharton. Nays-None. March 22, 1941. Honorable ~-Iayor and T;iembers of the City Council, City of Dubuque, Iowa. Gentlemen: In re: Petition of Sarah Koehler for Suspension of Taxes on: Lot 15 Jackson School Sub., asking that the 19.10 tax be suspended because of infirmity, I recommend that the Petition should be approved by the City Council of the City of Dubuque, and notification of such ap- proval be given to the Board of Su- pervisors of Dubuque Countv, Iowa. Respectful)}= submitted JOHN J. KINTZINGBR, City Solicitor. Councilman Schueller moved that the recommendation of City Solicitor Iiint- zinger he approved and the petition of Sarah Itoehler requesting suspension of the 19-10 taxes on Lot 15 of Jack- son School Sub. be granted and that the Board of Supervisors be notified of the actioiz of the City Council. Sec- onded by Councilman A'Iurphy. Car- ried by the following vote: Yeas - z '_~Iayor Thompson, Councilmen llur- phy, Schueller, Van Duelman. Z'i%har- ton. Nays-None. March 22, 1911. Petition of the Leo A. Schwind Post 508, Veterans of Foreign Wars re- questing permission for the holding of a 'Buddy Poppy" sale on A-Iay 17, 19-11, presented and read. Councilman Van Duelman moved that the request be granted. Seconded by Councilman Schueller. Carried by the following rote: Yeas-~1/ayor Thompson, Coun- cilmen 1~Iurphy, Schueller, Van Duel- man, Wharton. Nays-None. Petition of the Salvation Arm}= re- questing permission for the holding of a Tag Da}= on April 26th, 19-11, present- ed and read. Councilman l~[urph}= moved that the request be granted. Seconded by Councilman Van Duel- man. Carried by the following vote: Yeas-1~Iayor Thompson, Councilmen 1'Iurphy, Schueller, Van Duelman, ~';%harton. Nays-None. Petition of 1\Iary Sheridan Bell re- questing a refund in the amount of 5196.39 paid ou special assessment taxes, penalties and interest on hots S to 16 inclusive and hots 44 and 45 of Sheridan's Addition presented and read. Councilman Wharton moved that the petition be referred to the City Solicitor for investigation and report. Seconded h}= Councilman Van Duci- man. Carried by the following vote: Yeas-Ma}=or Thompson, Councilmet Tiurphy, Schueller, Van Duelman Wharton. Nays-NTOne. Petition of Margaret B. Hogan, re- ferred to the City Council by the Board of Supervisors, requesting suspension of the 19-10 taxes on the North I/ of Cit}= I,ot 326 presented and read. Coun- cilman i\Iurphy moved that the peti- tion be referred to the City Solicitor for investigation and report. Seconded by Councilman ZVharton. Carried by the following vote: Yeas-Mayor Thompson, Councilmen Murphy, Honorable ~~Iayor and ~,"embers of the Cit}= Council, City of Dubuque, Iowa. Gentlemen: In re:: Petition of Wm. A. I3aller for Suspension of Taxes on: Lot 27 i1~IcCraney's 2nd Acld., asl~ing that the 1940 tax be suspended because of infirmity, I recommend that the Petition should be approved Special Session, PV.(arch 26th, 1941. by the City Council of the City of Dubuque, and notification of such ap- proeal be given to the Board of Su- pervisors of Dubuque County, Iowa. Respectfully submitted JOHN J. KINTZINGh,R, City Solicitor. Councilman Rlurphy moved that the recommendation of City Solicitor Kint- ziuger be approved and that the peti- tion of lVm. A. Haller requesting sus- pension of the 1940 tales on L,ot 27 of DlcCraney's 2nd Addition be grant- ed and that the Board of Supervisors be notified of the action of the City Council. Seconded by Councilman Schueller. Carried by the following vote: Yeas-1\~Iayor Thompson, Coun- cilmen Itlurphy, Schueller, Van Duel- man, Wharton. Nays-None. March 26, 19=41. In re: Claim of Matilda A. Schneider Honorable l~~Iayor and Members of the City Council, City of Dubuque, Iowa. Gentlemen: On or about 1\~Iarch 20, 19-41, Mrs. Matilda A. Schneider while traveling north on the west side of Woodward Street near Seminary Street, fell on a sidewalk that was in an icy and de- fective condition, and said condition had existed for some time theretofore. She has received medical attention and ryas laid up with injuries to the left arm for some days, the arm still being in a bandage. She had incurred medical expense to the amount of $10.00 and is willing to settle her claim if she does not have to go to any further expense in collecting same, for that amottnt. I am of the opinion that she should be paid $10.00 in full settle- ment of any and all claims she has against the City. I recommend that she be allowed $10.00 in full pa}*ment of her claim, that a warrant be issued, payable to Matilda A. Schneider in the sum of 510.00 and that the same he delivered to her llpOTl the execution and delivery of a proper release to the City of Du- bugde. Respectfull}* submitted, JOHN J. KINTZINGER, City Solicitor Cotmcilman Schueller moved that the recommendation of City Solicitor Kint- ziuger be approved and that the City Auditor be instructed to draw a war- rant in the amount of $10.00 payable to ~,Irs. 1~4atilda A. Schneider as settle- ment in full of her claim and that said warrant be delivered to her upon the execution and delivery of a proper re- lease to the Cit}* of Dubuque. Second- ed by Cotmcilman Tiurphy. Carried by the following vote: Yeas-Mayor 77 Thompson, Councilmen IVlurph}• Schueller, Van Duelman, Wharton. Nays-None. Resolution IVo. 25-41 Be It Resolved by the Cit}* Council of the City of Dubuque that the follow- ing, ltaaing complied with the provi- sions of law relating to the sale of cig- arettes within the City of Dubuque, be granted a permit to sill cigarettes and cigarette papers within said City and the :Manager is directed to issue such permit on behalf of said City. Name Address (Effective 4-1-41) Arnold Mathis, 2319 Prince Street. Joseph ~ZTalsh and Helen Walsh, 21 ZVest Seventh Street. ~. ~. MacDonald, 2922 Central Ave. '~Irs. Anna Heiar, 1900 TVashington St. Phillip I}Iiltalakis, 1694 Maple Street. Be It Further Resolved that the bonds filed with the applications be approved. Passed, adopted and approved this 26th day of Nlarch, 1941. F, W. THOMPSON, Dlayor. FRANK VAN DUEI,MAN, ALBERT WHARTON, B. A. SCHUELLER, GEO. R. MURPHY, Councilmen. Attest: J. J, SHEA, City Clerk. Councilman Van Duelman moved the adoption of the resolution. Seconded by Councilman Schueller. Carried by the following vote: Yeas-Mayor Thompson, Councilmen Murphy, Schueller, Van Duelman, Wharton. Nays-None. :~-larch 26, 1941. To the Honorable Mayor and City Council, Dubuque, Iowa. Gentlemen: At the session of the City Council held 1~Iarch 19, 1941, the petition of Edward Albert requesting that a per- manent grade be established on Simp- son Street, that permanent sidewalks he constructed on the northerly side (petition reads east side) of Simpson Street and that the sidewalk space be graded was referred to the Council to view the grounds. The Council viewed the site on March 25th and decided that the grade ordinance for Simpson Street be pre- pared for passage, that the sidewalk space be graded by the City and that the owners of Lots 46, 1 of 45, and 2 of ? of 45 of Simpsou's Sub. be notifi- ed to construct permanent sidewalks. I 78 Special Session, Nlat•ch 2bth, 1941. recomm^ud that the action of the City Cn;tn~ i1 on the matter he confirmed. lespectfully submitted, A. A. RHO~IBDRG, City Manager. Councilman Van Duelman moved that the recommendation oo`fea ttaud the alter Rhomberg be app" decision of the City Council confirmed. Seconded by Councilman Schueller. Carried by the following vote: Yeas 1layor Thompson, %ounciltnen 1\Iur- phy, Schueller. Van Duelman, ~E har- ton. Nays-None. 1`,Iarch 26, 1911. To the Honorable Nlayor and City Council, Dubuque, Io1va. Gentlemen: At the session of the City Council held :1-larch 19, 19.11, the petition of Andrew II~IcGrath et al requesting that Dodge Street from Algona Street to Gandolfo Street and Gandolfo Street to St. Joseph Street be improved by grading, curb and guttering and hard surfacing said streets was referred to the City Council to view the grounds. On ildarch 25th the Council viewed the grounds and decided that grade or- dinances be prepared for passage and that a W. P. A. project application be trade for the improvement thetlspon beuefitted property pay g sor's costs. I recommend that the de- cision of the Council be confirmed. Respectfully submitted, t1. A. RHOMB~RG, City Manager. justment for a term of five years, said term expiring March 5, 1946. Second- ed by Councilman Wharton. Carried by the following vote: Yeas-IVlayor Thompson, Councilmen 1\Iurphy, Schueller, Van Duelman, Wharton. Nays-None. There being no farther business Councilman Van Duelman moved to adjourn. Seconded by Councilman ~ v hartou, Carried by the following vote: Yeas-11layor Thompson, Coun- cilinen Murph}~, Schueller, Van Duel- man, ~ZTharton. Nays-None. J. J. SHEA, City Clerk Approved -----------------------1941. Adopted ------------------------191 Councilmen: {______________________ Attest: ----------------------------- City Clerk. Councilman Van Duelman moved that the recommendation of City 1~~Ian- ager Rhomberg be approved and the decision of the City Council confirmed. Seconded by Councilman Schueller. Carried by the following vote: Yeas Mayor Thompson, Cotutcilinen Mur- phy, Schueller, Van Duelman, `~Thar- ton. I~Tays-None. March 2G, 19-11. To the Honorable 1[ayor and City Council, Dubuque, Iowa. Gentlemen: The term of Mr. ZV. A. Smith as a member of the Board of Zoning Ad- justment expired ou March 5, 19.11. It is necessary for the Council to make appointment for a five year term to expire March 5, 1916. Respectfully submitted, A. A. RHOi\IB~RG, City ?Manager. Councilman tllurphy moved that Mr. ~~~. A. Smith be re-appointed as a member of the Board of Zoning Ad-