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Additional Appropriation $133,860.00
Additional Appropriation $140.00 Building Department
Additional Appropriation $3,700.00 Parking Meter Fund "Printing"
Additional Appropriation $400.00 General Fund "Film and Blueprinting
Additional Appropriation $8,030.00 Federal Assistance Grant Fund Motor Vehicle Highway Equipment
Additional Appropriation and Transfer of $12,000.00 General Park Fund
Adopted 1974 Annual Budget as Amended
Amend Section 15-16 Milage Rates
Amending Chapter 11 BOCA Housing
Amending Chapter 13 Burning of Leaves Veto Overridden
Amending Chapter 13 Offenses
Amending Chapter 2 Administration
Amending Chapter 2 Administration Call to Order
Amending Chapter 2 Human Rights Commission
Amending Chapter 20 Disposition of Non-Moving Traffic Violation Fees
Amending Chapter 20 Vehicles and Traffic
Amending Chapter 21 City Code Relztive to Historic Preservation
Amending Chapter 5 Animals
Amending Chapter 6 Buildings Functional Physically Handicapped
Amending Chapter 9 BOCA Code
Amending Code Regulation of City-Owned Vehicles
Amending the Title of Ordinance No #5578-73 Transfer of Funds
Annexing Areas in Clay & German Township
Annexing Crest Manor Development
Annexing NE Corner of Ireland & Ironwood
Appropriate $108,000.00 Local road and Street Fund and $12,000.00 Cumulative Capital Improvement
Appropriate $123,750.00 Local Road and Street Fund $41,250.00 Cumulative Capital Improvement
Appropriate $153,000.00 Local Road and Street Fund Miami Street and Ireland Rd
Appropriate $169,000.00 Cumulative Sewer Building & Sinking Fund Ironwood & Ireland Sewers
Appropriate $18,000.00 Local Road and Street Michigan Street
Appropriate $205.000.00 Local Road and Street Fund $200,000.00 Topics Federal Aid Fund
Appropriate $251,500.00 Local Road and Street Fund and $187,500.00 Topics Program Fund
Appropriate $42,750.00 Local Road & Street Fund $14,250.00 Cumulative Sewer Building
Appropriate $54,000.00 Local Road and Street Orange Street
Appropriate $64,800.00 Local Road and Street Fund $7,200.00 Cumulative Capital Improvement
Appropriate $825,000.00 Local Road & Street Fund and $275,000.00 Cumulative Sewer Building & Sinking Fund
Appropriating $10,000.00 Federal Assistance Grant Various Administrative Programs
Appropriating $10,500.00 Sewerage Works Purchase Sludge Farm Tractor
Appropriating $110,801.00 Federal Assistance Grant Fund Department of Human Resources & Economic Development
Appropriating $200,237.34 Federal Assistance Grant Fund Various Public Works, Parks and Public Safety Programs
Appropriating $25,000.00 General Revenue Sharing various Public Safety Programs
Appropriating $3,798.02 Cumilative Sewer Building and Sinking Fund
Appropriating $3,800.00 Federal Assistance Grant Fund Various Public Safety Programs
Appropriating $313,000.00 Federal Assistance Grant Fund Various Public Safety Programs
Appropriating $32,438.00 Cumulative Sewer Building & Sinking Fund
Appropriating $330,000.00 Cumulative Sewer Building and Sinking Fund
Appropriating $393,983.00 Federal Assistance Grant fund Various Public Works Programs
Appropriating $40,921.25 Sewage Works Construction Fund
Appropriating $5,000.00 Federal Assistance Grant Fund for Various Legal Programs
Appropriating $50,000.00 "Properties" for a Capital Improvement Project Building Shed
Appropriating $50,000.00 Federal Assistance Grant Fund Various Administrative Programs
Appropriating $500,000.00 Federal Assistance Grant Fund for Various Civic Center Expenses
Appropriating $51,912.00, $3,037.00, $2,500.00 $57,449.00 Federal Assistance Grant Fund
Appropriating $56,000.00 Federal Assistance Grant Fund Municipal Services Faculity Programs
Appropriating $750,138.00 Federal Assistance Grant Fund Various Public Works Programs
Appropriating $87,000.00 Federal Assistance Grant Various Municipal Services Facility Programs
Appropriating all Parking Garage Fees & Funds Year 1974
Appropriating All PArking Garage Fees and Funds for the Uses and Purposes set Forth Therein
Appropriating all Parking Meter Fees 1973 to Board of Public Works
Appropriating Intresr Earned Certificates of Deposit Park District Bonds $ 15,164.35
Appropriating Moneys Defraying the Expenses Bureau of Sanitation 1974
Appropriating Moneys Defraying the Expenses Bureau of Solid Waste 1974
Appropriating Moneys Defraying the Expenses Waste Water Treatment Plant January 1, 1974
Appropriating Moneys Water Works Fiscal Year 1974
Appropriating Parking Garage Fund $3,000.00 and $2,000.00 Parking Garage Budget
Appropriating Parking Meter Fees & Funds 1974 Board of Public Works of the Civil City
Appropriating the Sum of $48,000.00 from Cumulative Sewer Building and Sinking Fund
Approving a contract Between Bureau of Wastewater A.H. Choitz & Co. $13,500.00
Approving a Contract Between Bureau of Water Gates Cheverolet Corp $5,210.00
Approving a Contract Between Wastewater Treatment Plant and FMC Corporation $13,964.00
Approving a Contract Bureau of Inland Chemical Corp $19,774.50
Approving a Contract Bureau of Wastewater Packard Instrument Co $7,268.00
Approving a Contract Bureau of Wastewater Varian Instrument Division $9,744.40
Approving a Contract Bureau of Water Badger Meter Inc $41,492.00
Approving a Contract Bureau of Water Clow Corp $166,069.42
Approving a Contract Bureau of Water Hersey Products Inc $66,040.00
Approving a Contract Bureau of Water Rockwell Manufacturing $16,140.00
Approving Revenue Bonds Great Northern Distributors Inc
Approving Revenue Bonds Hill White Truck Sales Inc
Approving Revenue Bonds Ironwood Partnership
Approving Revenue Bonds J & S Realty
Approving Revenue Bonds Mid-West Producers's Creameries Inc
Approving Revenue Bonds Pertaining to KLMS Realty
Approving Revenue Bonds Ridgedale Nursing Home
Authorize Revenue Bonds - Michiana Beverages Inc
Authorize Revenue Bonds - Sergio Inc
Authorizing $3,900,000 Revenue Bonds Allied Products Corp Project
Authorizing Revenue Bonds - A H Choitz & Co Inc
Authorizing Revenue Bonds - August G Vanderheyden
Authorizing Revenue Bonds - Automatic Molded Plastics Inc
Authorizing Revenue Bonds - Ed J Luther Beverages Inc
Authorizing Revenue Bonds - FBT Bancorp Inc
Authorizing Revenue Bonds - International Bakes Services Inc
Authorizing Revenue Bonds - Pertaining to Curtis L Crofoot
Authorizing Revenue Bonds - Pertaining to First Bank & Trust Co
Authorizing Revenue Bonds - R Lee Fagen d/b/a Fagen Enterprises
Authorizing Revenue Bonds - Singer General Tire Inc
Authorizing Revenue Bonds - Wells Electronics Inc
Authorizing Revenue Bonds Pertaining to K & F Manufacturing Co
Authorizing Revenue Bonds Pertaining to Koszegi Leather & Vinyl Products Inc
Creating a Civic Center Endowment Fund
Creating a New Account Other Supplies within Federal Assistance Grant Program and Transferring $10,000.00
Establishing a Civic Center Authority
Establishing a new Schedule Rates and Charges for Waterworks
Establishing a Schedule of Charges for Services Septic Tank Dumpings
Fixing Salaries Appointed Officers & Employees 1974
Fixing the Annual Pay of Fireman Year 1974
Fixing the Annual pay of Policemen 1974
Prohibiting certain Acts and Activities Regulating Uses in the Parks
Providing for the Receiving and Conveying of a Gift of Real Property
Repeal Ordinance No 5053-69 Presence of Minors on Public Streets Between Certain Hours
Repeal Ordinance No. 5417-72 Revenue Bonds - Gentner Packing Co Inc
Repealing Chapter 11 Article 2 Human Rights
Requiring Certain City Departments to Submit Budgets to Common Council
Revenue Bonds DAAL Realty
Revenue Bonds Eslinger TV & Appliances Inc
Tax Levy 1974
Transfer Motor Vehicle Highway Budget $4,000.00 Various Accounts
Transfer of $200.00 within the City Cemetery Department Budget
Transfer of Funds $16,524.17 Local Road and Street Fund $5,508.05 Cumulative Capital Improvement
Transfer of Funds Bureau of Weights and Measures $75.00 and $25.00 and $100.00
Transfer of Funds City Clerk Budget $150.00 Repairs of Equipment Official Records
Transfer of Funds Fire $150.00 and $2,000.00 and $ 2,150.00
Transfer of Funds Fire Department Budget $5,880.00, $2,500.00, $3,380.00
Transfer of Funds Morris Civic Auditorium Budget $408.00 and $158.00 and $ 250.00, $500.00
Transfer of Funds Police Department $3,000.00
Transfer of Funds Police Department Budget $5,500.00
Transfer of Funds within Fire Department Budget from "Services Personal"
Transfer of Funds within the Fire Department Budget $3,361.07
Transfer of Funds within Various Departmental Budgets General Fund
Transferring $4,000.00 "Wages" and $8,000.00 "Services Personal-Extra and Overtime"
Transferring $45,000.00 Between Various Accounts "Bureau of Solid Waste"
Transferring $6,000.00 All Accounts Being within the Controllers Budget
Transferring $72,711.00 in the Federal Assistance Program within the Drug Abuse Program
Transferring Funds Federal Assistance Grant Program Bureau of Solid Waste Various Amounts
Trnsfer of $7,116.81 Municipal Bonds of 1962 General Sinking Fund
Zoning - 1147 Hickory Rd
Zoning - 150 W Angela Blvd
Zoning - 1989 Prairie Ave. Ordinance Null & Void
Zoning - 2017 W Dubail St
Zoning - 2813-2705 S Michigan
Zoning - 3414 E Jefferson Blvd
Zoning - 4004 S. Michigan
Zoning - 4134 Lincolnway West
Zoning - 4134 Lincolnway West (2)
Zoning - Merry Avenue Project
Zoning - NW Corner of Ireland & Ironwood
Zoning - On S. Side of Ireland Road
Zoning - Souteast End of the Broadmoor Shopping Center
Zoning - Southwest Corner of Ironwood Dr and Ridgedale Road
Zoning - West Side of Miami near Scottsdale