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Minutes 11/28/1978
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Minutes 11/28/1978
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City Council
Meeting Date
11/28/1978
City Council - Category
Minutes
City Council - Type
General
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<br />j8 <br /> <br />TUESDAY <br /> <br />NOVEMBER 28, 1978 <br /> <br />Upon request of the Director of the Henry-Martinsville Health District~ Council <br /> <br />unanimously appropriated (from its General Fund emergency account) the sum of <br /> <br />$365.04 as the City's share of the cost of rearranging office spaces within the <br /> <br />Health Department building. <br /> <br />Council continued to its next regular meeting further consideration of the proposed <br /> <br />amending of Section 8-3.3 of the City's Employee Manual~ pending further study <br /> <br />thereof by City Attorney Worthy. <br /> <br />Council also continued~ for further consideration, a proposal to amend the City's <br /> <br />Bank Stock Tax ordinance. <br /> <br />Upon recommendation of the City's Board of Zoning Appeals, Council authorized (1) <br /> <br />the Board to increase its hearing fees from $12.50 to $25.00 and (2) the annual <br /> <br />compensation of each member to be increased from $50.00 per year to $100.00 per <br /> <br />year, payable quarterly. <br /> <br />With the concurrence of Council~ a statement, prepared by Councilman Greene and <br /> <br />recently delivered to a meeting of Chapter 10 Board agency members~ is hereby <br /> <br />made a part of these minutes (by reference and insert). <br /> <br />Council unanimously accepted and approved for implementation, although Councilman <br /> <br />Oakes indicated a strong preference to postpone action until (1) all members of <br /> <br />Council are present and/or (2) more time is allowed to evaluate, the following tax <br /> <br />rebate proposal submitted by Councilman Greene: <br /> <br />I propose that Council return 8% of this year's real estate and machinery- <br />and-tool taxes to the taxpayers in July~ 1979. <br /> <br />On May 26~ Mr. Noland presented his Proposed 78-79 Budget to Council which <br />anticipated using $703~417 of the $719,839 estimated General Fund surplus to <br />
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