HomeMy WebLinkAboutOrdinances - O-99-941 - 12/13/1999 - ANNUAL TAX LEVY 1999-2000ORDINANCE NO. 0-99-941
THE ANNUAL TAX LEVY ORDINANCE
OF THE CITY OF McHENRY, McHENRY COUNTY, ILLINOIS
FOR THE FISCAL YEAR BEGINNING
MAY 1, 1999 AND ENDING APRIL 30, 2000
WHEREAS, the City Council of the City of McHenry, McHenry County, Illinois
did on the 281h day of July, 1999 pass the Annual Appropriation Ordinance for the City
for the fiscal year beginning May 1, 1999 and ending April 30, 2000, the amount of
which is ascertained to be the aggregate sum of twenty four million, four hundred sixty
one thousand, two hundred fifty dollars ($24,461,250) which said Appropriation
Ordinance was duly published in pamphlet form on July 29, 1999 and a certified copy
thereof filed with the County Clerk of McHenry County, Illinois on August 13, 1999.
NOW THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE
CITY OF McHENRY, ILLINOIS as follows:
Section 1. That there be and is hereby levied upon all taxable property within the
corporate limits of the City of McHenry, Illinois, subject to taxation for the yearl999, the
sum of two million, five hundred seventy four thousand, nine hundred eighty dollars and
zero cents ($2,574,980.00) for the following specific purposes designated in said
Appropriation Ordinance and in the respective sums as follows:
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
GENERAL OFFICE:
Mayor's Salary
$12,000
Aldermen Salaries
25,000
Treasurer's Salary
1,500
City Clerk Salary
26,000
Board of Health Salaries
500
Zoning Board Salaries
6,000
Plan Commission Salaries
6,000
Police Commission Salaries
3,000
Police Commission Contractual
10,000
Police Commission Supplies
4,000
Landmark Commission
20,000
Beautification Committee
15,000
Youth Commission
6,000
Economic Development Commission
10,000
Human Relations Commission
1,000
Legal Fees - Corporate
100,000
Legal Fees - Traffic
81,600
Legal Fees - Contract Negotiations
50,000
Legal Fees - FPA
100,000
City Administrator
80,000
Car Allowance
3,000
Assistant Admin.
60,000
Department Head Reviews
20,000
Clerical Salaries - Full Time
250,000
Clerical Part Time & Temporary
45,000
Clerical - Overtime
7,500
Sick Pay
55,000
Vacation Pay
35,000
Employee Insurance & Physicals
80,000
Clothing Allowance
3,000
Printing & Publishing
30,000
Postage & Meter
25,000
Telephone
15,000
Professional Development
25,000
Office Supplies & Small Equipment
25,000
Contractual:
Computer Maint & Supplies
10,000
Mosquito Abatement
20,000
Dial -A -Ride
48,000
Postage Meter Maintenance
2,500
N I S RA
65,000
Equipment Maintenance
4,000
Court Reporter Services
6,000
Employee Assistance Program
8,000
Mountain Tape Drive/Backup
1,000
Yard Waste Dropoff Site
18,000
McH Cty Recycling Education
3,000
Vehicle Sticker Cross Reference Program
750
General Services
4,500
Wetlands Management/Maint.
20,000
Professional Services
40,000
Internet
4,500
Fireworks
15,000
Property Damage
40,000
Materials and Supplies
25,000
Utilities
2,500
Small Equipment
3,000
LEVY AMOUNT
REV:12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
Capital Outlay -
Computer Printer
1,000
Fixed Asset Software Service
7,500
Petersen Property Purchase
40,000
Corl-ands Lease
30,000
Office Equipment
6,500
Administration Expense:
Real Estate Taxes
12,500
Title Charges
5,000
Notary Bonds
1,000
City Vehicle Registrations
1,500
Flowers/Memorials
2,000
Retirement Recognition
1,250
Miscellaneous Admin Expenses
1,500
Employee Recognition
8,000
Fund Transfers:
U B I
350,000
Debt Service
350,000
Retirement fund
45,000
Contingencies
10.000
TOTAL GENERAL OFFICE
2,449,600
POLICE DEPARTMENT:
Civilian Salaries
510,000
Civilian Overtime
7,500
Civilian Sick Pay
3,000
Civilian Holiday Pay
7,200
Sworn Salaries
1,900,000
Chiefs Salary
100,000
Holiday Pay - Police Officers
50,000
Career Ladder
13,500
Police Officers' Overtime
60,000
Officers Sick Pay
20,000
Crossing Guards/Aux. Police Salaries
7,500
Employee Insurance
400,000
Uniforms
36,000
Postage and Meter
3,500
Telephone
20,000
Professional Development
40,000
Office & Photography Supplies
18,000
Contractual,
Computer Hardware & Software Main.
12,000
Equipment Maintenance
10,000
Identi-Kit
1,200
Extech
10,000
LEADS
11,000
Simplex
1,000
Internet Access
1,000
Alert System
7,000
Special Investigation
20,000
Crime/Communications
5,000
Mid States Organized
1,000
Firearm Supplies
3,500
Gasoline and Oil
60,000
Capital Outlay:
Purchase of Vehicles (incl striping & light bars)
90,000
Refurbish One Squad Car
12,000
Pepper Spray and Holders
2,500
LEVY AMOUNT
293,966
REV:12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
Audio/Video Recording System
3,500
MDTs and Upgrades
30,000
Finger/Palm Print Equipment
3,500
Computers and Printers
5,000
Logger Recording tapes
1,250
LEADS Computer Upgrade
7,500
Computer Upgrade
40,000
Hand Held Radios and Chargers
6,000
Radio Microphones
2,500
Safety Vests
8,000
Mountain Bikes
2,500
Repair/Maintenance Vehicles
50,000
DARE Program
15.000
TOTAL POLICE DEPARTMENT
3,618,150
PUBLIC WORKS ADMINISTRATION:
Clerical Salaries
58,700
Overtime
10,000
Sick Pay
2,000
Director's Salary
85,000
Engineering Inspector
50,000
Employee Insurance
30,000
Clothing Allowance
1,000
Telephone
6,000
Professional Development
4,000
Office Supplies
4,000
Postage & Meter
2,000
Capital Outlay
Color Copier
2,000
Contractual
Office Machines Maintenance
2,000
Railroad Lease
Em
PUBLIC WORKS ADMINISTRATION
257,200
PUBLIC WORKS - STREET DIVISION
Salaries
750,000
Clerical Salaries
25,000
Summer Help
25,000
Overtime
60,000
Sick Pay
5,000
Employee Insurance
161,000
Uniforms
11,600
Telephone
3,000
Professional Development
1,500
Office Supplies
2,000
Capital Outlay.
Crystal Lake Road Planning
25,000
Ventilation Improvement's PW Garage
15,000
Lakeland Park Improvements
45,000
Lakeland Park Phase 4 Engineering
15,000
Main Street Rehab - Eng
25,000
Road Program 1999-00
750,000
Shamrock Lane Traffic Signal Engineering
40,000
Shamrock Lane Traffic Signal Construction
750,000
Green Street Bridge R&R
10,000
Dartmoor Bridge Beautify
10,000
Pressure Washer Replacement
5,000
LEVY AMOUNT
293,966
REV:12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
Plow Moldboard Replacement
4,500
West McHenry Bypass
100,000
Eng. - Main Street Drainage
25,000
Gasoline & Oil
50,000
Vehicle & Equipment Repair
90,000
Contractual:
Snow Removal
6,000
Mowing Services
30,000
Removal Underground Tanks
60,000
General
25,000
Materials & Supplies
133,700
Street Lighting
150,000
Public Improvement - Materials
85,000
Repairs to Lights and Signals
15,000
Small Tools and Equipment
Um
TOTAL PW - STREETS
3,514,300
BUILDING AND GROUNDS:
Salaries
92,900
Overtime
12,000
Employee Insurance
27,800
Materials and Supplies
36,000
Contractual,
General Services
1,500
HVAC Services
6,500
Cleaning Services
3,000
Electrical/Plumbing
5,000
Inspections
3,000
Equipment rental
1,000
Mowing Municipal Center
15,000
Clothing Allowance
1,800
Capital Outlay.
Overlay Parking Lot
73,000
Replace 48 Chairs
5,000
Telephone
2,000
Professional Development
2,500
Office Supplies
1,000
Building Improvements
60,500
Gasoline & Oil
1,500
Repair & Maintenance - Vehicles
3.500
TOTAL PW - BUILDING AND GROUNDS
354,500
COMMUNITY DEVELOPMENT DEPT.
Community Development Director's Salary
60,000
Salaries
238,500
Sick Pay
2,000
Overtime
5,000
Employee Insurance
62,700
Clothing Allowance
2,000
Printing, Forms & Publications
9,000
Postage & Meter
3,000
Telephone
6,500
Professional Development
10,000
Contractual
Inspections
23,000
Plan Reviews
1,500
Office Machine Maintenance
1,250
LEVY AMOUNT
0
REV 12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION LEVY AMOUNT
Mowing of Weeds
16,000
Miscellaneous
600
Office Supplies
4,000
Gasoline & Oil
3,000
Repair & Maintenance - Vehicles
3,500
Small Equipment & Tools
1,500
Capital Outlay:
Computer
2,500
Laptop Computer
2,500
Materials & Supplies
Z00
TOTAL COMMUNITY DEVELOPMENT
458,800 0
PARKS & RECREATION DEPARTMENT:
Park Director's Salary
67,500
Salaries
465,200
Sick Pay
3,500
Summer Help
120,000
Overtime
15,000
Employee Insurance
80,200
Clothing Allowance
9,200
Telephone
8,000
Professional Development
8,500
Office Supplies
4,000
Contractual Services
Recreation Programs
40,000
Field Trips
35,000
Computer/Copier
8,000
Mechanical/Plumbing Services
11,000
Other Contractual Services
1,000
Mowing
90,000
Portable Toilets
7,200
Forestry Supplies
19,000
Park Improvements
25,000
Property Damage
11,000
Materials & Supplies
94,100
Utilities
27,500
Gasoline & Oil
7,500
Repair & Maintenance - Vehicles
15,000
Repair & Maintenance - Equipment
0
Printing & Publishing
20,800
Postage & Meter
11,000
Special Events
24,600
Capital Outlay:
Park Maintenance
117,800
Park Facilities
25,000
Office Equipment
10.600
TOTAL PARKS AND RECREATION
1,382,200 0
Miscellaneous General Fund
924,507
TOTAL GENERAL FUND
12,034,750 1,218,473
PUBLIC BENEFIT FUND:
Project Assessment - McHenry Shores 55.000
TOTAL PUBLIC BENEFIT FUND 55,000 57,515
BAND FUND:
Contractual
10,500
REV.12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
LEVY AMOUNT
Supplies and Materials
2.000
TOTAL BAND FUND
12,500
12,781
CIVIL DEFENSE FUND:
Repairs & Maintenance - Equipment
3,000
Capital Outlay: Siren Installation
25.000
TOTAL CIVIL DEFENSE FUND
28,000
5,113
AUDIT FUND:
Audit Expense
25.000
TOTAL AUDIT FUND
25,000
16,190
INSURANCE FUND:
Insurance Premiums - MCMRMA
325,000
Insurance Premiums - Other
3.000
TOTAL INSURANCE FUND
328,000
328,049
EMPLOYEE INSURANCE FUND:
HealthNision Insurance Premium
145,200
Dental Insurance Premium
5,000
Claims
700,000
Administration Fees
15,000
TOTAL EMPLOYEE INSURANCE FUND
865,200
0
ANNEXATION FUND:
Land Acquisition
250,000
TOTAL ANNEXATION FUND
250,000
0
RETIREMENT FUND:
Social Security/Medicare
465,000
Illinois Municipal Retirement Fund
360,000
TOTAL RETIREMENT FUND
825,000
613,922
MOTOR FUEL TAX FUND:
Road Salt
75,000
Street Improvements
1,650,000
TOTAL MOTOR FUEL TAX FUND
1,725,000
0
POLICE PENSION FUND:
Pension Payments
250,000
Disability Payments
250,000
Contractual Services
20,000
State Filing Fee
500
Investment Management Fees
30,000
Actuarial Analysis
25.000
TOTAL POLICE PENSION FUND
575,500
322,937
DEVELOPER DONATION FUND:
School Donations
500,000
Library Donations
50,000
Fire District Donations
50,000
TOTAL DEVELOPER DONATION FUND
600,000
0
PARK DONATIONS FUND:
Park Improvements
400,000
TOTAL PARK DONATIONS FUND
400,000
0
RE:V.12/15/99
1999-2000 APPROPRI/�TION ORDINANCE
1999-2000 FY
APPROPRIATION
WATER DEPARTMENT:
Salaries
318,900
Collector's Salary (1/2)
15,000
Sick Pay
2,500
Overtime
25,000
Retirement Contributions
13,500
Employee's Insurance
62,600
Clothing Allowance
3,100
Postage & Meter
9,100
Telephone
6,500
Professional Development
2,000
Office Supplies
3,000
Materials & Supplies
110,000
Utilities
120,000
Gasoline & Oil
10,000
Contractual -
Water Testing & Readings
20,400
Electrical & Control Maintenance
5,500
Mowing
5,000
Collection Services
600
Printing - Consumer Confidence Report
2,500
Vehicle Repair & Maintenance
7,500
Small Tools & Equipment
5,000
Capital Outlay:
Plant 1 - Design
12,000
Elevated Storage Tank - Design
100,000
Handheld Radios
3,500
Replacement Floor Scales
7,500
Media Replacement
7,500
Post Chlorination Equipment
5,000
Computer (CCR)
5,000
Water/Sewer Atlas
30,000
Lift Gate Van
35,000
Water System Improvements
35,000
East Side Water Supply
100,000
Transfer - Utility Bond and Interest
74,300
Transfer - Retirement Fund
61,500
Contingencies
25,000
TOTAL WATER DEPARTMENT
1,249,000
SEWER DEPARTMENT:
Salaries
425,600
Collector's Salary (1/2)
15,000
Sick Pay
2,500
Overtime
18,000
Employee Insurance
77,400
Boots, Clothing Rentals & Office Clothing Allowance
5,300
Postage & Meter
7,000
Telephone
7,000
Professional Development
2,500
Office Supplies
1,500
Materials & Supplies
90,000
Utilities
275,000
Gasoline & Oil
12,500
Repair & Maintenance - Vehicles
9,000
Repair & Maintenance - Equipment
35,000
Contractual,
Industrial Waste Testing
5,000
LEVY AMOUNT
REV.12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION
Meter Reading & Testing
7,000
Parts Cleaner Service
2,000
Mowing
3,500
Collection Services
1,000
Miscellaneous
6,000
Lift Station Repair and Maintenance
6,000
Capital Outlay:
Replacement pump controls (CWWTP)
15,000
Nitrification CWWfP - Land Acquisition
120,000
Alternative Fuel Source for Generators
120,000
Replace truck
105,000
Risk Management Compliance
15,000
Replace Portable Generator
27,500
Overflow Flooding SWWTP
25,000
Sludge Disposal
120,000
Transfer - Utility Bond and Interest
549,200
Transfer - Retirement Fund
77,400
Transfer - Country Club Estates
38,500
Contingencies
25,000
TOTAL SEWER DEPARTMENT
2,251,400
TOTAL WATER/SEWER FUND
3,500,400
BOND AND INTEREST FUND
Transfer - Water/Sewer Fund
60,000
Miscellaneous Fees
7,500
Principal - 1993 W/S Revenue Bonds
500,000
Interest - 1993 W/S Revenue Bonds
153,000
Principal - 1997A GO Bonds
165,000
Interest - 1997A GO Bonds
182,900
Principal - 1997B Alternate GO Bonds
55,000
Interest - 1997B Alternate GO Bonds
82,800
TOTAL BOND AND INTEREST FUND
1,206,200
CAPITAL PROJECTS FUND:
Adams Well - Construction and Engineering Costs 125,000
Storm Drainage - Engineering and Other Associated Cost 75,000
TOTAL CAPITAL PROJECTS FUND 200,000
BOND RESERVE FUND
Interest Transfer to Water/Sewer 45,000
TOTAL BOND RESERVE FUND 45,000
DEPRECIATION RESERVE FUND
Interest Transfer to Water/Sewer 25,000
TOTAL DEPRECIATION RESERVE FUND 25,000
CAPITAL DEVELOPMENT FUND
Capital Outlay:
Land Acquisition 750,000
Infrastructure Improvements 600,000
TOTAL CAPITAL DEVELOPMENT FUND 1,350,000
DEBT SERVICE
Principal 220,000
Interest 128,700
TOTAL DEBT SERVICE 348,700
LEVY AMOUNT
REV 12/15/99
1999-2000 APPROPRIATION ORDINANCE
1999-2000 FY
APPROPRIATION LEVY AMOUNT
1994 SPECIAL ASSESSMENT PROJECT FUND:
(Country Club Estates)
Principal 66,900
Interest 15.300
TOTAL COUNTRY CLUB ESTATES SA FUND 82,200 0
PROJECT ASSESSMENT (MCHENRY SHORES)
Transfer Principal - Bond and Interest Fund 138,600
Transfer Interest - Bond and Interest Fund 42.800
TOTAL MCHENRY SHORES 181,400
TOTAL APPROPRIATION FOR ALL FUNDS: $24,662,850 $2,574,980
Appropriation Summary
For the Fiscal Year Ending April 30, 2000
General Fund
$12,034,750
$1,218,473
Band Fund
12,500
12,781
Civil Defense Fund
28,000
5,113
Audit Fund
25,000
16,190
Insurance Fund
328,000
328,049
Retirement Fund
825,000
613,922
Public Benefit Fund
55,000
57,515
Annexation Fund
250,000
0
Employee Insurance
865,200
0
Debt Service Fund
348,700
0
Motor Fuel Tax Fund
1,725,000
0
Police Pension Fund
575,500
322,937
Developer Donation Fund
600,000
0
Park Donation Fund
400,000
0
Water/Sewer Fund
3,500,400
0
Capital Projects Fund
200,000
0
Capital Development Fund
1,350,000
0
Bond and Interest Fund
1,206,200
0
Bond Reserve Fund
45,000
0
Depreciation Reserve Fund
25,000
0
Country Club Estates S.A.
82,200
0
Project Assessment (McHenry Shores)
181.400
Q
Total Appropriations
$24,662,850
$2,574,980
REV:12/15/99
Section 2. The City Clerk of the City of McHenry, Illinois, is hereby ordered and
directed to file with the County Clerk of McHenry County, Illinois, on or before the time
required by law, a properly certified copy of this ordinance.
Section 3. This Ordinance shall take effect from and after its passage, approval
and publication according to law.
Section 4. This Ordinance shall be published in pamphlet form by and under the
authority of the corporate authorities of the City of McHenry, Illinois.
PASSED this 13TH
day of December, 1999.
AYES: Bolger, Glab, McClatchey, Murgatroyd.
NAYS: None,
ABSENT: Baird.
NOT VOTING:
None.
None.
ABSTAINED:
APPROVED this 13th day of December, 1999.
A�l ayor)
ATTEST:
(City Clerk)