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<br />39. Recognizes the need of adjustment in the allowance made to thos e city <br /> <br />employees who furnish their own automobile and use it in the business of the <br /> <br />city. The schedule being used has been unchanged since 1951 with cost of <br /> <br />automobile ownership and operation having radically risen. The time comes <br /> <br />closer when the city should consider the feasibility from the standpoint of <br /> <br />efficiency and economy of gradually converting from the allowance system to <br /> <br />furnishing vehicles. <br /> <br />40. Provides $4,807.50 for replacement work on existing sewer mains where <br /> <br />age of the lines is a serious factor. <br /> <br />41. Anticipates $124,620 in revenue from the fifty percent schedule of sewer <br /> <br />charges. This amount which excludes the 200/0 charge on connected customers <br /> <br />for maintenance of the present system is, per City Council policy. specifically <br /> <br />assigned to the sewerage system improvement program as follows: <br /> <br />$ 73, 000 <br />2,000 <br />49.620 <br /> <br />Plans and specifications <br />Land and rights-of-way <br />Construction of new lines <br /> <br />Of the amount for construction of new lines, $3,500 would go on Church <br /> <br />Street for new lines in the vicinity of Bob Gregory Street and in the area <br /> <br />from Booker and Watt Streets to the Brookdale Road intersection as necessary <br /> <br />to the rebuilding of Route 58. Other projects would be as approved by the <br /> <br />City Council. All unexpended amounts in these accounts in the current year <br /> <br />are being carried forward in this fund. <br /> <br />The corresponding allocation in the current year (1958- 59) plus that above <br /> <br />indicated for the coming year will complete monies necessary for the plans <br /> <br />- 26 - <br />