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J. 64 <br /> <br /> dune 8,2004 <br /> <br />roll call vote, with all members voting: Vote 4 - 1; Yeas (4) - Cobbe, Ferrill, Roop, <br />Teague; Nays (1) - Dallas: <br /> <br />BE IT ORDAINED by the Council of the City of Martinsville, Virginia, in <br />regular session assembled May 25, 2004, that Section 18-24 of the Code <br />of the City of Martinsville, be, and hereby is, amended to read as follows: <br /> <br />Sec. 18-24. Fee schedule. <br /> <br />(a) Collection and landfill charges: <br /> <br />Individual living units (one (1) pickup per week), per month ....................................... $9.50 <br />Dumpsters, commercial and apartments (for each time emptied), per container ..... $18.50 <br />Business not currently using dumpsters (for two (2) pickups per week), per month. $19.00 <br /> <br />(b) Landfill charges: <br /> <br />Unsplit tires (13-inch and larger), each, not to exceed ................................................ $2.00 <br />Car with bagged garbage only (minimum charges) ..................................................... $1.50 <br />All other vehicles, per ton .......................................................................................... $39.00 <br /> <br />A discussion ensued regarding cash flow and errors in revenue projections. Council <br /> <br />Member Dallas moved to adopt, on second reading, the following Ordinance 2004-13 <br /> <br />establishing the City's Budget and Tax Rates for Fiscal Year 2005; the motion was duly <br /> <br />seconded and carried by the following roll call vote, with all members voting: Vote 3 - <br /> <br />2; Yeas (3) - Dallas, Roop, Teague; Nays (2) - Cobbe, Ferrill. <br /> <br />BE IT ORDAINED by the Council of the City of Martinsville, Virginia, in regular session <br />assembled May 25, 2004, that the following sums of money be and hereby are appropriated--by <br />Funds--for the City's fiscal year ending June 30, 2005, from the following Fund sources of <br />estimated revenue: <br /> Changes <br /> Projected In Fund <br /> Appropriations Revenues Balance <br /> <br />General Fund $ 26,084,489 $ 25,365,991 $ (718,498) <br />Electric Fund $ 12,559,235 $ 11,767,519 $ (791,716) <br />Water Fund $ 2,647,021 $ 2,200,640 $ (446,381) <br />Sewer Fund $ 2,907,939 $ 2,128,740 $ (779,199) <br />Refuse Coll./Landfill Fund $ 3,317,003 $ 3,662,293 $ 345,290 <br />Housing Choice $ 2,335,160 $ 2,223,157 $ (112,003) <br />Cafeteria Fund $ 1,128,783 $ 1,128,783 $ <br />Schools Fund $ 20,362,142 $ 20,362,142 $ <br />Hooker Field Fund $ 24,036 $ 24,036 $ <br /> <br /> <br />