HomeMy WebLinkAboutOrdinances - ORD-12-1609 - 12/03/2012 - ANNUAL TAX LEVY ORDINANCE 5/1/12 - 4/30/13Office of the City Administrator
Derik Morefield, City Administrator
McHenry Municipal Center
333 Green Street
McHenry, Illinois 60050
Phone: (815) 363-2100
Fax: (815) 363-2119
www.ci.mchenry.il.us
Ordinance No. ORD-12-1609
The Annual Tax Levy Ordinance
of the City of McHenry, McHenry County, Illinois, for the Fiscal Year Beginning
May 1, 2012, and Ending April 30, 2013.
WHEREAS, the City Council of the City of McHenry, McHenry County, Illinois, did on the 16 th
day of July, 2012 pass the Annual Appropriation Ordinance No. ORD-12-1592 for the city for the
fiscal year beginning May 1, 2012 and ending April 30, 2013, the amount of which is ascertained to
be the aggregate sum of Thirty -Seven Million, Three Hundred Seventy -Six Thousand, Six Hundred
Twenty dollars ($37,376,620), which said Annual Appropriation Ordinance was duly published in
pamphlet form on July 3, 2012, and a certified copy thereof filed with the County Clerk of McHenry
County, Illinois on August 2, 2012.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF MCHENRY,
MCHENRY COUNTY, ILLINOIS, as follows:
SECTION 1. That there be and is herby levied upon all taxable property within the corporate
limits of the City of McHenry, Illinois, subject to taxation for the year 2012, the sum of $4,761,610
(Four Million, Seven Hundred Sixty -One Thousand, Six Hundred Ten Dollars and no cents) for the
following specific purpose designated in said Annual Appropriation Ordinance, and in the respective
sums as follows:
2012/13
2012113 Property Tax
Budget
Appropriation LevyAmount
GENERALIFUND
Administration (100.01)
4010
Salaries - Regular
620,533
$ 620�533
4050
Overtime - Regular
4,000
4,000
4110
Salaries - Seasonal
0
0
4190
Salary Adjustments
12,308
12,308
4220
Board & Commission Expense
3,240
3,240
4310
Health/Life Insurance
128,638
128,638
4320
Dental Insurance
4,534
4,534
4330
Life Insurance
552
552
4340
Vision Insurance
134
134
4410
FICA/Medicare
48,966
48,966
4420
IMRF Retirement
78,395
78,395
4610
Uniform Allowance
1,150
1,150
5110
Contractual Services
203.900
203,900
6230
LegalFees
179.600
179,600
5310
Postage and Meter
2,000
2,000
6320
Telephone
13.000
13,000
5330
Printing and Publishing
3,000
3,000
5370
Repair and Maintenance
2,250
2,250
5410
Dues
15,800
15,800
5420
Travel Expenses
1,800
1,800
5430
Training
1,900
1,900
5440
Tuition Reimbursements
0
0
5450
Publications
400
400
5510
Utilities
3,500
3,600
6110
Materials and Supplies
57.000
57,000
6210
Office Supplies
1,000
1,000
6250
Gasoline & Fuel
3,000
3,000
6270
Small Equipment
5,000
5,000
6940
Administrative Expenses
21,300
21,300
8200
Building lmprovments
0
0
8300
Capital Equipment
0
0
8700
Capital -Furniture
0
0
9920
Purchase Service - Risk Management
87.576
87,676
9922
Purchase Service - Information Technology
23,225
23,225
9942
Transfer - Capital Improvement Fund
0
0
Total Administration Office
11,527,7011
1.627,�01
Elected Off Icials (1100.02)
4010
Salaries - Regular
32,000
32,000
4050
Overtime - Regular
500
500
4190
Salary Adjustments
650
650
4210
Salaries - Elected Officials
54,050
64,050
43110
HealthfLife Insurance
7,232
7,232
4320
Dental Insurance
560
560
4330
Life Insurance
69
69
4340
Vision Insurance
0
0
4410
FICA/Medicare
6,6711
6,671
4420
IMRF Retirement
4,081
4,081
4510
Uniform Allowance
-
0
5110
Contractual Services
250
250
6310
Postage and Meter
6.300
6,300
5320
Telephone
2,500
2,500
5330
Printing and Publishing
8,000
8,000
2012113
2012113 Property Tax
Budget
Appropriation Levy Amount
5410
Dues
800
800
5420
Travel Expenses
250
250
5430
Training
2,575
2.575
5460
Publications
100
100
6110
Materials and Supplies
500
500
6210
office Supplies
1,400
1,400
6910
Employee Recognition
0
0
6940
Administrative Expenses
19,300
19.300
9922
Purchase Service - Information Technology
13,377
13,377
Total Elected Off Iclals
161,165
161,165
Community Development Department (100-03)
4010
Salaries - Regular
328,626
328,626
4050
Overtime - Regular
1,500
1,600
4190
Salary Adjustments
4,952
4,952
4310
Health/Life Insurance
83,059
83.059
4320
Dental Insurance
3,572
3,572
4330
Life Insurance
449
449
4340
Vision Insurance
145
146
4410
FICAIMedicare
25,633
25.633
4420
IMRF Retirement
41,248
41,248
4510
Uniform Allowance
0
0
5110
contractual Services
31,600
31,600
5310
Postage and Meter
2,000
2,000
6320
Telephone
3,600
3,500
5330
Printing and Publishing
1,000
1,000
5370
Repair and Maintenance - Vehicles
1,600
1,600
5410
Dues
750
750
5420
Travel Expenses
250
250
5430
Training
1,500
1,600
5440
Tuition Reimbursements
0
0
5450
Publications
500
600
6110
Materials and Supplies
300
300
6210
Office Supplies
2,800
2,800
6250
Fuel and Lubricants
8,000
8,000
6270
Small Tools and Equipment
1,200
1,200
7110
Cap. Lease Principal Payments
1,945
1,945
8200
Capital - Building Improvements
0
0
8400
Capital -Vehicles
0
0
9920
Purchase Service - Risk Management
31,309
31,309
9922
Purchase Service - Information Technology
33,045
33,045
Total Community Development Department
610,483
6110,483
Finance Department (100.04)
4010
Salaries - Regular
229,601
229,601
4190
Salary Adjustments
6,809
6,809
4310
Health/Life Insurance
44,722
44,722
4320
Dental Insurance
1,571
1,571
4330
Life Insurance
317
317
4340
Vision Insurance
154
164
4410
FICA[Medicare
17,916
17,916
4420
IMRF Retirement
28,829
28,829
4510
Uniform Allowance
0
0
5110
Contractual Services
2,475
2,475
6310
Postage and Meter
24,700
24,700
5320
Telephone
900
900
2012113
2012/13 Property Tax
Budget
Appropriation Levy Amount
5330
Printing and Publishing
19,685
19,685
5410
Dues
300
300
5420
Travel Expenses
-
0
5430
Training
500
500
5450
Publications
-
0
6110
Materials and Supplies
17.500
17,500
6210
Office Supplies
6,600
6,600
6270
Small Equipment
2,000
2,000
6945
Development Expense
105,000
105,000
9904
Debt Service Transfer
684,531
684,531
9907
SSA Transfer
16,768
16,768
9944
Transfer to Band Fund
15,000
15,000
9945
Civil Defense Fund Transfer
8,600
8,600
9946
Capital Equipment Fund Transfer
760,000
750,000
9920
Purchase Service - Risk Management
24,350
24,350
9922
Purchase Service - Information Technology
39,205
39,205
Total Finance Department
2,048,033
2,048,033
police Commission (100.21)
4220
Salaries - Boards and Commissions
1,350
1,350
44110
Employee Contribution - Soc. Sec.
103
103
5110
Contractual Services
4,625
4,625
6330
Printing and Publishing
0
0
5410
Dues
375
375
5420
Travel Expenses
0
0
5430
Training
0
0
5450
Publications
0
0
Total Police Commission
6,453
6,453
Police Department ('100.22)
4010
Salaries - Regular
706.182
706,182
4020
Salaries - Sworn
3,637,013
3,537,013
4030
Salaries - Part Time
83,110
83,110
4050
Overtime - Regular
30,000
30,000
4055
Overtime - Sworn
235,000
235,000
4080
Career Ladder
14.000
14,000
4190
Salary Adjustments
87,800
87,800
4310
Health/Life Insurance
831,948
831,946
4320
Dental Insurance
33,933
33.933
4330
Life Insurance
4.114
4,114
4340
Insurance Premiums -Vision
2,691
2,691
4410
FICAIMedicare
359,023
359,023
4420
IMRF Retirement
102,697
102,697
4430
Employer Contribution - Police Pension
1,209,000
1,209,000
4610
Employee Uniforms
32,600
32,600
5110
Contractual Services
78,240
78,240
5310
Postage and Meter
2,300
2,300
5320
Telephone
35,050
35,050
5370
Repair and Maintenance - Vehicles
52,000
62,000
5410
Dues
1,500
1,500
6420
Travel Expense
7,950
7,950
5430
Training Expense
18,730
18,730
5440
Tuition Reimbursement
5,500
5,500
5450
Publications
3,050
3,050
5510
Utilities
3,500
3,500
6110
Materials and Supplies
19J50
19.150
2012113
201121113 PropertyTax
B udget
Appropriation Levy Amount
6210
Office Supplies
12,850
12,850
6250
Fuel and Lubricants
160,000
160,000
6270
Small Equipment
6,490
6.490
6310
Canine Unit
5,000
5,000
8300
Capital - Equipment
6,000
6,000
8400
Capital - Vehicles
0
0
8700
Capital - Furniture
0
0
9920
Purchase Service - Risk Management
336,343
336,343
9922
Purchase Service - Information Technology
197,710
197,710
Total Police Department
8,220,474
8,220,474
Public Works - Administration (100.30)
4010
Salaries - Regular
140,683
140,683
4050
Overtime - Regular
-
0
4190
Salary Adjustment
2,806
2,806
4310
Health/Life Insurance
34,423
34,423
4320
Dental Insurance
1,393
1,393
4330
Life Insurance
138
138
4340
Vision Insurance
67
67
4410
FICAIMedicare
10.977
10.977
4420
IMRF Retirement
17.663
17,663
4510
Uniform Allowance
0
0
5110
Contractual Services
5,000
5,000
5310
Postage and Meter
600
600
5320
Telephone
3,800
3,800
5410
Dues
380
380
5420
Travel Expense
500
500
5430
Training
1,000
1,000
6210
Office Supplies
1,000
1,000
6270
Small Tools & Equipment
1,600
1,600
9920
Purchase Service - Risk Management
11,824
11,824
9922
Purchase Service - Information Technology
12,633
12,633
Total Public Works - Administration
246,487
246,487
Public Works - Streets Division (100.33)
4010
Salaries - Regular
1,116,090
1,116,090
4050
Overtime - Regular
19,000
19,000
4060
Overtime - Snow Removal
80.000
80,000
4110
Salaries -Seasonal
-
0
4190
Salary Adjustment
24,237
24,237
4310
Health/Life Insurance
333,637
333,637
4320
Dental Insurance
2,226
2,226
4330
Life Insurance
1,242
1,242
4340
Vision Insurance
-
0
4410
FICA/Medicare
94,809
94,809
4420
IMRF Retirement
152,561
152,561
4510
Uniforms
1,G00
1,900
5110
Contractual Services
87,090
87,090
6320
Telephone
11,360
11,350
5370
Repair and Maintenance - Vehicles
90,000
90,000
5430
Training
1,000
1,000
5520
Street Lighting
290,000
290,000
6110
Materials and Supplies
220.000
220.000
6210
Office Supplies
1,500
1,500
6250
Fuel and Lubricants -Vehicles
118,500
1118�500
6270
Small Tools and Equipment
1,000
1,000
2012113
Budget
2012/13 Property Tax
Appropriation Levy Amount
6290
Safety Equipment and Supplies
1,500
1,500
8300
Capital - Equipment
0
0
8400
Capital - Vehicles
0
0
9920
Purchase Service - Risk Management
129,737
129,737
9922
Purchase Service - Information Technology
8,559
8.559
Total Public Works - Streets Division
2,785,938
2,785,938
Parks and Recreation Department (100.41)
4010
Salaries - Regular
600,219
600,219
4030
Salaries - Part Time
33,686
33,686
4050
Overtime - Regular
14.000
14,000
4110
Salaries -Seasonal
261,700
261,700
4190
Salary Adjustment
2,778
2,778
4310
Health/Life Insurance
142.147
142,147
4320
Dental Insurance
5.051
5,051
4330
Life Insurance
828
828
4340
Vision Insurance
364
364
4410
FICAtMedicare
69,797
69.797
4420
IMRF Retirement
80,099
80,099
4510
Uniform Allowance
1,350
1,350
5110
Contractual Services
194,1150
194,150
5310
Postage and Meter
7,050
7,050
5320
Telephone
16,450
15,450
5330
Printing and Publishing
6,000
6,000
5370
Repair and Maintenance - Vehicles
12,000
12.000
5410
Dues
144,382
144,382
5420
Travel Expense
250
250
5430
Training
2,650
2,650
5440
Tuition Reimbursement
0
0
5450
Publications
Sao
500
5510
Utilities
35,900
35,900
6110
Materials and Supplies
118,000
118,000
62110
Office Supplies
3,000
3,000
6250
Fuel and Lubricants -Vehicles
24,000
24,000
6270
Small Tools & Equipments
2,600
2,500
6920
Special Events
26,600
26,600
6950
Forestry Expenses
34,600
34,600
8300
Capital - Equipment
0
0
8400
Capital - Vehicles
0
0
8800
Capital - Park Improvements
45,000
45,000
9920
Purchase Service - Risk Management
102,644
102,644
9922
Purchase Service - Information Technology
36,311
36,311
Total Parks and Recreation Department
2,023.006
2,023,006
Total General Fund
17,629,740
17,629,740_
Total Police Protection (Police Protection Levy)
6.549,754
Total Soc. Sec./Med Fund (FICA Levy)
633,792
Total Retirement Fund (IMRF Levy)
505,573
Total Risk Management Fund (Liab. Ins. Levy)
699,433
Total General Fund (General Corporate Levy)
9.241,188.
547,959
563,746
399,193
499,995
1,522,220
Total General Fund 17,629,740 3,533,113
2012/13
Budget
SPECIAL REVENUE FUNDS
Tourism Fund (200)
5110
Contractual
20,000
6940
Administrative Expenses
0
9901
Transfer General Fund
120,000
Total Tourism Fund
140,000
Pageant Fund (206)
5110
Contractual
0
6110
Materials and Supplies
0
6940
Administrative Expense
4,000
Total Pageant Fund
4,000
Band Fund (210)
6110
Contractual
14,500
6110
Materials and Supplies
500
Total Band Fund
15,000
Civil Defense Fund (220)
5375
Repairs and Maintenance - Equipment
2,000
6110
Materials and Supplies
0
Total Civil Defense Fund
2,000
2012/13 Property Tax
Appropriation Levy Amount
20,000
0
120,000
140,000
0
0
4,000
4,000
14,500
500
15,000
2,000
0
2.060
Audit Fund (230)
5110
Contractual Services
33,660
33,650
Total Audit Fund
33,650
33,650 26,426
Annexation Fund (260)
6970
Distribution Operating Fees
10.000
10,000
8100
Capital - Land Acquisition
0
- 0
9904
Transfer - Debt Service Fund
35,000
36.000
Total Annexation Fund
45,000
45,000
Motor Fuel Tax Fund (270)
6110
Materials and Supplies
165,000
165,000
8600
Capital - Street Improvements
0
0
9904
Transfer - Debt Service
398,112
398,112
9942
Transfer - Capital Improvements Fund
571,000
671,000
Total Motor Fuel Tax Fund
1,134,112
1,134,112
Developer Donation Fund (280)
6970
Distributions - Schools
33,000
33,000
6980
Distributions - Library District
4,770
4,770
6990
Distributions - Fire Protection District
4,770
4,770
Total Developer Donation Fund
42,540
42,540
Developer Donation Fund - Parks (280.41)
6940
Administrative Expenses
14,200
14,200
8800
Park Improvements
100.000
100,000
9902
Transfer - Ree Center Construction Fund
0
0
9942
Transfer - Capital Improvements
0
- 0
Total Developer Donation Fund - Parks
114,200
114,200
Tax Increment Fund (290)
2012/13
2012/13 Property Tax
Budget
Appropriation Levy Amount
5110
Contractual Services
0
0
6940
Administrative Expense
75,000
76.000
8900
Public Improvements
20,000
20.000
9901
Transfer - General Fund
2,500
2,500
9904
Transfer - Debt Service Fund
237,840
237,840
Total Tax Increment Fund
335,340
335,340
DEBT SERVICE FUNDS
Debt Service Fund (300)
7100
Bond Principal Payments
1,040,000
11,040,000
7200
Bond Interest Payments
521,048
521,048
7300
Paying Agent Fees
3,000
3,000
Total Debt Service Fund
1,564,048
1,564,048
CAPITAL PROJECTS FUNDS
Special Service Area #11A (420)
9904
Transfer - Debt Service
0
0
Total Special Service Area #11A
0
0
Special Service Area #4A (424)
9936
Transfer - Utility Improvements Fund
16,847
16,847
Total Special Service Area NIA
16.847
16,847
Capital Improvements Fund (440)
8100
Capital - Land Acquisition
0
0
8200
Capital - Building Improvements
830,000
830,000
8600
Capital - Street Improvements
735,000
735,000
8800
Capital - Park Improvements
0
0
8900
Capital - Other Improvements
0
0
Total Capital Improvements Fund
1.565,000
1,565,000
Capital Equipments Fund (450)
8400
Capital - Vehicles
571,075
571,075
Total Capital Improvements Fund
571,075
571,075
ENTERPRISE FUNDS
WATER/SEWER FUND
Public Works - Water Division (510.31)
4010
Salaries - Regular
620,548
620,548
4050
Overtime - Regular
34,000
34,000
41110
Salaries -Seasonal
11,500
11,500
4190
Salary Adjustments
10,961
10,961
4310
Health/Life Insurance
184,843
1184,843
4320
Dental Insurance
2,193
2.193
4330
Life Insurance
656
656
4340
Vision Insurance
50
50
4410
FICAIMedicare
51.791
51.791
4420
IMRF Retirement
81,924
81,924
2012/13
2012/13 Property Tax
Budget
Appropriation Levy Amount
4510
Uniform Allowance
200
200
5110
Contractual Services
99.500
99,500
5310
Postage and Meter
3,500
3.500
5320
Telephone
11,220
11,220
5370
Repair and Maintenance - Vehicles
9,000
9,000
5410
Dues
500
500
5430
Training Expenses
3,000
3,000
5440
Tuition Reimbursement
1,750
1.750
5510
Utilities
165,000
165,000
6110
Materials and Supplies
220.000
220,000
6210
Office Supplies
1,250
1,250
6250
Fuel and Lubricants - Vehicles
25,000
25,000
6270
Small Tools and Equipment
2,500
2,500
8200
Capital - Buildings
-
0
8300
Capital - Equipment
118,850
118,850
8400
Capital - Vehicles
-
0
9510
Depreciation Expense
420,000
420,000
9904
Transfer - Debt Service Fund
146.673
146.673
9920
Purchase Service - Risk Management
78,069
78,069
9921
Purchase Service - General Fund
221,500
221,600
9922
Purchase Service - Information Technology
6,382
6,382
9923
Purchase Service - Audit Fund
3,799
3,799
9936
Transfer - Utility Improvements Fund
0
0
9942
Transfer - Capital Improvements Fund
0
0
Total Public Works - Water Division
2,536,159
2,536,169
Public Works - Wastewater Division (5110.32)
4010
Salaries - Regular
629,716
629,716
4050
Overtime - Regular
40.000
40,000
4190
Salary Adjustments
12,566
12,566
4110
Salaries -Seasonal
5,000
5,000
4310
Heal(h/Life Insurance
158.878
158,878
4320
Dental Insurance
738
738
4330
Life Insurance
690
690
4340
Vision Insurance
134
134
4410
FICA/Medicare
52,577
52,577
4420
IMRF Retirement
83,989
83,989
4510
Uniform Allowance
3,600
3,600
5110
Contractual Services
75,500
75.500
5310
Postage and Meter
2,500
2,500
5320
Telephone
16,000
16,000
5370
Repair and Maintenance - Vehicles
10,000
10,000
5375
Repair and Maintenance - Equipment
82.500
82,500
5380
Repair and Maintenance - Utility System
50,000
50,000
54110
Dues
200
200
5430
Training Expenses
1,250
1,250
5440
Tuition Reimbursement
875
875
5450
Publications
100
100
5510
Utilities
415,000
415,000
5580
Disposal
180,000
180,000
6110
Materials and Supplies
186.779
186,779
6210
Office Supplies
500
500
6250
Fuel and Lubricants - Vehicles
25,000
25,000
7100
Bond Principal
230,000
230,000
7200
Bond Interest
212,193
212,193
8400
Capital - Vehicles
0
0
20112113
2012/13 Property Tax
Budget
Appropriation- Levy Amount
9510
Depreciation Expense
680,000
680.000
9904
Transfer - Debt Service Fund
10,319
10,319
9920
Purchase Service - Risk Management
93.856
93,856
9921
Purchase Service - General Fund
226,396
226.396
9922
Purchase Service - Information Technology
3,267
3,267
9923
Purchase Service - Audit Fund
3,799
3,799
9936
Transfer - Utility Improvements Fund
60,000
50,000
9942
Transfer - Capital Improvements Fund
0
0
Total Public Works -Wastewater Division
3,543.922
3,543,922
Total Water/Sewer Fund
6,080,081
6,080,081
Capital Development Fund (650)
9936
Transfer - Utility Improvements Fund
238,500
238,500
Total Capital Development Fund
238,600
238,500
Utility Improvements Fund (580.31 & 32)
8500
Capital -Water Utility Improvements
2,250,000
2,250,000
8500
Capital - Sewer Utility Improvements
248,500
248.500
Total Utility Improvements Fund
2,498,500
2,498,500
Marina Operations Fund (590)
5110
Contractual Services
30,000
30,000
6940
Administrative Expenses
21,400
21,400
Total Marina Operations Fund
51,400
51,400
INTERNAL SERVICE FUNDS
Health Insurance Fund (600)
4310
Insurance Premiums - Health/Vision
2,056,873
2,056,873
4315
Insurance Premiums - Other
0
0
4320
Insurance Premiums - Dental
93,543
93,543
4340
Insurance Premiums -Vision
11.351
11,351
5245
Health HRA Reimbursement
106,000
106,000
6960
Miscellaneous Expense
5,000
5,000
2,272,767
2,272,767
Risk Management Fund (610)
5950
MCMRMA Premiums
750.000
750,000
5960
insurance Premiums - Other
2,500
2,500
5980
Property Damage
50,000
50,000
6940
Administrative Expense
4,250
4,250
6960
Miscellaneous Expense
500
500
9921
Purchase of Service - General Fund
19,500
19,500
Total Risk Management Fund
826,750
826,750
information Technology Fund (620)
4010
Salaries - Regular
136,588
136,588
4190
Salary Adjustment
2,026
2,026
4310
Health/Life Insurance
27,928
27,928
4320
Dental Insurance
1,120
1,120
4330
Life Insurance
138
138
4340
Vision Insurance
124
1124
4410
FICA/Medicare
10.604
10,604
4420
IMRF Retirement
17,063
17,063
2012113
2012/13
Property Tax
Budget
Appropriation
Levy Amount
4510
Uniforms
0
0
5110
Contractual Services
77,725
77,725
5320
Telephone
2,500
2,500
5410
Dues
750
750
5420
Travel
325
325
5430
Training
0
0
5440
Tuition Reimbursement
0
0
5450
Publications
0
0
6110
Materials & Supplies
14,500
14,500
6210
Office Supplies
17,200
17,200
6270
Small Tools and Equipment
60,600
60,600
9510
Depreciation Expense
30,000
30,000
9920
Purchase Service - Risk Management
9,279
9,279
Total Information Technology Fund
408,470
408,470
FIDUCIARY FUNDS
Employee Flexible Spending Fund (700)
6940
Administrative Expenses
5,000
5,000
6965
Reimbursements
79,000
79,000
Total Employee Flexible Spending Fund
84,000
84,000
Police Pension Fund (760)
4910
Pension Payments
1,335,000
1,335,000
4920
Disability Payments
171,100
171,100
4930
Death Benefit Payments
50,000
50,000
4940
Non -Duty Disability Benefit Payments
56,000
56,000
5110
Contractual Services
45,000
45,000
5410
Dues
2,000
2.000
6940
Administrative Expense
3,200
3,200
9923
Purchase of Service - Audit Fund
3,300
3,300
Total Police Pension Fund
1,665,600
1.665,600
1,202,071
McHenry Economic Dev. Fund (730)
6960
Miscellaneous Expense
0
0
Total McHenry Economic Dev. Fund
0
0
Retained Personnel Fund (740)
5220
Engineering Fees - Consultant
20,000
20.000
5221
Engineering Fees - Staff
0
0
5230
LegalFees
10,000
10,000
6960
Miscellaneous Expense
8,000
8,000
Total Retained Personnel Fund
38,000
38,000
Total All Funds
$ 37,376,620
$ 37,376,620
4,761,610
10
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 and APPROVED this 3rd day of December, 2012.
Voting Aye: Santi, Glab, Schaefer, Blake, Wimmer, Peterson, Condon.
Voting Nay: None.
Not Voting: None.
Abstaining: None.
Absent: None.
APPLROV:
Mayor
ATTEST:
A G-r\ k t-L C
Cit�n
City of MCHenry
333 South Green Street
McHenry, Illinois 60050-5495
www.ci.mchenry.il.us
Mayor's Office
(815) 3 63-2108
Fax (815) 363-2119
CERTIFICATION
Administration
(815) 363-2100
Fax (815) 363-2119
1, Marcia M. Geraghty, Executive Assistant in and for the
Construction and
City of McHenry, Illinois, do hereby certify that the attached
Neighborhood Services
(815) 363-2170
Fax (815) 363-2173
document is a true and correct copy of City of McHenry
Finance Department
Ordinance No. ORD-12-1609, providing for the Annual Tax
(815) 363-2100
Fax (815) 363-2119
Levy for the Fiscal Year beginning May 1, 2012 and ending April
Parks and Recreation
30, 2013. Said Ordinance was approved by the McHenry City
(815) 363-2160
Fax (815) 363-3186
Council at its December 3, 2012 regularly scheduled meeting and
Police Non -Emergency
was signed by the Mayor on December 3, 2012.
(815) 363-2200
Fax (815) 363-2149
Public Works
IN WITNESS WHEREOF, I have hereunto set my hand
(815) 363-2186
Fax (815) 363-2214
and affixed the corporate seal of the City of McHenry, Illinois
this l2rh day of December, 2012.
Mayor
Susan E. Low
City Clerk
(SEAL)
Janice C. Jones
Treasurer
Steven C. Murgatroyd
Marcia M. Geraghty, Executive Assistant
Aldermen
City of McHenry, Illinois
WARD I
Victor A. Santi
WARD 2
Andrew A. Glab
WARD 3
Jeffrey A. Schaefer
WARD 4
Geoffrey I Blake
WARD 5
Richard W. Wimmer
WARD 6
Robert J. Peterson
WARD 7
Geri A. Condon