07-24-67 v MINUTES OF THE REGULAR MEETING OF THE ATLANTIC BEACH CITY
COMMISSION HELD AT THE CITY HALL ON MONDAY, JULY 24, 1967 AT
8:00 P. M.
Present:
William 8. Howell, Mayor--Commissioner
John W. Weldon
Donald L. Goodling
W. J. Parks, Jr. , Commissioners
and
Frank Thompson, City Attorney
Murray H. Bennett, City Manager
Betty Jean Barnes, Assistant City Clerk
Absent: Louis C. Holloway, Jr. , Commissioner
Adele S. Grage, City Clerk (Out of City)
The meeting was called to order by the Mayor-Commissioner, Mr.
Howell.
The Invocation was given by Commissioner Parks.
Minutes of the meeting of July 10, 1967 were approved as written
upon motion of Mr. Goodling, seconded by Mr. Weldon and carried.
Minutes of the special meeting of July 15, 1967 were approved as
written upon motion of Mr. Goodling, seconded by Mr. Weldon and
carried.
Mayor Howell recognized visitors and called for any business from
the floor not on the Agenda.
Mrs. C. G. Senf expressed thanks to young man who came to the
rescue of her three girls - but she also questioned it taking 15
minutes for the life guard truck which was stationed at Atlantic
Beach Hotel pier to arrive after the life guard had lowered his
flag at the 14th Street tower. Captain Gill Wells advised the
tower at that location was broken and they had to take flag down
to repair and he thought that was reason flag was down, but when
he looked through the glasses he saw guard wasn 't on tower and
he then took truck. Mrs. Senf also stated she had seen the guard
at another time surfing. The Captain advised he did not know about
this and requested that people report such incidents. He stated
they need more guards and do not have enough run-out warning signs
to cover area. The Chief advised he is covering the incident
in his monthly report but that we do need more men and signs as
we do not have adequate protection. There was lengthy discussion
following which it was recommended that Chief Vogel and the
Captain confer with the American Red Cross, take guidance from
them and that the Chief make report and recommendations at next
meeting.
Minutes 7/24/67 Page #2
On questioning, it was brought out that Neptune Beach and Atlantic
Beach have a working agreement of mutual aid in emergencies such
as wrecks, fires, drownings, etc. The Chief advised that the two
Beaches operate on same radio frequency which gives the equivalent
of two Police Departments in cases of emergency.
Mr. Howell called for any further business from the floor. There
was none.
A letter was read from East Duval County Mosquito Control District
acknowledging our letter of appreciation for the work they have
done in Atlantic Beach. It was received for information and filing.
Also a letter was presented from our Life Guard Captain Wells
requesting two (2) more men for Beach Patrol. Mr. Goodling thinks
should definitely take under advisement, and moved that it be
referred to a Committee and that they make necessary budget adjust-
ment, seconded by Mr. Parks and carried. The Mayor appointed Mr.
Goodling as Chairman, with Chief Vogel, the Beach Patrol Captain
and the Acting City Manager.
Ordinance #20-67-14 was presented for consideration on second and
final reading, having been posted as required by Charter. Mayor
Howell read the Ordinance in full, then declared the meeting in
session for Public Hearing on said Ordinance. As no one appeared
either for or against the Ordinance Mayor Howell declared the
Public Hearing closed.Mr. Parks moved passage of Ordinance
#20-67-14 on second and final reading, seconded by Mr. Goodling.
Mr. Goodling stated Ordinance is to increase accounts in Public
Safety Department which are depleted and to balance by increasing
Account #104 which is already ahead of budget estimate - have
covered in his report - not an unsound move. Mr. Weldon inquired
as to length of time prisoners are kept, when are they turned over
to County, do we keep record of prisoners and where do we get
meals. The Chief advised longest sentence is approximately 30 days,
misdemeanors in our Court, felonies turned over to County. We
keep a card file on each prisoner and we get most of meals from
Silver 's Drug Store and on occasion from Gourmet Restaurant.
Following discussion the Mayor put the question and the vote was:
Aye: Goodling, Parks, Howell
Nay: Weldon
Absent: Holloway
Whereupon the Mayor declared the Ordinance passed on second and
final reading.
•
Minutes 7/24/67 Page #3
Bids were received on Primary Pump Controls as follows:
Donaldson Electric Company $1, 180.00
Bill Thompson Electric Company 950.00
Mr. Goodling moved they be referred to Committee for report at
next meeting, seconded by Mr. Weldon and carried. Mr. Parks was
named as head of Committee.
Bids were received on Chlorinator and accessory items as follows:
Fischer and Porter $1, 705.00
Wallace-Tiernan 1, 871.00
Mr. Goodling moved bids be referred to Committee for report at
next meeting, seconded by Mr. Weldon and carried. Mr. Parks will
head the Committee.
Bids were received on pipe for East Coast Drive drainage as
follows:
Peninsular Supply Company $1, 839.60
Vulcan Material 2, 345.60
Hardy Supply Company Quotation itemized but
not totaled.
All State Supply Company 2, 499.00
Mr. Goodling moved bids be referred to Committee to report back at
next meeting, seconded by Mr. Weldon. It was noted Vulcan bidding
on reinforced concrete pipe. Mr. Howell advised want Committee
report but before get into will have to know something about cost
to put into ground plus catch basins, etc. Mr. Goodling suggested
Mr. Hilliard serve on Committee. Mr. Howell then put the question
and the motion carried. The Committee appointed was Mr. Parks and
Mr. Hilliard.
The City Manager presented his report with recommendations. Copy
of report is attached hereto and made a part hereof.
Mr. Goodling stated very complete report - some food for thought.
Mr. Weldon stated he would like to thank him for bringing to our
attention - some are known and would like to do something about -
in any event good to have brought together in form of recommenda-
tion. Mr. Howell advised will be filed for information.
Mr. Bennett reported that we have completed our part of sewer line
to Reva Mae Silmon's property.
Minutes 7/24/67 Page #4
Mr. Bennett recommended a reduction of $90.00 in the sewer service
charge for third quarter on Sea Turtle Restaurant bill as the
increase in water usage was for watering down during construction
and did not go through sewer. Their April 1st sewer charge was
$133.05, and this quarter it is up to $230.05, and believe increase
due primarily to water used on construction. The sewer charge
by Ordinance is based on excess water used plus base charge of
$7 .50. Last quarter their excess bill was $125.55 and this
quarter $222.75. Mr . Goodling moved that the third quarter sewer
bill be adjusted in accordance with City Manager 's recommendation
which was to reduce bill by $90.00, seconded by Mr. Weldon. Mr.
Robert Cook, Sea Turtle Manager, stated he feels this is fair. Mr.
Gene Richardson of Place By the Sea asked if going to adjust their
bill for sprinklers as water does not go in sewer. Mr. Howell
advised Sea Turtle situation is out of ordinary. Mr. Parks
would like for minutes to show that it is strictly a mitigating
circumstance in opinion of Commission in view of construction
being accomplished. Mr. Howell then put the question and the
motion carried.
Mr. Thompson reported on Motel water and sewer, that cannot compel
to tie into City water, if curtail will have to do because of
health and general welfare of community - water supply is subject
to State Board of Health, just as ours is, don't think we can
make them tie onto our lines. We can require them to tie onto
our sewer system which we did; when talking about water, that is
under State Board of Health and a different category altogether.
Mr. Goodling advised that reason for brining up was unnecessary
burden put on sewage treatment plant due to swimming pool, and
suggests City Manager look into this and report at next meeting
with some suggestions for either charging owners of swimming
pools commensurate with load putting on sewer system or urge to
make other arrangements for dumping water. Mr. Parks agreed.
There was a long discussion on recirculation, splash-over and
where it goes. Mr. Weldon thoroughly in accord with Mr. Goodling
and advised we do have the power to prevent overload of sewer
system, in this case would like to suggest we investigate this
matter and if unwilling to connect with sewer can make appropriate
charge for overload of sewer. Mr. Howell thinks we should apply
to all pools, also we do not have Ordinance regarding installation
or inspection of pools. The City Manager is to report back at
next meeting.
Mr. Colin Tucker reported we have had no word back from OEP on
beach erosion.
•
' - Minutes 7/24/67 Page #5
Mr. Goodling presented the semi-annual budget report and called
special attention to second page as regards to property on Ahern
Street on which County certificates have been issued for County
taxes. There is approximately $2, 600.00 due City on these 3
parcels for taxes and special assessments. Mr. Thompson verified
that our taxes are collectable but not special assessment liens.
The matter was discussed and it was suggested that we provide for
a sewer connection fee in such instances, if necessary. Mr. Weldon
moved that the City Attorney be requested to make prompt investiga-
tion of all delinquent taxes and special assessments in the City
and report back recommendations to Commission at earliest possible
moment, seconded by Mr. Parks and carried.
Mr. Goodling called attention to fact on Call for Bids motion
provided for it to be paid from Account #1411 which is for basic
day to day operation, and should be from Account #1501 for such
purchases as Chlorinator. Can be corrected at time bid is accepted
and approved. He advised general financial situation appears
good, but recommends a study of purchasing practices and a firm
purchasing policy established. Mr. Weldon complimented Committee
on report, very helpful to Commission and feels to our interest to
have fixed purchasing policy, and recommended someone be delegated
to draw up policy. Mr. Howell requested Mr. Goodling to work on
same, and Mr. Goodling asked that City Clerk-Treasurer and City
Manager assist. The Mayor so directed.
Approval was given for substitution of Mrs. Cliff Dunlop and
Mrs. Martha Bradshaw as Inspectors for August 8th Election in
place of Mrs. Cynthia Whittlesey and Mrs. Shirley Gable who
expect to be out of City, upon motion of Mr. Weldon, seconded by
Mr. Goodling and carried.
Approval was given to pay Inspectors for election $1. 25 per hour,
and the Clerk $1.50 per hour upon motion of Mr. Goodling, seconded
by Mr. Weldon and carried. Election expenses are included in
budget.
Chief Vogel presented dockets for July 17th and 24th, 1967 and
Fire Department report for June 1967.
Chief Vogel advised there is a need for 6 life buoys which
will cost $17 . 90 each. He also advised that trustee prisoners are
used by Public Works Department for grass cutting and get three
meals a day, but if do not work get two meals.
Mr. Howell advised finds application in Commission papers for
Certificate of Convenience and Necessity for Mayport Cab Service.
Mr . Weldon moved fix date for Public Hearing on August 14th at
8:00 P. M. , seconded and carried. All licensed cab companies to
be notified.
Minutes 7/24/67 Page #6
Mr. Bennett thanked Commission for being with City past year - it
has been a pleasure to work with Commission and personnel and is
going to take a rest. Mr. Weldon expressed appreciation of the
Commission for work done by City Manager during past year and
wished him well. Concurred in by Mr. Parks. Mr. Goodling moved
appropriate resolution be drawn with copy to Mr. Bennett, seconded
by Mr. Weldon and carried.
Mr. Parks advised he has had complaints about noise of cars start-
ing up again at the 4-way stop corners of East Coast Drive and
10th Street and requests that consideration be given to modifying
the 4-way stop. It was suggested have only caution sign on East
Coast Drive for traffic going North as that visibility is good.
Chief Vogel advised can do.
Chief Vogel presented a written report on enforcement of Dog
Ordinance in line with Commissioner Holloway 's request. The report
stated the police are powerless to capture dogs that do not want
to be caught due to fact that we do not have the proper equipment
or manpower. Copy of report is attached to these minutes and
made a part hereof. The matter of dart gun was discussed and it
was agreed to obtain gun from Humane Society on trial basis and
see how it works as is especially needed in cases of roving packs
of dogs.
Mr. Howell advised Mr. Bennett will be leaving Saturday and need
to appoint Acting City Manager effective Saturday, or meet
Saturday and appoint one. Mr. Parks moved a Special Meeting be
set for Saturday morning, July 29th at 8:00 A. M. , seconded by
Mr. Weldon and carried.
There being no further business, Mayor Howell declared the meeting
adjourned.
4 /
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irWilli, S. owell
Mayor-Commissioner
Attest:
Betty 4eaFrf Barnes, Assistant City Clerk
CITY OF . . .
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R. C. VOGEL, CHIEF
Police Dept. - Fire Dept.
•
July 24, 1967
TO: CITY COT 2•iISSION
FROM: R. C. Vogel, Chief of Police
RE: DOGS
In compliance with Commissioner Holloway' s request that I
furnish a report on the enforcement of the dog ordinance,
I herewith submit the summary for the month of July.
We have answered fifteen calls involving persons bitten by
dogs. We have answered twenty-one calls regarding complaints
on dogs disturbing the peace - howling at night, straying on
other than owners property, relieving themselves on private
property. The life guards have reported between ten and
thirty dogs daily on the beach.
The majority of dogs in our City are unlicensed and, as I
have pointed out on numerous occasions, we are powerless to
capture dogs that don' t want to be caught due to the fact
that we do not have the proper equipment or manpower.
It was necessary for me to shoot a dog evidently suffering
from snakebite. Several of the dogs we picked up and turned
over to the Humane Society were diseased with distemper,
mange, etc.
R. C. Voge
Chief of Police
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CITY MANAGERS REPORT July 24, 1967
During the last two weeks much of the time of the Public Works
Department has been spent in mowing the City Parks and road
shoulders. The lot clearing is about 60% completed.
We have also changed the location of the fire hydrant at the
intersection of Sherry Drive and Atlantic Boulevard.
It was necessary to remove the 6 " water meter at the Hotel and
take it in to Thomasville, Georgia for repairs, and this was
replaced after being out of service for two days.
We have received the permit for installing the 8 " water line
across Atlantic Boulevard at Seminole Road, and I have been
advised that the permit for the 6 " water line at Sherry Drive
and Atlantic Boulevard will be approved within the next day or
so.
After more than a year as City Manager of Atlantic Beach, I
would like to make a report and recommendations on the require-
ments and improvements as I see them:
1. PERSONNEL
The Administrative Departments should have one more clerk
because there is too much of a load for the present four
employees.
There should be a draftsman working under the City Manager
who is responsible for making up drawings showing improve-
ments to buildings and water, sewer, drainage and street
improvements.
I would suggest that the Public Works Department have two
or three more laborers because the work load of this
Department is very heavy.
I would suggest that another patrolman be added to the
Police force so as to take care of the additional Ordi-
nances that are now on the books.
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City Manager 's Report
Page #2
July 24, 1967
2. ADDITIONS TO THE PHYSICAL PROPERTIES OF THE CITY
I would suggest that another approximately 40 feet be
added to the back end of the City Hall which will con-
sist of rest rooms, a storage room for records, and
two small offices and drafting room for the City Manager s
Department. This would eliminate the present City
Manager 's office, making the present meeting room ample
size for Commission meetings. This would eliminate the
present back door and men's rest room so as to increase the
size of the Administrative office. The ladies ' rest room
would be removed and this would be the hallway to the new
addition.
We should have sheds built so that our rolling stock would
be out of the weather when not in use because there is
considerable deterioration to this equipment at the pre-
sent time.
3. WATER PLANT
The installation of the new chlorinator and the controls
to the pumps which are out for bids at this time would
greatly improve this system and make it practically auto-
matic.
There is a considerable amount of old undersized water
pipe within the City limits that should be replaced, and
the water system within the City limits should have valves
so as to zone the areas in case of a broken water main or
other troubles that may develop. I feel that fire hydrants
should be installed at the intersection of 8th and 9th
Streets at East Coast Drive.
The interconnections with the City of Neptune Beach will
give us assurance that we can have a water supply at
any time if trouble develops in our own system. It
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City Manager 's Report
Page #3
July 24, 1967
3. WATER PLANT Cont'd.
also interconnects the three Cities ' water supply
since Neptune Beach is now connected with Jacksonville
Beach.
The contract for the Mayport Road improvements will
probably be let within the next few months therefore
we should install additional water lines to serve
the Mayport Road area during this construction.
4. SEWER PLANT
Considerable work must be done to the Sewer Plant, and
I believe that a new circulating pump for the sludge
from the digester should be installed to handle 300
to 500 gallons per minute. To keep a uniform tempera-
ture within the digester I would suggest that heat
exchanges be installed in the inlet pipe from the
digester and the outlet pipe to the digester. A hot
water boiler should be installed to be used as the
heating medium to keep the temperature in the digester
uniform. The necessary controls should be added to
this system.
The City of Atlantic Beach has the opportunity to have
one of the best secondary clarifiers in the area, and
if they would purchase approximately 100 acres of the
marshland at the end of Levy Road and dredge out this
area to four or five feet below low tide, they could
have a 75 to 80 acre lake for this clarifier. When
building the Mayport Road, additional sewer lines
should be installed to take care of the needs West of
Mayport Road for a number of years to come.
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City Managers Report
Page #4
July 24, 1967
5. DRAINAGE
The drainage system for the City has been greatly
improved in the last year and we now have a dam in the
outlets to the lagoons and when this dam is opened up
we can drop the water table in the lagoons by at least
2 feet within 12 hours. We already are asking bids on
pipe so that the Public Works Department can install
this pipe along East Coast Drive to take all the water
East of East Coast Drive North instead of bringing it
down through Park Terrace and Selva Marina.
We already have the culvert in on Atlantic Boulevard
so that there should be no bottleneck on taking the
water from the Royal Palms area. I have contacted the
engineers regarding draining the area West of Mayport
Road directly to the Intracoastal Waterway instead of
bringing it down through the Royal Palms area.
6. SIDEWALKS
The sidewalks within the City of Atlantic Beach are in
a deplorable state, and I have talked with a number of
property owners and they are willing to pay for the
materials if our Public Works Department will install
these sidewalks. I have suggested to the Board of
Education that if they will furnish the material we
will install the drain tile and a sidewalk along Sherry
Drive next to their property line and will widen the
street at this area so as to eliminate the bottleneck
back of the school both in the morning and afternoon
during the school session. I would suggest that a woman
patrolman be hired during the morning opening hours and
afternoon closing hours to police the street in front
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Page #5
July 24, 1967
of the school so that our regular police can be used
for their regular work.
Respectfully submitted,
Murray H. Bennett
City Manager
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• •
RESOLUTIQN NO. 67-7
WHEREAS, Murray H. Bennett has served the City of Atlantic
Beach, Florida, as City Manager from July 5, 1966 to July 31,
1967, and
WHEREAS, he has conscientiously performed the duties of
his office, and whereas for personal and health reasons, he
has resigned his position,
NOW, THEREFORE, BE IT RESOLVED by the City Commission of
the City of Atlantic Beach, Florida,
THAT Mr. Bennett be commended for the services rendered to
the City of Atlantic Beach; and
THAT recognition of such service be spread upon the minutes
of this body and that a copy of this Resolution be presented
to Mr. Bennett as a token of appreciation from the people of
the City of Atlantic Beach.
* * * * *
Adopted by the City Commission of the City of Atlantic
Beach, Florida, on July 24, 1967 .
Attest:
ad-,- -- i - °
Adele S. Grage, City Cler Of
(SEAL)
SEMI-J.NNUAL FINANCIAL REPORT
JULY 24, 1967
REVENUE
1. Attached are revenue comparisons (budget vs. actual) through
June 30, 1967 for General Fund Account #100, Water Revenue
Account #1100 and Sewer Fund Account #2000.
2. The 1966 Audit reveals Account #106, "Electric Franchise "
exceeded budget estimate by approximately 60%. However it
should be pointed out that approximately $5, 000.00 of this
amount was income from 1965, not received until 1966. There-
fore the 1967 budget estimate is correct.
3. With reference to this same Account #106 for 1967, per attached
tabulation, we have received July 1, 1967 the first 6 months
collection in the amount of $5,466. 13 which indicates the 1967
estimate is in line.
4. The 1966 Audit again confirms no financial assistance from
Duval County was received and therefore Account #111,
"Miscellaneous Collection" was substantially below estimate.
5. The 1966 Audit reveals Account #112, "Telephone Franchise"
was approximately 50% short of budget estimate. However, this
is due to fact that last half of 1966 amount due was not
received until 1967 . This is confirmed by attached 1967
comparison which shows income over budget estimate.
6 . The 1966 Audit reveals Account #1600 "Utility Revenue Savings"
account in the amount of $27,443.52 earned $1, 077 . 99 interest
during 1966.
A similar savings account was established in Account #2000
"Sewer Fund" in the amount of $8, 106.93.
These two accounts will realize approximately $1500.00 total
additional revenue annually from interest earned.
7 . It is noted that action is being presently considered by the
City Commission to increase Account #104 "Fines and Forfeitures
by $1000.00 to total $22,000.00. This is to offset increased
appropriations in Public Safety Account #300.
SEMI-ANNUAL FINANCIAL REPORT
JULY 24, 1967
Page #2
COMMENTS & RECOMMENDATION§ (REVENUE)
1. We recommend the City Commission investigate the absence of
financial assistance to the City by Duval County, for Lifeguard,
Fire and Police protection to County residents. We call the
Commission's attention to the fact that this is the second
consecutive year no financial assist8nce was received. Until
1965 the City received $2500.00 annually towards Account #111
from Duval County. It is ouz understanding the Cities of
Neptune Beach and Jacksonville Beach are receiving financial
assistance from Duval County for the above outlined purposes.
Calls answered by the Atlantic Beach Fire Department in the
County areas continue to exceed 20% of the total calls.
2. We call the Commission's attention to 3 pieces of property in
Block 2 consisting of Lots 22, 24 and one unplatted section
(on Ahern Street) with liens due to back taxes and unpaid
Sewer Assessments totaling approximately $2600.00. We under-
stand that Duval County Tax Certificates have been issued
on this property. In the event these are sold, the City will
lose the above liens. We recommend the City consider the
possibility of purchasing these tax certificates to protect
these amounts due the City.
APPROPRIATIONS
1. Attached is statement of Appropriations for General Fund,
Water Funds and Sewer Funds through June 30, 1967 .
2. The Commission has under consideration action to increase Public
Safety Accounts #302, #306 and #308.
3 . We call attention to the condition of the following accounts
with respect to the balance remaining for 1967 operations:
Public Safety Account #303-13 Fire Department Supplies
#308 Building Maintenance
#309 Radio Service
Transportation Account #402 Gasoline
403 Oil & Grease
404 Tolls, Parts, Tires, etc.
Public Works Account #701 Tools & Supplies
703 Equipment Maintenance
708 Street Resurfacing
711 Street Signs
SEMI-ANNUAL FINANCIAL REPORT
JULY 24, 1967
Page #3
APPROPRIATIONS (Continued
3 . Cont 'd.
Sewer Department Account #804 Chlorine & Chemicals
COMMENTS & RECOMMENDATIONS (APPROPRIATIONS)
1. With reference to the condition of various accounts referenced
under paragraph (3) above, we recommend the Commission and/or
City Manager immediately review the requirements for these
accounts for the balance of 1967 with applicable Department
Heads, and report any need for account revision.
2. With reference to proposed purchase of new Chlorinator from
WOMR Account #1411, it is recommended this appropriation
should be from WSR&R Account #1501. The WOMR accounts are
for day to day operation of the water system and the WSR&R
accounts is for renewal and replacement of water system
equipment.
* x ,t * * *
COMMENTS (GENERAL)
1. With respect to 1967 Budgeted Revenue and Appropriations, it
appears the estimated totals are realistic.
However, the present conditions of our General Fund cash
balance is such that caution should be exercised with
respect to all expenditures until October 1967 when Ad
Valorem Taxes will be received.
In general, the financial condition of the City is good and
sound.
2 . With respect to the Purchasing practices of the City, we note
some apparent confusion within the various Departments. In
view of the change with respect to the office of City Manager
August 1, 1967, we recommend the City Commission review this
matter to the end that a firm Purchasing Policy is established
in writing and is instituted.
Donald L. Goodling
Adele S. Grage Murray H. Bennett
COMAITTEE
GENERAL FUND REVENUE
6/30/67
101 Ad Valorem Taxes 4 1967 $71,240.00
102 Ad Valorem Taxes-Prior Years 20,000.00 15,990.54
103 Licenses 15,200.00 6,477.50
104 Fines and Forfeitures 21,000.00 15,532.00
105 Permits 2,000.00 1,129. 70
106 Electrical Franchise 11,000.00
107 Garbage Collection 36,000.00 18,292. 13
108 1961 Paving Assessments 400.00 343. 14
110 Penalties and Interest 550.00 641.05
111 Miscellaneous Collections 500.00 218.60
112 Telephone Franchise 1,300.00 1,374.93
113 Radio Service-Neptune Beach 3,000.00 1,500.00
114 Lot Clearing 1,000.00 39.00
115 S.M. Sewer Service Charge 300.00 210. 75
116 Sewer Service Charge 37,500.00 20,245.80
117 Royal Palms Cert. #3 2,500.00 1,377.50
118 Royal Palms Cert. #4 4,000.00 1,891.25
120 Contractor Deposits 100.00
121 Transfer from W.O.M.&R. Account 25,900.00 13,000.00
122 Transfer from Water Revenue Account 65,500.00 7,500.00
123 Transfer from Unbudgeted Reserve 25,000.00
TOTAL REVENUE $358,990.00 105, 763.89
SEWER FUND
ACCOUNT 2000
2001 Beginning Balance 11,563.00
2002 Special Sewer Assessment 5,000.00 1,356.42
2003 Trans. from S. E . Chgs. 10,000.00 7,500.00
2004 Interest & Miscellaneous 1,500.00 403.10
TOTAL REVENUE $ 28,063.00 9,259.52 -
WATER DEPARTMENT
WATER REVENUE ACCOUNT NO. 1100
1101 Minimum Water $36,200.00 18,324.00
1102 Excess Water 9,000.00 3,637.84
1103 Cut-In Charges 1,800.00 881.50
1104 Service Charges 673.00 340.00
1105 Cigarette Tax 44,500.00 24,023.32
1106 Utility Tax 34,050.00 17, 619.41
1107 Beginning Balance 5,000.00
TOTAL WATER REVENUE $131,223.00 64,826.07
CITY OF ATLANTIC BEACH, FLORIDA
MONTHLY STATEMENT OF ACCOUNTS
MONTH OF June, 1967 Page 1
ACCOUNTS BUDGET P.O. PAID BALANCE
NAME NO. AMOUNT ISSUED IN ACCOUNT
ADMINISTRATION
Personnel 201 29,404.00 13 ,795. 000 15 ,609.00
en ' o .Work-
men s 202A 9,000.00 8738.32 8738.32 261. 68
ms Comp.
p.
Ins. Life & Hosp. 20..B 2,500.00 1239. 77 1239. 77 1260.23
Office Supplies 203A 2,000.00 802.24 592.45 1197.76
Postage 203B 700.00 412.20 412.20 287.80
Maintenance Cont.
Xerox.etc . 203C 1,050.00 810. 79 810. 79 239.21
City Hall Repairs 204 1)000.00 872 .64 855.92 127.36
Audit 205 1)400.00 1200.00 1200.00 200.00
OASI and Expense 206 8,225.00 1960.37 1960.37 6264. 63
Office Utilites 207 850.00 323.80 323.80 526.20
Assessor 208 1,000.00 -0- -0- 1000.00
Advertising 209 1,200.00 643.40 643.40 556.60
Commissioners fund 210 800.00 162.60 162.60 657.40
Election Expense 211 600.00 -0- -0- 600.00
City Mgr. Expense 212 250.00 28. 75 28. 75 221.25
Membership 213 300.00 242.00 242.00 58.00
Janitorial Expense 215 300.00 142. 72 118.97 157.28
Prof. Services 216 1,500.00 -0- -0- 1500.00
PUBLIC SAFETY 36 070.81 36,070. : 1 39 209. 19
Personnel 301 75,2 80.00 '
Uniforms 302 1,550.00 1552 .30 1442. 15 2.30 short
Police Sup. 303A 900.00 411.63 494.80 405.20
Fire Dept. Sup. 303B 600.00 398.95 361.95 201.05
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i
MONTHLY STATEMENT OF BUDGET ACCOUNT
Page #2
MONTH OF Jane, 1967
ACCOUNT BUDGET P.O. BALANCE IN
NAME NO, AMOUNT ISSUED PAID ACCOUNT
PUBLIC SAFETY
Life Saving , 305 100,00 -0- -0- 100.00
Jail Meals &
Supplies 306 500.00 523. 73 443.49 23. 73 short
Utilities 307 2,500.00 1000.40 1000.40 1499.60
800.00
Bldg. Maint. 308 xxxamix 730.05 537.69 69.95
1200.00
Radio Service 309 W644444 864.22 449.98 335.78
Schools & Training 310 500,00 240.69 240.69 259.31
Humane Society 311 900100 525.00 525.00 375.00
School
Crossing Guard 112 200.00 200.00 200.00 -0-
Police-Fire
Office Supplies 313 400.00 297.85 139.20 102.15
TRANSPORTATION
Personnel 401 6,000.00 2953.25 3046. 75
Gasoline 402 6,500.00 396797 3440. 15 2532.03
Oil &
Grease 403 500.00 381.97 347.59 118.03
Tolls, Mileage
Parts & Tires 404 7,000.00 4729.73 4294.99 2270.27
Supplies 405 1,000.00 151.86 125. 17 848.84
Shop Tools 406 500.00 314.33 310.45 185.67
SANITATION
Personnel 501 24,170.00 12,043.88 12,126. 12
Garbage
Disposal 502 2,300.00 1134.90 1134.90 1165. 10
Garbage
Containers 503 1,500.00 217.43 167.53 1282.57
Supplies 504 500.00 151.45 151.45 348.55
PUBLIC WORKS
Personnel 601 46,631.00 21,494.23 25,136. 77
Tools and 973.14 827.57 26.86
Supplies 701 1,000.00
Utilites 702 1,400.00 660.29 660.29 739. 71
X 1 XI=F70 XI!f0 XERO
(`0F'�Y IF CO1'Y ( I11 Y jCOPI
MONTHLY STATEMENT OF BUDGET ACCOUNTS
Page #3
June, 1967
ACCOUNTS BUDGET P.O. BALANCE IN
NAME NO. AMOUNT ISSUED PAID ACCOUNT
Equipment 1600.00
Maintenance 703 1464.87 1464.87 135.13
Beach and 2 ,000.00
Street Ends 704 Wititp5M 1554.68 1531.00 445.32
5200.00
Drainage 705 XVOIMRID 1386.88 1386.88 3813.12
Street
Lii.ht Bulbs 707 100.00 -0- -0- 100.00
Street 8800.00
Re-Surfacing 708 XIODRXRR 8274. 74 15 .51 525.16
Street 7000.00
Maintenance 709 WRRRXRR 4689.61, ,, 4533.18 2310.39
Engineering
Service 710 300.00 , 16.54 16.54 283.46
825.00
Street Signs 711 RRRXRR 778.44 538.20 46.56
475.00
Bldg. Maint. 712 WW00 247.62 240.31 227.38
SEWER DEPT.
Rep. & Repl. 801 4. 000.00 1654.48 , 1142.26 2345.52
Plant Maint. 802 1,500.00 531.04 479.02 968.96
Utilities 803 3,000.00 1635. 77 1635. 77 1364.23
Chlorine and
Chemicals 804 3,000.00 2505.27 1763.32 494. 73
Supplies 805 200.00 8.46 8.46 191.54
Tools 806 100.00 -0- -0- 100.00
PARKS & RECREATION
Personnel 901 9,530.00 4261.37 5268.63
Recreation
Supplies 902 600.00 331.49 304.25 268.51
Tools and
Supplies 903 300.00 12. 70 12. 70 287.30
Recreation
Maintenance 904 2,000.00 1007. 71 915.90 992.29
Park
Lighting 905 900.00 226.65 226.65 673.35
APPROPRIATIONS
Administration 1002 1,500.00 909.95 909.95 590.05
Police Dept. 1003A 2,000.00 -0- -0- 2000.00
Fire Dept. 1003B 1,000.00 75.00 75.00 I 925.00
',FPO) %I coJ %1 PO %1 14
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1
MONTHLY STATEMENT OF BUDGET ACCOUNTS
Page 4
June, 1967
ACCOUNT BUDGET P.O. BALANCE IN
NAME NO. _ MOUNT ISSUED PAID ACCOUNT
Public Works
Water Dept. 1004 3.700.00 3183.62 . 3183. 62 516.38
3000.00
Sanitation 1005 )0paCIWOO 2836.21 2836.21 163. 79
F ublic Works
Park Dept. 1006 1,900.00 1852.50 1852 .50 47.50
Public Works ? 500.00
-0- -0- 500.00
Dept. 1007 XXXXX
Public Works Bldg.
Construction 1008 -0-
Street Lights
Add'1. 1011 1,500.00 -0- -0- 1500.00
Park Improvement 2550. 76 1814.43 449.24
1012 3,000.00
Alteration Police 1
& Fire Bldg. , 1014 -0-
Emerg. Exp. Fund 1051 5,000.00 -0- -0- 5000.00
WOMR APPROPRIATIONS
Rep. & Repl. 1411 8,300:.00 3805.92 3006.54 4494.08
Tank Maintenance 1412 i,000.00 -0- -0- 1000.00
Utilities 1413 3,200.00 1774. 79 1774. 79 1425.21
Chemicals 1414 1,300.00 492.00 423.00 808.00
400.00
Bldg. Maintenance 1415 XXXXXXX 367.63 351.43 32.37
400.00
Miscellaneous 1430 901X 167.59 145.07 232 .41
APPROPRIATIONS
New Mains, Meters
Service, Etc. 1501 7,500.00 568.05 568.05 6931.95
Water Reservoir 1502 1,000.00 51.38 51.38 948.62
Emergency
Water Plant 1503 500.00 -0- -0- 500.00
Sewer Const. 2053 2,000.00 -0- -0- 2000.00
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