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1975 City of South Bend Budget
1975 Tax Levy
Additional Appropriation General Park Fund $40,000.00
Additional Appropriation General Park Fund In the Amount $32,754.00
Amend Section 15-16 Milage Rates
Amend Section 6-6 Fire District No. 1
Amending Chapter 1 Designation of Councilmanic Districts
Amending Chapter 13 Air Pollution Control
Amending Chapter 20 Regulating Vehicle Parking
Amending Chapter 20 Vehicles and Traffic
Amending Chapter 20 Vehicles and Traffic (Vetoed)
Amending Chapter 21 Adding Provisions to Signs and Outdoor Advertising
Amending Chapter 4 Metal Detectors
Amending the Annual Vacations for City Personel
Annexing 902 W Ireland Rd
Annexing Vicnity of the St Joseph County Airport
Appripriating $2,900.00 Printing $7,500.00 Other Contractual Services
Appropriate $10,000 Cumulative Capital Improvement Fund and $90,000.00 Local Road and Street Fund
Appropriate $2,400.00 Cumulative Capital Improvement Fund to Project Road & Street
Appropriate $81,000.00 Local Road and Street Fund and $9,000.00 Cumulative Capital Improvement Fund
Appropriating $1,100,000.00 Century Center Construction Fund to Phase I Construction
Appropriating $10,000.00 From Cumulative Sewer Building and Sinking Fund
Appropriating $11,805.00 Federal Assistance Grant Various Public Works Programs
Appropriating $110,000.00 Cumulative Sewer Building and Sinking Fund
Appropriating $110,000.00 Federal Assistance Grant Fund General Revenue Sharing
Appropriating $115,500.00 Federal Assistance Grant Various Public Works Programs
Appropriating $12,000.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $12,250.00 Federal Assistance Grant Various Public Safety
Appropriating $13,456.00 Cumulative Sewer & Building Fund
Appropriating $14,297.00 Federal Assistance Grant Various Law Enforcement Programs
Appropriating $150,000.00 from Federal Assistance Grant Fund to a New Federal Assistance Program and Account
Appropriating $16,300.00 From Cumulative Capital Improvement Fund and $146,700.00 Local Road & Street Fund
Appropriating $16,850.00 Federal Assistance Grant Various Public Works Programs
Appropriating $17,000.00 Federal Assistance Grant Various Public Works Programs
Appropriating $17,500.00 General Assistance Grant Fund Installation of Gasoline Dispensing Equipment
Appropriating $19,869.57 Cumulative Sewer Building and Sinking Fund
Appropriating $2,918.38 Federal Assistance Grant Various Public Works Programs
Appropriating $20,000.00 Federal Assistance Grant Various Public Park Programs
Appropriating $20,000.00 Federal Assistance Grant Various Public Parks Programs
Appropriating $201,925.00 Federal Assistance Grant Fund Civic Center Authority
Appropriating $22,000.00 Cumulative Sewer Building and Sinking Fund
Appropriating $22,000.00 General Revenue Sharing Various Public Safety Programs
Appropriating $23,495.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $23,750.00 Federal Assistance Grant Fund Various Human Resources Programs
Appropriating $244,268.00 Federal Assistance Grant Various Public Works Programs
Appropriating $25,000.00 General Revenue Water Works
Appropriating $26,730.00 Local Roads and Streets Fund
Appropriating $28,500.00 Federal Assistance Grant Various Public Works Programs
Appropriating $28,590.41 as Payment City's Assessment "Meadowview Sanitary Sewers"
Appropriating $3,000.00 from the Parking Garage Fund
Appropriating $306,365.58 As Payment "Portage Gardens Local Sewers and Linden Avenue Trunk Sewers
Appropriating $31,500.00 Federal Assistance Grant Various Public Parks Programs
Appropriating $37,000.00 Federal Assistance Grant Various Public Works Programs
Appropriating $37,500.00 Federal Assistance Grant Various Public Works Programs
Appropriating $39,173.00 Federal Assistance Grant Various Human Resources Programs
Appropriating $40,000.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $40,500.00 Local Road and Street Fund and $4,500.00 Cumulative Capital Improvement Fund
Appropriating $438,000.00 Federal Assistance Grant Various Human Resources Programs
Appropriating $44,800.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $46,000.00 Federal Assistance Grant Various Public Works Programs
Appropriating $46,126.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $497,000.00 Federal Assistance Grant Civic Center Project
Appropriating $5,599.93 Cumulative Sewer Building and Sinking Fund
Appropriating $5,991.27 Federal Assistance Grant Various Law Enforcement Programs
Appropriating $53,000.00 Sewage Works Purchasing Sewer Cleaning Equipment
Appropriating $58,245.00 Federal Assistance Grant Various Public Safety Programs
Appropriating $59,6020.00 Federal Assistance Grant Various Public Works Programs
Appropriating $6,000.00 Federal Assistance Grant Various Park Department Programs
Appropriating $6,800.00 "Current Obligations from the General Sinking Bond Fund
Appropriating $600.00 Parking Meter Fund to Account "Repair Parts"
Appropriating $62,500.00 in the Cumulative Capital Improvement Fund Budget
Appropriating $67,031.67 Cumilative Sewer Building and Sinking
Appropriating $7,772.00 Federal Assistance Grant Various Legal Department Programs
Appropriating $70,000.00 Local Road & Street Fund
Appropriating $72,680.00 Federal Assistance Grant Fund Various Human Resources Programs
Appropriating All Parking Garage Fees and Funds 1975
Appropriating All Parking Meter Fees and Funds 1975
Appropriating Moneys Defraying the Expenses Bureau of Sanitation 1975
Appropriating Moneys Defraying the Expenses Solid Waste 1975
Appropriating Moneys Defraying the Expenses Waste Water Treatment Plant 1975
Appropriating Moneys Water Works 1975
Appropriating the sum of $110,000.00 Cumulative Sewer Building and Sinking Fund
Approving a Contract Bureau of Water & Meade Electric Co $15,249.75
Approving a Contract Bureau of Water and AH Choitz and Co
Approving a Contract Bureau of Water and L.O. Gates Cheverolet
Approving a Contract Bureau of Water and McCullough & Associates $14,157.24
Approving a Contract Bureau of Water Badger Meter, Rockwell $91,229.00
Approving a Contract Bureau of Water Midwest Chlorine Corp and Fisher-Calo Chemical $22,694.00
Approving a Contract City of South Bend and Landmark of Indiana $163,000.00
Approving Revenue Bonds August K Brenner and Doris Ann Brenner
Approving Revenue Bonds Curtis Products Inc
Approving Revenue Bonds Eugene C Muia
Approving Revenue Bonds Gates Realty Inc
Approving Revenue Bonds General Sheet Metal Inc
Approving Revenue Bonds Industrial Packaging Corp
Approving Revenue Bonds Industrial Realty
Approving Revenue Bonds K & F Manufacturing Co Inc
Approving Revenue Bonds Koontz-Wagner Electric Co Inc
Approving Revenue Bonds Miles Distributing Inc
Approving Revenue Bonds National Computing Corp
Approving Revenue Bonds Osthimer Inc
Approving Revenue Bonds Prairie Co
Approving Revenue Bonds Real America Development Inc
Approving Revenue Bonds Simon Bros. Inc
Approving Revenue Bonds Thermoplastics Inc
Authorize Revenue Bond Koszego Leather and Vinyl Products Inc
Authorize Revenue Bond Pertaininf to Ironwood Partnership
Authorize Revenue Bond R Lee Fagen, DBA Fagen Enterprises
Authorizing Economic Development Bonds American Chain & Cable Co $3,800,000
Authorizing the Transfer of $950.77 Municipal Bonds to the General Sinking Fund
Chapter 5 Animals (Vetoed)
Confirming Contract Wastewater Commissioners and H DeWulf Mechanical Contractors Inc $161,706.00
Creating a Division of Community Development
Establishing Century Center Construction Fund Appropriating $616,000.00 from the Civic Center
Establishing Fair Campaign Practices within the City of South Bend
Establishing New Account "Other Equipment" Transferring $7,000.00 to this new Account
Establishing New Account Other Contractual Services Transferring $4,000.00 from Services Personal
Establishing the South Bend Commission on the Status of Women
Establishing the South Bend Crime Commission
Fixing Maximum Salaries and Wages Appointed Officers and Employees 1975
Fixing the Annual Pay of Firemen for the Calendar Year 1975
Fixing the Annual Pay of Policemen for the Calendar Year 1975
Granting an Easment Chicago South Shore Along Westmoor St Lay Railroad Tracks Across Streets
New Account Properties within the Federal Assistance Grant Program "Park Department"
Regulating Salaries Paid to City Officials & Employees (Vetoed)
Repeal Ordinance NO. 5650-74 City Laws Applying to Bicycles (Vetoed)
Rezone - Linden Ave.
Rezone - Southwest corner of Michigan and Chippewa
St Joseph Brown Building Co Sale $995,000.00 Revenue Bonds Economic Development Project
Transfer of Funds $125,000.00 from Other Materials "Land"
Transferring $1,000.00 Accounts within the Human Resources Budget
Transferring $1,000.00 Publication of Legal Notices
Transferring $1,488.02 Park Bond Fund to Park Bond Redemption Fund
Transferring $1,500.00 "Other Equipment", to "Other Institutional and Medical Supplies"
Transferring $3,000.00 Insurance to Account Supplies, Zoo Feed
Transferring $3,726.00 Services Personal Reapirs of Equipment within the Fire Department Budget
Transferring $3,900.00 Municipal Bonds of 1971 to General Sinking Bond Fund
Transferring $5,000.00 from Service Personal to Fire Department
Transferring $7,000.00 Accounts within the Bureau of Streets
Transferring $8,400.00 from "Service Personal", "Other Equipment", "Summer Recreation Program"
Transferring $8,700.00 Current Obligations Electric, Telephone $700.00
Transferring $9,500.00 Being within the Bureau of Solid Waste Budget
Transferring Funds Between various Road and Street Projects
Transferring Funds Various Accounts within the Fire Department
Transferring Various Amounts to Various Funds Weights & Measures
Zoning - 201 E Ireland Rd
Zoning - 219 E Ireland Rd Amended
Zoning - 2530 Kenwood
Zoning - 2822 South Michigan Street
Zoning - 4201 South Main St
Zoning - 900 E Ireland Rd
Zoning - Intersection of Ireland Rd and Penn Railroad
Zoning - Ironwood Dr & Scottsdale
Zoning - Lathrop & Bendix
Zoning - Osboune & George Streets
Zoning - So Side of Ireland Rd Amended