HomeMy WebLinkAboutNS-523ORDINANCE NO. NS-523
AN ORDINANCE ADOPTING THE ANNUAL BUDGET FOR
THE FISCAL YEAR COMMENCING JULY 1, 1961 AND
FIXING THE LIMITATIONS OF EXPENDITURES FOR
THE SEVERAL FUNDS AND THE FUNCTIONS, DEPART-
MENTS AND ACTIVITIES CARRIED UNDER SUCH FUNDS.
WHEREAS, the City Manager has prepared and submitted to this
Council a proposed budget of expenditure for the fiscal year com-
mencing July 1, 1961, pursuant to the provisions of Section 605 of the
City Charter; and
WHEREAS, in pursuance to Section 606 of the City Charter, a
public hearing was held upon the said proposed budget of expenditures~
after notice of such public hearing had been published in the official
city newspaper in the manner prescribed in said Section 606 of the
City Charter.
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF SANTA ANA DOES
ORDAIN AS FOLLOWS:
SECTION 1:
The proposed budget of expenditure duly submitted and considered
as hereinbefore stated, together with any supplemental revisions and
amendments thereto, is hereby approved, adopted, and fixed as the
annual budget of the City of Santa Ana for the fiscal year commencing
July 1, 1961, and ending June 30, 1962, in the amounts and for the
funds, purposes, functions, departments and activities as hereinafter
set forth. Said adopted budget, including said supplemental revisions
and amendments, together with a copy of this appropriation ordinance,
shall be duly authenticated by the Clerk of the Council and the same
shall be placed in the official files of the office of the Clerk ~of
the Council.
SECTION 2:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 196L for the General
Fund the aggregate sum of Six million, nine hundred fifty-four thousand,
and two hundred dollars ($6,954,200) appropriated and restricted for the
functions, departments and/or activities hereinafter set forth in the
amounts shown:
CODE NO.
FUNCTION, DEPARTMENT,ACTIVITY
APPROPRIATION
il-GENERAL FUND
11-000 City Council - Contingency Reserve $ 520,000
11-111 City Council - Legislative 35,730
11-112 City Council - Insurance Premiums 30,400
11-113 City Council - Interfund Transfers 1,697,370
11-115 Clerk of the Council - Admin. of Office 34,555
11-116 Clerk of the Council - Elections 4,500
11-121 City Manager - Admin. of Office 52,110
11-125 City Manager - Special Census 500
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.%.l-GENERAL FUND (Continued)
11-131 City Attorney - Admin. of Office $ 37,840
11-141 Personnel Office - Administration 40,240
11-151 Planning Department - Administration 86,160
11-171 Finance Department - Division of Accounts 200,590
11-173 Finance Department - Division of Purchasing 36,630
11-174 Finance Department - Div. of Purchasing - Stores 24,200
11-175 Finance Department - Div. of Treasury 30,495
11-181 Civil Defense Department - Administration 9,475
11-221 Bowers Museum - Administration 36,645
11-311 Department of Building Safety and Housing 141,205
11-321 Fire Department - Administration 34,555
11-322 Fire Department - Fire Suppression 1,013,370
11-323 Fire Department - Fire Prevention 41,545
11-324 Fire Department - Alarm & Communication operation 64,010
11-329 Fire Department - Building, Equipment Maintenance 95,550
11-331 Police Department - Administration 201,135
11-332 Police Department - Patrol & Investigation 966,490
11-333 Police Department - Traffic Division 161,700
11-337 Police Department - School Crossing Guards 46,610
11-339 Police Department - Animal Control Division 21,165
11-511 Public Works Dept. - Administration & Engineering 217,160
11-521 Public Works Dept. - Refuse Collection 360,000
11-531 Public Works Dept. Street Cleaning 99,440
11-532 Public Works Dept. Sewer Maintenance 54,255
11-536 Public Works Dept. - Storm Drain Maintenance 8,400
11-537 Public Works Dept. - Santiago Creek Maintenance 1,750
11-541 Public Works Dept. - Weed Control Program 12,190
11-551 Public Works Dept. - Major Streets Maintenance 66,880
11-552 Public Works Dept. - Secondary Streets Maintenance 109,450
11-553 Public Works Dept. - State Highways Maintenance 17,670
11-554 Public Works Dept. Curbs & Sidewalks Maintenance 49,690
11-561 Public Works Dept. Ornamental Lights Maintenance 44,880
11-562 Public Works Dept. - Street Lighting 150,000
11-563 Public Works Dept. - Traffic Signals Maintenance 18,410
11-564 Public Works Dept. - State Highway Traffic Signals 9,970
11-565 Public Works Dept. Traffic Painting and Signals 53,970
11-566 Public Works Dept. - Traffic Painting & State Highways 5,620
11-567 Public Works Dept. - Street Name Signs 9,690
TOTAL GENERAL FUND 11
$ 6,954,200
SECTION 3:
There is hereby appropriated out of the Treasury of the City
of Santa Ana for the fiscal year beginning July 1, 1961, for the Recreation
and Parks Fund the aggregate sum of Five hundred Eighty-seven thousand,
eight hundred and fifty-five dollars ($587,855) appropriated and restricted
for the functions, department and activities hereinafter, set-forth in
the amounts Shown, as follows:
CODE NO.
FUNCTION, DEPARTMENT~ ACTIVITY
APPROPRIATION
23-RECREATION & PARKS FUND
23-231 Recreation & Parks Department - Administration $ 83,565
23-234 Recreation & Parks Department - Municipal BowlMai~ 18,875
23-251 Recreation & Parks Department - Fisher Park Maint. 9,855
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23 RECREATION AND PARKS FUND (Continued)
23-252 Recr. & Parks Dept. - Birch Park Maint. $ 10,560
23-253 Recr. & Parks Dept. - Santiago Park Maint. 29,075
23-254 Recr. & Parks Dept. - Memorial Park Maint 44,925
23-255 Recr. & Parks Dept. - Prentice Park Maint. 29,805
23-256 Recr. & Parks Dept. - E1 Salvador Park Maint. 20,750
23-257 Recr. & Parks Dept. -Alona Park Maint. 10,780
23-258 Recr. & Parks Dept. - Jerome Park Maint. 10,815
23-259 Recr. & Parks Dept. - Madison Park Maint. 10,440
23-260 Recr. & Parks Dept. - Adams Park Maint. 13,800
23-261 Recr. & Parks Dept. - Santiago Creek Day Camp 6,240
23-262 Recr. & Parks Dept. - Flower & 1st Street Property 5,955
23-263 Recr. & Parks Dept. - Price Property 11,850
23-264 Recr. & Parks Dept. - N. W. Park ~ 1 4,470
23-265 Recr. & Parks Dept. - Civic Center Maint. 13,815
23-266 Recr. & Parks Dept. - Misc. Areas Maint. 24,190
23-267 Recr. & Parks Dept. - Tree Maint. 77,470
23-269 Recr. & Parks Dept. - Nursery Operation 10,245
23-274 Recr. & Parks Dept. - Weekend & Evening Program 10,425
23-275 Recr. & Parks Dept. - After School Program 31,055
23-276 Recr. & Parks Dept. - Athletics & Spec. Programs 43,535
23-277 Recr. & Parks Dept. - Holidays Program 3,750
23-278 Recr. & Parks Dept. - Summer Vacation Program 21,410
23-279 Recr. & Parks Dept. - Swimming Pools 30,200
TOTAL RECREATION & PARKS FUND 23
$ 587,855
SECTION 4:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Library
Fund, the aggregate sum of Three hundred thirty thousand, six hundred
and thirty dollars ($330,630) appropriated and restricted for the
function, departments and/or activities hereinafter set-forth in the
amounts shown, as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
24-LIBRARY FUND
24-212 City Library - Administration
$ 330,630
TOTAL LIBRARY FUND 24
$ 330,630
SECTION 5:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Traffic
Safety Fund, the aggregate sum of Two hundred sixty-four thousand and
seven hundred dollars ($264,700) appropriated and restricted for the
function, departments and/or activities hereinafter set-forth in the
amounts shown, as follows:
CODE NO.
FUNCTION, DEPARTMENT ACTIVITY
APPROPRIATION
25-TRAFFIC SAFETY FUND
25-113 City Council - Interfund Transfers
Unapplied Appropriations
$ 250,000
14,700
TOTAL TRAFFIC SAFETY FUND 25
$ 264,700
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SECTION 6:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Water Utility
Fund the aggregate sum of One million, eight hundred and eighty-eight
thousand dollars ($1,888,000) appropriated and restricted for the function,
departments and/or activities hereinafter set-forth in the amounts shown,
as follows:
CODE NO.
~NCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
26-WATER UTILITY FUND
26-113
26-573
26-574
26-578
City Council - Interfund Transfers $ 245,000
Public Works Dept. - Water Production & Supply 407,680
Public Works Dept. - Water Dist. System Maint. 138,140
Public Works Dept. - Water Division Capital Ext. 1,097,180
TOTAL WATER UTILITY FUND 26
$ 1,888,000
SECTION 7:
There is hereby appropriated out of the Treasury of the City of
Santa Aha for the fiscal year beginning July 1, 1961, for the Parking
Meter Fund, the aggregate sum of Two hundred eighty-seven thousand and
six hundred and thirty-five dollars ($287,635) appropriated and restricted
for the function, departments and/or activities, hereinafter set-forth in
the amounts shown, as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
27-PARKING METER FUND
27-113 City Council - Interfund Transfers $ 50,000
Miscellaneous Reserves 214,435
27-451 Equipment Maintenance Dept. Meter Maint. 23,200
TOTAL PARKING METER FUND 27
$ 287,635
SECTION 8:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the State
Retirement System Fund, the aggregate sum of Twenty thousand dollars
($20,000) appropriated and restricted for the function, departments
and/or activities hereinafter set-forth in the amounts shown, as follows;
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
28-STATE RETIREMENT SYSTEM FUND
28-113 City Council - Interfund Transfers
Miscellaneous Reserves
TOTAL STATE RETIREMENT SYSTEM FUND 28
$ 5,O00
~5,000
$ 20,OOO
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SECTION 9:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Special
Gas Tax Fund, the aggregate sum of Four hundred eighty-one thousand, six
hundred and sixty-five dollars ($481,665) appropriated and restricted for
the function, departments and/or activities hereinafter set-forth in the
amounts shown, as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
29-SPECIAL GAS TAX FUND
29-113 City Council - Interfund Transfers
$ 481,665
TOTAL SPECIAL GAS TAX FUND 29
$ 481,665
SECTION 10:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Library
Construction Bond Fund, the aggregate sum of Sixty-three thousand, three
hundred and eighty dollars ($63,380) appropriated and restricted for
the function, departments and/or activities hereinafter set-forth in
the amounts shown, as follows:
CODE NO.
FUNCTION~ DEPARTMENTt ACTIVITY
APPROPRIATION
31-LIBRARY CONSTRUCTION BOND FUND
31-113 City Council - Reserves
31-176 City Treasurer - Bond Payments
TOTAL LIBRARY CONSTRUCTION BOND FUND 31
$ 6,060
57,320
$ 63,380
SECTION 11:
There is hereby appropriated out of the Treasury of the City of
Santa Aha for the fiscal year beginning July 1, 1961, for the Municipal
Improvements Bond Fund the aggregate sum of Eighty-seven thousand,
nine hundred and eighty dollars ($87,980) appropriated and restricted for
the function, departments and/or activities hereinafter set-forth in the
amounts shown as follows:
CODE NO. FUNCTION, DEPARTMENTtACTIVITY
38-MUNICIPAL IMPROVEMENT BOND FUND
APPROPRIATION
38-113 City Council - Reserves
38-176 Treasurer - Bond Payme~s
TOTAL MUNICIPAL IMPROVEMENT BOND FUND 38
$ 7,820
80,160
$ 87,980
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SECTION 12~
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Fire
Department Improvement Bond Fund, the aggregate sum of Twenty-four thousand
five hundred and forty-five dollars ($24,545) appropriated and restricted
for the function, departments and/or activities hereinafter set-forth in
the amounts shown as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
39-FIRE DEPARTMENT BONDS FUND
39-113 City Council - Reserves
39-176 City Treasurer - Bond Payments
$ 380
24,165
TOTAL FIRE DEPARTMENT BONDS FUND 39
$ 24,545
SECTION 13:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the General
Capital Outlay Fund, the aggregate sum of One million, five hundred
eighty-one thousand dollars ($1,581,000) appropriated and restricted
for the function, departments and/or activities hereinafter set-forth
in the amounts shown as follows:
.~ODE NO.
~UNCTION, DEPARTMENTr ACTIVITY
APPROPRIATION
51-GENERAL CAPITAL OUTLAY FUND
51-113 City Council -Interfund Transfers to Fund %59 $ 229,050
51-115 Clerk of the Council - Administration 175
51-121 City Manager- Administration 1,300
51-131 City Attorney - Administration 910
51-141 Personnel Office - Administration 380
51-151 Planning Department - Administration 1,770
51-171 Finance Department - Division of Accounts 1,455
51-173 Finance Department - Division of Purchasing 975
51-174 Finance Department - Division of Stores Section 3,760
51-175 Finance Department - Division of Treasury 400
51-176 Finance Department - Division of Purchasing Cent. S~v. 7,200
51-181 Civil Defense Department - Administration 550
51-221 Bowers Museum - Administration 47,680
51-231 Recr. & Parks Dept. - Administration 223,150
51-234 Recr. & Parks Dept. - Stadium Construction 250,150
51-241 Recr. & Parks Dept. - Building Maintenance 11,720
51-252 Recr. & Parks Dept. - Birch Park 500
51-253 Recr. & Parks Dept. - Santiago Park 750
51-254 Recr. & Parks Dept. - Memorial Park 2,050
51-255 Recr. & Parks Dept. - Prentice Park 5,300
51-256 Recr. & Parks Dept. - E1 Salvador Park 5,000
51-259 Recr. & Parks Dept. - Madison Park 1,550
51-261 Recr. & Parks Dept. - Santiago Creek 2,750
51-263 Recr. & Parks Dept. - Windsor Park 6,500
51-266 Recr. & Parks Dept. - Misc. Areas 2,400
51-267 Recr. & Parks Dept. - Tree Maintenance 9,200
51-275 Recr. & Parks Dept. - After School Programs 960
51-276 Recr. & Parks Dept. - Ath. and Spec. 1,010
51-279 Recr. & Parks Dept. - Swimming Pools 4,450
51-311 Department of Building Safety & Housing 1,515
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51-GENERAL CAPITAL OUTLAY FUND (Continued)
51-324 Fire Department - Alarm & Communication Oper. $ 20,945
51-329 Fire Department - Bldg. & Equipment Maint. 84,725
51-331 Police Department - Administration 5,855
51-332 Police Department - Patrol & Investigation 20,350
51-333 Police Department - Traffic Division 7,760
51-511 Public Works Dept. - Administration & Engineering 7,220
51-531 Public Works Dept. Street Cleaning 300
51-532 Public Works Dept. Sanitary Sewers 100,840
51-536 Public Works Dept. - Storm Drains 108,830
51-551 Public Works Dept. - Major Streets 141,615
51-552 Public Works Dept. - Secondary Streets 125,050
51-563 Public Works Dept. - Traffic Signals 106,400
51-565 Public Works Dept. - Traffic Painting & Signs 9,220
51-567 Public Works Dept. - Street Name Signs 9,180
51-569 Public Works Dept. - Corporation Yard 8,300
TOTAL GENERAL CAPITAL OUTLAY FUND 51
$ 1,581,000
SECTION 14:
There is hereby appropriated out of the Treasury of the City of
Santa Aha for the fiscal year beginning July 1, 1961, for the Special
Storm Drain Construction Fund, the aggregate sum of Twelve thousand
dollars ($12,000) appropriated and restricted for the function, departments
and/or activities hereinafter set-forth in the amounts shown as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
58~SPECIAL STORM DRAIN CONSTRUCTION FUND
58-536 Public Works - Special Storm Drain Construction $ 12,000
TOTAL SPECIAL STORM DRAIN CONSTRUCTION FUND 58
$ 12,000
SECTION 15:
There is hereby appropriated out of the Treasury of the City of
Santa Aha for the fiscal year beginning July 1, 1961, for the Primary
Street Construction Fund, the aggregate s~m of One million, thirty-six
thousand, two hundred and sixty-five dollars ($1,036,265) appropriated and
restricted for the function, department and/or activities hereinafter
set-forth in the amounts shown as follows:
~ODE NO. FUNCTION, DEPARTMENT, ACTIVITY
59-PRIMARY STREET CONSTRUCTION FUND
59-551 Public Works - Primary Street Construction
TOTAL PRIMARY STREET CONSTRUCTION FUND 59
APPROPRIATION
1,036,265
1,036,265
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SECTION 16:
There is hereby appropriated out of the Treasury of the City of
Santa Ana, for the fiscal year beginning July 1, 1961, for the Civic
Center Acquisition and Construction Fund, the aggregate sum of Two
hundred, thirty-three thousand, four hundred and seventy dollars ($233,470)
appropriated and restricted for the function, departments and/or activities
hereinafter set-forth in the amounts shown as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
61-CIVIC CENTER ACQUISITION
61-119 City Council - Civic Center Acq. & Const.
$ 233,470
TOTAL CIVIC CENTER ACQUISITION FUND 61
$ 233,470
SECTION 17:
There is hereby appropriated out of the Treasury of the City of
Santa Ana, for the fiscal year beginning July 1, 1961, for the Parks
and Fire House Acquisition and Improvement Fund, the aggregate sum of
Seventy thousand dollars ($70,000) appropriated and restricted for the
function, department and/or activities hereinafter set-forth in the
amounts shown as follows:
CODE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
62-PARKS &FIRE HOUSE ACQUISITION AND IMPROVEMENT
62-113 City Council - Interfund Transfers
70,000
TOTAL PARKS & FIRE HOUSE ACQUISITION & IMPROV. FUND 62 $ 70,000
SECTION 18:
There is hereby appropriated out of the Treasury of the City of
Santa Aha, for the fiscal year beginning July 1, 1961, for the Central
Service Fund the aggregate sum of Twenty-five thousand, three hundred
and sixty dollars ($25,360) appropriated and restricted for the function,
departments and/or activities hereinafter set-forth in the amounts
shown as follows:
CODE NO. FUNCTION,
71-CENTRAL SERVICE FUND
71-176 Central Services
TOTAL CENTRAL SERVICES FUND 71
DEPARTMENT,
ACTIVITY
APPROPRIATION
25,360
25,360
-8-
SECTION 19:
There is hereby appropriated out of the Treasury of the City of
Santa Aha for the fiscal year beginning July 1, 1961, for the Building
Maintenance Fund, the aggregate sum of One hundred seventy-seven thousand
nine hundred and thirty-five dollars ($177,935) appropriated and restricted
for the functions, departments and/or activities hereinafter set-forth in
the amounts shown as follows:
CODE NO.
FUNCTION, DEPARTME~ ACTIVITY
APPROPRIATION
73-BUILDING MAINTENANCE FUND
73-241 Building Maintenance
177,935
TOTAL BUILDING MAINTENANCE FUND 73
$ 177,935
SECTION 20:
There is hereby appropriated out of the Treasury of the City of
Santa Aha, for the fiscal year beginning July 1, 1961 for the Equipment
Maintenance Fund the aggregate sum of Three hundred twenty thousand,
one hundred and sixty-five dollars ($320,165) appropriated and restricted
for the function, departments and/or activities hereinafter set-forth
in the amounts shown as follows:
CODE NO.
FUNCTION DEPARTMENT, ACTIVITY
APPROPRIATION
75-EQUIPMENT ,MAINTENANCE FUND
75-410 Equipment Maintenance - Interfund Transfer $ 110,660
75-411 Equipment Maintenance - Garage Operation 209,505
TOTAL EQUIPMENT MAINTENANCE FUND 75
$ 320,165
SECTION 21:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Equipment
Replacement Fund, the aggregate sum of Two hundred thirty-seven thousand,
nine hundred and ninety dollars ($237,990) appropriated and restricted
for the function, departments and/or activities hereinafter set-forth
in the amounts shown as follows:
~QDE NO.
FUNCTION, DEPARTMENT, ACTIVITY
APPROPRIATION
76-EQUIPME~ REPLACEMENT FUND
76-145 Equipment Replacement - Purchases $ 42,805
Reserves 195,185
TOTAL EQUIPMENT REPLACEMENT FUND 76
$ 237,990
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SECTION 22:
There is hereby appropriated out of the Treasury of the City of
Santa Ana for the fiscal year beginning July 1, 1961, for the Retirement
System Revolving Fund, the aggregate sum of Seven hundred eighty-four
thousand dollars ($784,000) appropriated and restricted for the function,
departments, and/or activities hereinafter set-forth in the amounts shown,
as follows:
CODE NO.
~UNC~ION DEPARTMENT, ACTIVITY
APPROPRIATION
78-RETIREMENT SYSTEM REVOLVING FUND
78-179 Finance Department Retirement System Payments
784,000
TOTAL RETIREMENT SYSTEM REVOLVING FUND 78
$ 784,000
S$CTION 23:
The appropriation hereinbefore set-forth shall constitute the
maximum expenditure authorized for the function, department and/or
activity opposite which the amount of such appropriation is shown.
SECTION 24:
No warrant shall be issued or indebtedness incurred which exceeds
the unexpended balance of the activity appropriation hereinbefore author-
ized unless such appropriations shall have been amended by a supplemental
appropriation duly enacted by this Council in conformance with Section
609 of the Santa Aha City Charter.
SECTION 25:
The City Manager is hereby authorized to make budgetary revisions
within an activity appropriation if in his opinion such revision is
necessary or proper.
SECTION 26:
The Director of Finance is hereby authorized to transfer moneys
in accordance with the Interfund Transfers as listed in this ordinance
in such amounts and at such times during the fiscal year as he may
determine necessary to the competent operation and control of City
business, except that no such transfer shall be made in contravention
to State Law or other City Ordinance or exceed in total the amount
stated herein or as amended by the City Council.
SECTION 27:
One Certified copy of this appropriation ordinance together
with a certified copy of each amendment thereto shall be transmitted
by the Clerk of the Council to the Director of Finance.
SECTION 28:
This ordinance is urgently required for the immediate preservation
of public peace, health, and safety for the reasons that the moneys
appropriated hereby are necessary in order to maintain the necessary
payments of the various departments of the City, to retain the employees
and to obtain the necessary supplies to police and otherwise protect
the persons and property within the City and to render the other
necessary services; therefore, the City Council declares that this
ordinance shall take effect as, and is adopted as an emergency measure
and is to be enforced from the date of its publication.
SECTION 29:
The Clerk of the Council shall certify to the passage and
adoption of this Ordinance as an emergency ordinance and shall cause the
same to be published within 15 days after its adoption in one issue of
the Santa Aha Register.
ATTEST:
CLERK OF THE COUNCIL
STATE OF CALIFORNIA )
COUNTY OF ORANGE ) SS
CITY OF SANTA ANA )
I, MARION SUTTNER, do hereby certify that I am the Clerk of the
Council of the City of Santa Ana; that the foregoing ordinance was
regularly introduced at the regular meeting of said City Council held
on the l?%h day of July , 1961 and was at said meeting
regularly passed and adopted by said Council as an emergency ordinance
by the following vote.
AYES, COUNCILMEN
NOES, COUNCILMEN
Royal E. Hubbard, Henry H. Schlueter,
Dale H. Heinly, Bob Brewer, A. A. Hall
None
ABSENT, COUNCILMEN None
. , z~L//~ · _
CLERK OF THE COUNCIL
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