HomeMy WebLinkAbout1954-02-16 Regular Meeting .... ., . . . - . _ ._... . . . . . . . . ..:.
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' `' Regular meeting of the City Council of the Cit,y of Grapenine was held !
� on February 16, 1954 �th the following members present: Mayor H. �I. �
` Cosnahan; Alderman Joe Box, Bill Guest, E. M. Pair and R. F. Shelton; ±
Secretary �Iugh Millican. ;
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Alderman Box introduced the following resolution and moved its adoption; �
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RESOLUTION DECLARING TNE FIRST N�lTIONAL BANK OF DALLAS j
�'� TEXAS AS PART OF THE CITY DEPOSITORY OF THE CITY OF �
�+�' GRAPEVINE, TEXAS, FO R THE SAFE KEEPING OF CERTAIN ' �
SECURITIES OWNED BY SAID CITY:
Motion was seconded by Alderman Guest and passed by vote of 1�-0, carrying �
with it the adoption of the above resolution. j
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Minutes of the meeting of February 2, .1954 were read and approved. �
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,�� Financial statements on the following pages for the year 1953 were ',
�+,a presented by the City Treasurer. , ,
Alderman Box intro duced the following ordinance and moved its adoption: �
AN ORDINANCE LFVYING A TAX OF ONE-TENTH OF ONE �
PERCENT ON FACH ONE HUNDRED DOLLARS VALUATION '
OF TAXABLE PROPFRTY SITUATFD '+�IITNIN �TNF CITY i
OF GRAPEVINE TEXAS, FOR THE CALENDER YEAR OF ?,
1954; PROVIDING THAT THE REVENUE FROP�I SAID
TAX SHOULD BE USED TO PAY THE INTEREST DUE ON
A CONTRACTUAL OBLIG�TION OF THE CITY TO THE ' '
UNITED STATES OF AMERICA FOR GalATER STORAGE I
SPACE IN THE GRAPEVINE RESFRVOIR; PROVIDING
THAT THE RrVENUE COLLECTFD FRO�� SAID TAX IN
EXCESS OF TNF INTEREST DUE ON SAI D OBLIGATION '
� SHALL BE PAID INTO A SINKIN('� FUND TO PAY THE �
PRINCIPAL PAYMENTS D[TE ON SAID OBLIGATION AS
THEREIN PROVIDED; FURTNFR PROVIDING THAT .iLL
REVENUFS REMAINING AFTER PAYMENT BY THE CITY
OF ALL IIJTERFST AND PRINCIP�'�L D[JE ON SAID CON- i
TRACTUAL OBLIGATION SHALL BF P1ID OV�'R INTO THE '
CITY t S GENERAL FiJND; AN D PROVIDING CFRTAIN ;
DISCOUNTS FOR TIMELY P;`1YMENT OF SAID TAX AND �
INTERrST AND PFNALTIES FOR DELIC�UENT PAYMENT ��
OF SAID TAX. I
Motion was seconded b,y Alderman Shelton and passed by vote 4-0. 1
Ordinance was numbered 54-5.
Alderman Shelton introduced and moved the adoption of the following
ordinance: ,
AN ORDINANCE LEVYING 1� TAX OF EIGHT-TENTHS
PERCENT ON EACH ONE HUNDRFD DOLLARS V�LU:�TION
; OF TAXABLE PROPERTY SITUATED ���ITHIN THE CITY :�
� OF GRAPEVINE TEXAS FOR THF CALENDAR YEAR OF ,
1954, AND PROVIDING� CERTAIN DEISOQJNTS FOR
TIMELY PAYMENT OF S,�ID TAX AND INTFREST AND
PENALTIES FOR DELIN�i?ENT PAYM�"NT OF SAID TAX.
Motion seconded by Alderman Guest and passed b�* vot� 4-0. l
; Ordinance was numbered 54-6.
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Alderman Pair introduced and moved the adoption of the following
ordinance:
AN ORDINANCE LEVYINC A TAX OF SIX TENTHS
PERCEPdT ON EACH ONE HUNDRrD DOLL�RS
VALUnTION OF TAXABLE PROPFRTY SITUATED
WITHIN THE CITY OF GRAPFVINE, TEXAS , FOR
THE CALENDAR YEAR OF 1954, AND PROVIIDING i
CERTI,I N DISCOUNT S FOR TIMELY P^,YMENT OF
SAID TAX AND INTrR?�ST Ai�JD PEP�IALTIrS FOR 1
DELIN�UENT PAYMENT OF SAID TAX.
Motion was seconded b�r Alderman Box and passed by vote 4-0.
Ordinance was numbered 54-?.
Refuridin�; cor.tract for ti�Jater and Sewer Facilities within �Section B,
, ^ Bellaire Addition, was presented to the Council for approval. Since
' y� plans and maps showing these facilities were not included in the
� contract and the total cost of the facitities has not been received by
the City, the cont ract was not app roved at this meeting.
Meeting Adjourned.
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ug i ican, ity �ecretary
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� CITY OF GRAPEVII�E, TEXAS
Operational �tatement
Year of 1953 �
Balance of Funds, Jan. 1, 1953:
3 Current Funds (A) � 1,�$4.53
Reserve Funds (B) 25,367.9$
Total � 27,252.51
Add: �
Water 8c Sewer Dept. Income:
' Sales � 39,351.63
' Connection Chgs. 2,430.00
Payments by Develop-
ers 16,500.1�4
Assets gained by
� Contracts 34,476.09
� Service Deposits 1,114.00
Total � 93 ,�72.16
General City Income:
1953 Taxes, gross � 1$,$13.12
less discount 455.76
1953 Net Taxes � 1$,357.36
1952 Taxes 3 ,426•�4.
1951 & Prior Taxes 1,39$.50
Total Taxes � 23 ,1$2.70
Interest Earned 200.00
Corporation Court 323.54
Garbage Collections 1,709.60
' r Rents & Misc. 2,21�6.72
Building Permits 69. 50
t Total 27,732•02
Total 121,60l�.1$
Total Credits . � 14$,$56.69
Deduct :
Expenses:
Water Dept. (C) � 19,665.30
General City ( D) 14,619.45
Interest Costs 7,1$3. 50
Total � 41,46$.25
Debt Payments:
Bond Debt � 4,000.00
Contract Debt 3 ,41$.93
Salary Ded. Payable 313.0$ '
Total 7,732.$2
Capital Investments (E) 57,732•01
Service Deposits �efunds 473.00
Total Deductions 107,406.0$
Balance, December 31 1953 = �
Current Funds (F� � � 6,43�.73
Reserve Funds (G) 35 ,015.61
Total � 41,450.61
� I, Hugh P�Iillican, City Secretary, hereby certify that the above
; statement and the following balance sheet & explaination schedules
'; are true and correct for the City of Grapevine for the Year of 1953•
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Explaination Schedules - operational statement 1953
(A) CURRENT FUNDS:
ViTater Fund � -377.03
General Fund 2 02$.91 i
Tax Fund � 95.06 i
, Social Security Fund 1 7.59 1.
� Total � 1,$$4•53 ;
(B) RESERVE FUNDS: �
Sinking Fund i cash � 1z, 233.49
Sinking Fund I bonds $,000.00
Revenue Bond Fund 1,332•44 i
Revenue Reserve Fund 3 ,25�..$0 �
I Special Fund 547.65 '
� Total � 25 ,3b7.9$ ,��
(E) EXPENSES OF WATER �EPARTMENT: '�
� , Salaries � 11,290.$5 '('
Emp. Tax 129.13 :
Truck 75$•37 , `�
Line Rep�irs 2,572.15 �
Plant (721.$3 ) 7�1.�3 '
' System 735,1$ !
Freight & Trans. 14$.21
Office 341.$5 !
Tptal - � 19,665.30
(H) GENERAL CITY EXPENSES: �
Salaries � l,$9$.00 �
Emp. Tax 9$.07 �
Administrative $$7.47 ;
� Office 4$1.64 ' �
Utilities 236.17 '
Building 611�. 51 '
Streets 2,523.26
Police � Traffic 3 ,916.$0
Fire Department 1,196.00
Garbage 1,5$3•55 �
General �.,1$3•9$ � �
Total � 11�,619.45 �
(E) CAPITAL IMPROVEMENTS: '
Water & Sewer Lines � 25 ,601.1�2
Lake vJater Storage 29,b34.00
Equipment 2�497.40
Total � 57,732.$2 I
(F) CURRENT FUNDS: �
. Water Fun+H � 2, 517.4$
General Fund 3 ,$35.z6
Social Securitp Fund 37-•99
Petty Cash 50.00
' Total � 6,�34•73
RESERVE FUNDS:
Sinking Fund I cash � 1$,55$.21
Sinking Fund I bonds $,000.00
� Sinking Fund II cash 1,$37.75 �,
Revenue Bond Fund 1,326.0$
Revenue Bond Reserve Fund 4,237. 52
Special Fund 2.$�
Contract Fund 1,053•52 !
Total � 35,015•$$
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