HomeMy WebLinkAbout950870.tiff 4.aO0 853 9 `= C
Recorded at o'doek DEC►.O IJ�('
Ci
177O
Rec. No.
Lily.Jactsds:‘,
ORDINANCE NO. 40 Stote of Co orodo, Weld County Clerk G Recorder
IN THE MATTER OF THE ANNUAL APPROPRIATION FOR WELD COUNTY, COLORADO
FOR THE FISCAL YEAR 1979 .
BE IT ORDAINED by the Board of County Commissioners of Weld
County, Colorado, that it is necessary to set the annual appro-
priations for Weld County, Colorado for the fiscal year 1979 , and
WHEREAS, in compliance with an act of law entitled, "An Act
to require the affairs of the several counties of the State of
Colorado to be continued from the revenue derived from taxation
and prevent other expenses of any county from exceeding its rev-
enue---" , and in accordance with Colorado Revised Statutes, Title
29 , Article 1, 1973, "During the fiscal year, no officer, depart-
ment, board, commission or other spending agency shall expend or
contract to expend any money, or incur any liability, or enter
into any contract which, by its terms , involves the expenditure
of money for any of the purposes for which provision is made in
the Appropriation Ordinance or resolution in excess of the amounts
appropriated in said ordinance or resolution for such office,
department, board, commission or other expending agency, or purpose
for such fiscal year. Any contract, verbal or written, made in
violation of this section shall be void as to the local government,
and no money belonging thereto shall be paid thereon.---" , and
WHEREAS, in compliance with Section 3-8 of the Weld County
Home Rule Charter which provides that the Board of County Commis-
sioners shall act only by ordinance in matters of contracts and
inasmuch as this Appropriation Ordinance provides for authority to
expend or contract to expend or to enter into any contract which,
by its terms , involves the expenditure of money for any purpose
recited in this Appropriation Ordinance,
BE IT ORDAINED that it is the intent of the Board of County
Commissioners of Weld County, Colorado , that this Appropriation
Ordinance is the ordinance by which the Board acts during the
fiscal year 1979 in matters of all contracts that involve the
expenditure of money for any of the purposes for which are covered
by the monies appropriated by this Appropriation Ordinance.
5 7 n 950870
oct-
853 1774758
BE IT ORDAINED that all monies received from the source and
for the purposes named in this paragraph be, and the same are
hereby appropriated for the County General Fund for the fiscal year,
commencing January 1, 1979, as estimated at this time to be and
which will become available during the year, 1979 , viz:
Taxes $4, 796, 231. 00
Cash Balance 612 ,288. 00
Collections ,
Other 4 , 327, 155. 00
Total $9, 735, 674. 00
BE IT ORDAINED that all monies received from the source and for
the purpose named in this paragraph be and the same are hereby appro-
priated for the Road and Bridge Fund for the fiscal year, commencing
January 1 , 1979, as estimated at this time to be and which will become
available during the year, 1979, viz :
Taxes $3, 013, 303. 00
Cash Balance 369 , 769 . 00
Collections,
Other 2, 465, 939. 00
Total $5, 849, 011. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are hereby
appropriated for the Social Services Fund for the fiscal year, com-
mencing January 1, 1979 , as estimated at this time to be and which
will become available during the year, 1979, viz :
Taxes $1, 350, 658 . 00
Cash Balance 97, 555. 00
Collections ,
Other 6, 164, 290 . 00
Total $7, 612, 503. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Public Works Fund (County Buildings) for
the fiscal year, commencing January 1, 1979, as estimated at this
time to be and which will become available during the year, 1979, viz:
Taxes $421, 237 . 00
Cash Balance 90, 010. 00
Collections,
Other 105, 933. 00
Total $617 , 180. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Weld County General Hospital Capital
-2-
853 177,17b8 3
Fund for the fiscal year, commencing January 1, 1979 , as estimated
at this time to be and which will become available during the
year, 1979 , viz :
Taxes $ 661, 351. 00
Cash Balance 2, 789, 867 . 00
Collections,
Other 156, 215. 00
Total $3, 607, 433. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Weld County General Hospital Depreciation
Fund for the fiscal year, commencing January 1, 1979 , as estimated
at this time to be and which will become available during the year,
1979, viz :
Cash Balance $ 322 , 781. 00
Collections,
Other 684 ,000. 00
Total $1, 006, 781. 00
BE IT FURTHER ORDAINED that all monies received from the
source and for the purpose named in this paragraph be and the same
are hereby appropriated for the Contingent Fund for the fiscal year,
commencing January 1, 1979, and now estimated to be and which will
become available during the year, 1979 , viz :
Taxes $ 884 ,925. 00
Cash Balance _ 71, 051. 00
Collections,
Other 65, 075. 00
Total $1, 021, 051. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the County General Hospital Operating Fund
for the fiscal year, commencing January 1, 1979 , and now estimated
to be and which will become available during the year, 1979, viz:
Cash Balance $ 275, 390. 00
Collections,
Other 16, 180, 638 . 00
Total $16, 456, 028 . 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Health Fund for the fiscal year, com-
mencing January 1, 1979, and now estimated to be and which will
-3-
Boo(. 1"!' 4758
853
q
become available during the year, 1979, viz:
Cash Balance $ (33, 168 . 00)
Collections,
Other 1,941, 099. 00
Total $1, 907 , 931. 00
BE IT ORDAINED that all monies received from the source and
for the purpose named in this paragraph be and the same are hereby
appropriated for the Old Age Pension Fund for the fiscal year,
commencing January 1, 1979 , and now estimated to be and which will
become available during the year, 1979, viz :
Cash Balance $ 5, 725. 00
Collections,
Other 820, 000. 00
Total $825, 725. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Motor Vehicle Intragovernmental Services
Fund for the fiscal year, commencing January 1, 1979, and now
estimated to be and which will become available during the year,
1979 , viz:
Cash Balance $ -0-
Collections,
Other 2, 104, 062. 00
Total $2, 104 , 062 . 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Revenue Sharing Trust Fund for the fis-
cal year, commencing January 1, 1979, and now estimated to be and
which will become available during the year, 1979 , viz :
Cash Balance $ 487 , 666 . 00
Collections,
Other 1, 694, 235. 00
Total $2 ,181, 901. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Conservation Trust Fund for the fiscal
year, commencing January 1, 1979, and now estimated to be and which
will become available during the year, 1979 , viz:
Cash Balance $15, 099 . 00
Collections,
Other 10 , 000 . 00
Total $25, 099 . 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
-4-
aooY` 1'774'7:18
853
(a s
hereby appropriated for the Subdivision Park Site Fund for the
fiscal year, commencing January 1, 1979 , and now estimated to be
and which will become available during the year, 1979 , viz:
Cash Balance $30, 950. 00
Collections,
Other -0-
Total $30, 950. 00
BE IT FURTHER ORDAINED that all monies received from the
source and for the purpose named in this paragraph be and the same
are hereby appropriated for the Library Expansion Fund for the
fiscal year, commencing January 1, 1979 , and now estimated to be
and which will become available during the year, 1979, viz :
Taxes $ -0-
Cash Balance -0-
Collections,
Other 490, 000. 00
Total $490, 000. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Human Resources Fund for the fiscal
year, commencing January 1, 1979, and now estimated to be and which
will become available during the year, 1979 , viz :
Taxes $ -0-
Cash Balance 995. 00
Collections ,
Other 3, 282 ,951. 00
Total $3 ,283, 946. 00
BE IT FURTHER ORDAINED that all monies received from the
source and for the purpose named in this paragraph be and the same
are hereby appropriated for the Library for the fiscal year, com-
mencing January 1, 1979 , and now estimated to be and which will
become available during the year 1979 , viz:
Taxes $ -0-
Cash Balance -0-
Collections,
Other 285, 595. 00
Total $285, 595. 00
BE IT FURTHER ORDAINED that all monies received from the source
and for the purpose named in this paragraph be and the same are
hereby appropriated for the Computer Services IGS Fund for the
fiscal year, commencing January 1, 1979, and now estimated to be
and which will become available during the year 1979 , viz:
-5-
90Ot'
853 1'7'7 }'75-8
Taxes $ -0-
Cash Balance -0-
Collections,
Other 759, 154. 00
Total $759, 154 . 00
BE IT FURTHER ORDAINED that all monies received from the
source and for the purpose named in this paragraph be and the
same are hereby appropriated for the Insurance IGS Fund for the
fiscal year, commencing January 1, 1979, and now estimated to
be and which will become available during the year 1979 , viz :
Taxes $ -0-
Cash Balance -0-
Collections,
Other 478, 674. 00
Total $478 , 674 . 00
BE IT FURTHER ORDAINED that all monies received from the
source and for the purpose named in this paragraph be and the
same are hereby appropriated for the Printing and Supply IGS
Fund for the fiscal year, commencing January 1, 1979 , and now
estimated to be and which will become available during the year
1979 , viz :
Taxes $ -0-
Cash Balance _ -0-
Collections,
Other 151, 055. 00
Total $151, 055. 00
BE IT FURTHER ORDAINED that an emergency exists inasmuch
as State law requires that the budget ordinance of Weld County,
Colorado, be enacted on or before the 15th day of November, 1978,
and therefore, this Ordinance is declared to be an emergency
Ordinance under the provisions of Section 3-14 of the Weld County
Home Rule Charter.
The above and foregoing Ordinance No. 40 was, on motion duly
made and seconded, adopted by the following vote on the 4th day of
December, A.D. , 1978 .
7 BOARD OF COUNTY COMMISSIONERS
' 1-
ATTEST: n 'i' Lc_^,1u /
f11 ~T WELD COUNTY, COLORADO
U
Weld County Clerk and Recorder
CI)Clerk to tVI
oard
A
Deputy Co Clerk ( 17 -K-
ROVE/D� AS TO FORM:
Asst. County
,- `�
Date Presented: December 4 , 1978
Dated: December 6, 1978 -6-
Published: December 7 , 1978
fil 11. i H NH I i illli.' l ', ( I I NV /vIH) In CONDEIi
PI ! /U I ['II N I OF CL. i IO BOARD
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PHONE (3031 356-4000 EXT. 223
2sr� 1r 1� .$119% P.O. BOX 459
•V „tr., ‘. kk_ GLEE LE V, COLORADO 80631
,...t..,
COLORADO
STATE OF COLORADO)
COUNTY OF WELD )
I , Mary Ann Feuerstein, County Clerk and Ex-officio
Clerk of the Board of County Commissioners in and for the
County of Weld, State of Colorado , do hereby certify that
the attached Ordinance No . 40 is a duplicate of the
original Ordinance recorded with the Weld County Recording
Department.
IN WITNESS WHEREOF, I have hereunto set my hand and
affixed the seal of said County , at Greeley, Colorado, this
11 day of December , 19_78
.. .� f,i ,-, r...
,,. '?it,,'..tt1rt, •,j
,?
/ COUNTY CLERK
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n
! Iii \ 1 �BY: ?, _ , : , i1, . ,. A ,( ' V' �4-
( 1 a : mph ty County Clek
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PS Form 3313,Nov.1976 `R m in
- - _ RETORN RECEIPG
- _ _ REDIS7ERED, INSURED AND CERTIFIED MAIL
in this paragraph be and the same in this paragraph be and the same
are hereby appropriated for the are hereby appropriated for the
Weld County eral Hospital Human Resources Fund for the
Capital Fund 1 ae fiscal year, fiscal year,commencing January
commencing Jd-.ary 1 1979, as 1, 1979, and now estimated to be
estimated at this time to be and and which will become available
which will become available during the year, 1979, viz:
during the year, 1979, viz:
Taxes 0
Taxes $661,351.00 Cash Balance 995.00
Cash Balance 2,789,867.00 Collections,
Collections, Other 3,282,951.00
Other 156,215.00 Total $3,283,946.00
Total $3,607,433.00
BE IT FURTHER ORDAINED
BE IT FURTHER ORDAINED that all monies received from the
that all monies received from the source and for the purpose named AFFIDAVIT OF PUBLICATION
source and for the purpose named in this paragraph be and the same
it this paragraph be and the same are hereby appropriated for the
are hereby appropriated for the Library for the fiscal year
Weld County General Hospital commencing January 1,1979, and THE JOHNSTOWN BREEZE
Depreciation Fund for the fiscal now estimated to be and which STATE OF COLORADO )
year, commencing January 1, will become available during the
1979, as estimated at this time to year 1979, viz: ) SS.
be and which will become availa-ble during the year, 1979, viz: Taxes 0 COUNTY OF WELD )
Cash Balance 0
Cash Balance $322,781.00 Collections, I, Eugene Thomas, do solemnly swear
Collections,Oth 684,000.00 Total
$285,695.00 that am publisher of The Johnstown
PVHIIC NOTit5R Total $1,006,781.00 BE IT FURTHER ORDAINED Breeze; that the same is a weekly
BE IT FURTHER ORDAINED that all monies received from the newspaper printed, in whole or in part, and
'O1*D@iAla NO.4, that all monies received from the source and for the purpose named published in the Count of Weld, State of
source and for the purpose named in this paragraph be and the same Y
IN Q[y p� mthlsparagraphbuandtensame are hereby appropriated for the Colorado, and has a general circulation
AN &' 'MA are hereby appropriated for the Computer Services IGS Fund for therein; that said newspaper has been
Contingent Fund for the fiscal the fiscal year, commenem
CAIt year, commencing January 1 January 1, 1979, and now eatii published continuously and uninterrup
ted-
- 979,and now estimated to be and mated to be and which will Y pted-
which will become available become available during the year ly in said County of Weld fora period of
YTg AINED DY the during the year, 1979, viz: 1979, viz:
.of more than fifty-two consecutive weeks
gouty, rode,- t it de Taxes 1884,925.00 Taxes o prior to the firsi publication of the annexed
new set die Ailil Cash Balance 71,051.00 Cash Balance 0
for Weld �t , Collections, Collections, legal notice or advertisement; that said
kir fldcat Misr Other 85,075.00 other 759,154.00 Total $1,021,051.M Total $759,154.00 newspaper has been admitted to the
� BE IT FURTHER ORDAINED BE IT FURTHER ORDAINED United States mails as second-class matter
p_, "MI , , that an monies received from the that all monies received from the under the provisions of the Act of March 3,
': 3G source and for the purpose named source and for the purpose named 1879,or
be, frpm tlM revwpe m this paragraph bpe and the same )n this erygrappph be and the same any amendments thereof,and that
aiv heat are teerGeneralroHospitalOperab Insurance IGSFundforithefiscal said newspaper is a weekly newspaper
ing Fund for the fiscal year
year, commencing January 1 duly qualified for publishing legal notices
in
-ayyctsodr Wi ors e- now estimated wan and which whichnwill become davailab a and advertisements within the meaning of
1VA, �• -�' Y will become available during the during the year 1979, viz: the laws of the State of Colorado.year, 1978, visa ' Taxes 0 That the annexed le al notice or
WI agilec Cash Balance $ 275,39000 Cash Balance 0 g
.collections, Collections, advertisement was published in the
or anyNWel181n1► " i Other 18,1&1,838.00 Omer 478,874.00
Meows Total $18,468,028.00 Total $478,874.00 regular and entire issue of every number of
bitilf" dL -f la BE IT FURTHER ORDAINED 581d weekly newspaper for the period of
A V BE IT FURTHER ORDAINED that all monies received from the
• that all motes received enamedfrom the source an a for the purpose named / consecutive insertions; and that the
source and for the purpose named in this ra
m this paragraph be and the same Pa grapph be and the same •first
n A W9iid1 are hereby appropriated for the Printing and Supply
for the publication of said notice was in the
- Health Fund or a fiscal year the fiscal year,,Iycommencinr f7az 7
p et i commencing January 1,1979,and January 1, 1979, and nos, es issue of said newspaper dated
ply now estimated to be and which mated to be and which will
apt, Wib or will
co vain tillable during the become available during the year A.D. 19�V and that the last publication
be raid
or♦ year, 1879, viz:
of said notice was in the issue of said
'ow pp,nay be. CashBalance
llec l ce $ (33,168.00) Taxes 0
• snail bA paid Other 1,941,099.00 Cash Balance 0 newspaper dated pew' AD. 19 'cr
Total $1,907,931.00 Collections,
Other 151,055.00 In witness whereof I have hereunto set
e d mBE IT ORDAINED that all Total $151,065.00
• p[p, monies recetvad from the source gE IT FURTHER ORDAINED m hand this�'-" da Of.... -
fir:
h, and for the purpose named a this that an emergency exists mad- y - Y
he atagraph a and the same are mush as State law requires that 7
orditiane �a�ters hereby appropriates for the ola the budget ordinance of Weld A D. 19.
h as mid A rfa- Age Pension Fund for the fiscal ""
and ineemua year; . estimated
January 1 orCo be, Colorado, 15thbe enacted on
of �/
ommot to 1979,and now estimated to be ana or before the day i'
OxaupsDd�O td en<arpWto an which will become available November, 1978,declared
therefore, `P„ „ /int
b any during the year, 1978, viz: this Ordinance la declared to be an J;{�S-4 '✓ G -`"-!�
y its,terms, emergency Ordinance under the
fi tm+ofmone Cosh Balnnce $ 5,725.00 provisions of Section 3.14 of the Publisher.
1W' ViV recited Collections, Weld County Home Rule Charter.
Ordbunce� Other 820000.00
Total $825,725.00 The above and foregoing Ordin-
ance No. 40 was, on motion duly Subscribed and sworn to before me. a
An (wanly BE IT FURTHER ORDAINED made and seconded adopted by Notary Public in and for the County of
that all monies received from the the following vote on the 4th day of
fba �, source and for the purpose named December, A.D., 1978. Weld,State of Colorado, this2 -'-- da
se4�thn F;t*
ebY aapph be pt'oPrs BOARD OF COUNTY0�-ehicle Intraof P AD.Fund for tppoBes w C ere tin January 1,1979, ana
now estimated to be and which June K.Stein[. kProtein
Appropriation elatiM g y„t ,by a will become available during the Victor L.Jacobucci �-�', ' • z)c. i�.
_, - .year, 1979, viz: Norman Carlson Notary Public.
--_ — — Leonard L.Roe
My commission expires....,' �' 7 /5 Y
BE IT ORDAINED that all �h Boleros 0 ATTEST: Mary Ann Feuerstem�
monies recelrM from the sake Uom, Wald County meek,and for the here NLu++ati +
para�a@h be, end s+al p+ �r 42,104,062.00� ClerRecorder
to the Booaard
IarabY appro¢�mat``ed� fart Mg
County GensralTiM u BE IT FURTHE,t ORDAINED
yam, comtaenetee January 1, that all mattes received from the By: Jeannette Ordway
be andds air om UPkM to wares and for the purpose named Deputy tor Clerk
We Junin Year. .Wet: a I mph be and the same. APPROVED AS TO FORM:
are hereby app 'Flute for the' R. Russell Amen
:MangeAr, commencing Fund Apt. County Attorney
Col*
- the fiscal ear,and
now
C1 O e ��� oo January 1,be a dnd now seal Date Presented:December 4,1178
Collspr ' mated edu wgthe will Dam: Deer a, lin
*. lee become available durMg the year, Published: December 7, 1078
Total" pi.ri6a4i.ao 1970 viz:
ra_ .
t CashBalan $ �,M4� 7g .Clerk to-BE.
Johnstawn Breese—
i lT ORDAINED thit all COfia Othr0°v, �1}894.236.90.
��' vad fromibe $8,183,903.00
pat
M m8tm ace
i,lY� tin+ he BE IT FURTHER Od fr mnw
M ■ N d , .that all monies received a named
re6yaad! eommencln Janypl'y t1.o $this pyagrapphhobpee aannd the same
bs a, esilma4d a�.title OAtte'toare mtlon Trust Mated Fund for the
wg t wilt become avails-the year.1979.v(a: fiscal year,commencing January
$8. A7i9.00 and which will become availab to le
4a�p�p during the year, 1979, viz:
WanceH . 23�81gd11.00 Cash Balance $16,099.00
' Collections, 10,000.00
BE ll FURTHER ORDAINED To $16,000.00
saws B monies received from the ..
and paragraph be at.elf game that all monies received from the
y apknd tad oof thel source and for the purpose named
yyee4a�rr..ccomm newel for
J Uuaryc1, in paragrapereby h beandd a for the
e id which wi a4 eavaUt Le Subdivision Park Site Fund for the
4M ewd wblch will be a ble festal year,commencing January
daskat the year, 1979. via: ' 1.1979 and now estimated to be
8 • and which will become available
p 7aebg.0o during the year, 1979, viz:
Cash Balance $80,960.00
r n I 00 Collections, 0
Other $80,960.00
gE IT FURTHER Od frontED Total,
tbit.attl monies received hall the BE IT FURTHER ORDAINED
and fa'the purpose named ceand fo the receivedaragraph be ancIYeie same
in parraagraapph bye- aandtie samo
from the
a'� c eWorks tunde tcoun y this appropriated for the
for fhe are hereby
library Expansion Fund for the
cabmen J awry 1be' _ fiscal year,commencing January
Whichtad :beecale l b e 1 1979 and now'estimated to be
vurin1 to ar lone �N ails and which will become available
during the year. 1970,.W: during the year, 1979, via:
g 0
Totes `• - 10,010.00, 00 Cash Balance - 0
Cosh Hain, Collections,
Co herrm�a' 106,988.00 Other 480,000.00
Totall irf�t $617,190.000 Total $490.000.00
that source and for the ed that nd for the R�e�nameedd
Hello