~~t~
<br />STREET DEPARTMENT
<br />Superintendent. Salary .........-$
<br />Mechanic .--•---•-•--•------------------•-••••-
<br />11 Workmen at ..........................
<br />Street Maintenance& Repairs
<br />Equipment. Repairs -and
<br />Renewals ................................ 2,000.00
<br />Supplies and Expense .............. 100.00 '
<br />Gasoline and Oil ........................ 2,000.00
<br />Insurance. Buildings and
<br />Eauipment ..................•----....... 846.83
<br />Truck ............................................ 1,200.00
<br />Street Sweeper .......................... 4,000.00
<br /> $ 32,247.27
<br />Total Estimated Budget outside
<br />six per cent limitation .... ...........:....... .$197,090.27
<br />Estimated Revenues for six per cent account:
<br />County, State Road Fund._.. 18,500.00
<br />School Dist. No. 4-
<br />Playgrounds ........................ 1,000.00
<br />Street. Department ......._....... 1,000.00 20,500.00
<br />Balance .......................•---.............................. _$176,590.27
<br />PARKING METER ACCOUNT
<br />Collector & Serviceman....$ 135.00 $ 1,620.00
<br />Traffic Checker .................. 112.50 1,350.00.
<br />Traffic Checker .................. 112.50 1,350.00
<br />Treasurex•, 40% of time .... 74.17 890.04
<br />Traffic Line Painter .._...._. 106.25 1,275.00
<br />Supplies and Expense ...... 250.00
<br />Parts .-_....--•• ............................... 200.00
<br />Equipment .......................... 160.00
<br />Insurance, Painter's Car 19.89
<br />Payments to Parking
<br />Meter Companies .-........ 7,871.04
<br />Total ................................................. ...$ 14.985.97
<br />Estimated Revenue ..................... ...$ 14,985.97
<br />General Fund Tax Levv ............................. ...........................$ 65,773.25
<br />Taxes outside 6 per cent limitation ................................ 176,590.27
<br />Total Tax Levy ......-.--.• ..................... ...........................$242,363.52
<br />Proposed Airport Levy, 3 Mills ................. ...$ 39,000.00
<br />Proposed Swimming Pool Levy, 1 Mill . .._ 13,000.00
<br />$ 2,240.04
<br />1,959.96
<br />15,400.44
<br />2,500.00
<br />$ 52,000.00 52,000.00
<br />Grand Total Tax Levy ........................................$294,363.52
<br />STATEMENT OF BONDS AND WARRANTS
<br />General Bonds other than carried by Water and Fight Department
<br /> Due Amount
<br />Original Amount Date Outstanding
<br />$ 93,340.45 Water Bonds ..........................................1948 $ 93,340.45
<br />183,500.00 Trunk Sewer ................................... .......1942 134',500.00
<br />6,000.00 Trunk Sewer ........................................1944 6,000.00
<br />35,000.00 Paving Intersection ............................1945 33,000.00
<br />12,000.00 East 9th Street Bridge ........................1945 4,000.00
<br />50,000.00 Trunk Sewer No. 1 ................................1945 43,000.00
<br />30,000:00 Paving Intersection ....................... .......1945 28,000.00
<br />20,000.00 Paving Intersection, No. 2 ......... .......1945 20,000.00
<br />25,000.00 Fire Equipment, No. 2 ........................1945 22,000,00
<br />175,000.00 Park and Terminal ......................... .......1955 92,000.00
<br />175,000.00 Warrant Refunding ..................... .......1941.46 73,000.00
<br />90,000.00 Trunk Sewer ................................... .......1957 57,000.00
<br />5,000.00 Comfort Station ....................................1947 5,000.00
<br />50,000.00 Sewer No. 2 ..................................... .......1948 20,000.00
<br />21,500.00 Sewer ................................................. .......1962 21,500.00
<br /> $658,340.45
<br />Sinking Funds, Cash and Securities, for
<br />General Bonds ................................................. .......................$191,946.32
<br />BANCROFT IMPROVEMENT BONDS
<br />
<br />Original Amount Amount
<br />Outstanding
<br />$154,500.00-Series A ..........._ ...................................................$ 90,500.00
<br />133.000.00-Series B ...._ .......................................................... 77,000:00
<br />137.000.00-Series C ..._ :..::............. ... 77,000.00
<br />55.479.16-Series D ......._ .:.................. 31,479.16
<br />.190,500.00-Series F ..............................._......:.............»......... 114;500A0
<br />113,000.00-Series G ........................::...................................... 58,000.00
<br />130.500.00-Series H ................................................................ 74,500.00
<br />1,135.00-Series A. K ........................................................... 500.00
<br />Sinking Fund, Cash and Securities, for
<br />Improvement Bonds ...........................................................
<br />Warrants Outstanding, but not presented for payment,
<br />OCt, 1, 1940:
<br />$523,479.16
<br />88,473.86
<br />General I+'und ........................................................................$ 16,511.63
<br />General Bond Interest Fund ..................................._....... 2,172.50
<br />Improvement Bond Interest Funds .....................:...... 3,230.63
<br />Aviation Field Levv Fund ................................................ 230.67
<br />Municipal Plavgrounds .................................................... 328.09
<br />Improvement Bond Sinking Fund ................................ 1,301.10
<br />Lien Rent Fund ...............................:........._....................... 62.36
<br />Sewage Disposal .................................................................. 401.95
<br />Parking Meter Fund ....... ..................__........_...................... 1,254.05
<br />Eng, and Bldg. Insp. Revolving Fund ........................ 53.91
<br />" Street Department Revolving Fund ............................ 443.50
<br />Sidewalk Revolving Fund ................................................ 392.64
<br />Special Road and Street Fund ........................................ 208.81
<br />. Dog License Fund .............................................................. 217.70
<br />Special Park Fund .............................................................. 63.16
<br />$ 26,872.70
<br />Cash in Funds to Pay Above Warrants ....................$ 26,872.70
<br />NOTICE IS HEREBY GIVEN TO all the taxpayers o' the City
<br />of Eugene that a meeting will be held by the levying board of
<br />said City on November 8, 1940 at 7:30 o'clock p. m. of said day in
<br />the Council Chambers in the City Ball in the City of Eugene,
<br />Oregon, at which time and place all, taxpayers will be heard, and
<br />such estimates may be discussed with the levying board.
<br />The Budget Committee of the City of Eug'ene,.Oregon, by
<br />C. P. TILLMAN
<br />GEORGE WILHELM
<br />STANLEY ;1TEVENSON
<br />B. B. BRUNDAGE
<br />FRED LAMB
<br />ED TURNBULL
<br />FAY BENNETT
<br />LARRY WATSON
<br />A. A. REID
<br />SAM C. BOND
<br />FRED C. CARLSON
<br />A. C. FARRINGTON
<br />P. J. HANNS
<br />LOUIS KOPPE
<br />E. A. BARETTE
<br />IRA O. STEWART
<br />STATE U),' t, _, ... _•_~; i
<br />ss,
<br />County of Lane )
<br />I, C. M. Bryan, City Recorder of the City of Eugene, Oregon.
<br />hereby certify that the foregoing estimates of expenditures and
<br />receipts for the near 1941~are a true and correct copy of the
<br />estimates prepared by the Budget Committee of said city, now
<br />on file in my office. There is also on file in my office all the esti-
<br />mates of the different departments of said city. from which the
<br />foregoing estimates were arrived at, all of which are;~pen to in-
<br />spection to all taxpayers, during the business hours of each day.
<br />The. foregoing is a correct statement and classifieummary
<br />of the indebtedness of said city of. Eugene.
<br />Dated at Eugene, Oregon this 16th day of October, 1940.
<br />C. M. BRYAN, Citv Recorder.
<br />No. 3367 2-10-27-40
<br />Section 2. That said levy, constituting the General Fund levy in the sum
<br />of X65,773.25 and the levy foP special purposes outside of the six per cent
<br />limitation, in the sum of228,590.27 and aggregating a total tax levy of 294,363.52
<br />be made against all taxable property within the City of Eugene, for the purpose of
<br />z~i~a>~zx~~i~x~~~ deriving the funds necessary to carry on the different departments,
<br />and to meet the expenses of the City Government of said City for the fiscal year of
<br />1941, and to create and provide sinking funds and interest funds for the various
<br />outstanding bonds and obligations of the City. That the Recorder of said City is
<br />hereby directed to certify the said levies as herein made and set forth, to the
<br />County Officers of bane County, Oregon, as provided by law.
<br />Section 3. That the annual levy of taxes for the pity of Eugene, for the
<br />fiscal year 1941 is required by law to be made by the Common Council of said City
<br />and certified to the county officers of Lane County, Oregon, before the time of
<br />completing the tax rolls, so that the same may be extended and the taxes thereon
<br />collected at the same time that other taxes are collected, and that said levy must
<br />. be made and completed and in the hands of said County Officers before November 25,
<br />1940, and it is necessary to the peace, health and safety of the City of Eugene,
<br />that the said levy be made and certified to the said County Officials and that the
<br />same be placed in the hands of the Couflty Assessor lvithout delay, and therefore an
<br />emergency is hereby declared to exist, and this ordinance shall take effect and be
<br />in full force from and after its passage by the Common Council of the City of
<br />Eugene, and its approval by the IVlayor of said City.
<br />PASSED BY THE C OII~NON COUNCIL APPROVED BY THE MAYOF. THIS
<br />this 13th day of November, 1940 15th day of November, 1940
<br />/s/ C. M. Bryan /s/ Elisha Large
<br />City Recorder Nayor
<br />186.67
<br />163.33
<br />116.67
<br />
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