|Transfer Appropriations Attachments
North Olmsted · Legislation
2022-40

Transfer Appropriations Attachments

2026-07-13
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[2022-40 Transfer Appropriations Attachments.pdf]
ORDINANCE  
2022-017          INCREASE (DECREASE) 
  ORDINANCE     
2022-040 
COUNCIL
SALARIES 
175,713.00
           
175,713.00
           
BENEFITS 
50,997.05
             
50,997.05
             
MATERIALS & SUPPLIES 
1,400.00
               
1,400.00
               
CONTRACTUAL SERVICES 
44,200.00
             
44,200.00
             
CAPITAL OUTLAY 
4,000.00
               
4,000.00
               
TOTAL COUNCIL 
276,310.05
           
-
                                     
276,310.05
           
MAYOR 
SALARIES 
309,631.00
           
309,631.00
           
BENEFITS 
115,746.13
           
115,746.13
           
MATERIALS & SUPPLIES 
29,600.00
             
29,600.00
             
CONTRACTUAL SERVICES 
68,400.00
             
68,400.00
             
CAPITAL OUTLAY 
8,000.00
               
8,000.00
               
531,377.13
           
-
                                     
531,377.13
           
DIVISION OF MAYOR'S COURT 
SALARIES 
169,856.00
           
169,856.00
           
BENEFITS 
79,354.57
             
79,354.57
             
MATERIALS & SUPPLIES 
12,100.00
             
12,100.00
             
CONTRACTUAL SERVICES 
11,800.00
             
11,800.00
             
CAPITAL OUTLAY 
800.00
                   
800.00
                   
273,910.57
           
-
                                     
273,910.57
           
DIVISION OF INFORMATION TECHNOLOGY 
SALARIES 
162,236.00
           
162,236.00
           
BENEFITS 
29,858.60
             
29,858.60
             
MATERIALS & SUPPLIES 
6,350.00
               
6,350.00
               
CONTRACTUAL SERVICES 
393,612.28
           
393,612.28
           
CAPITAL OUTLAY 
191,000.00
           
191,000.00
           
783,056.88
           
-
                                     
783,056.88
           
TOTAL DEPARTMENT OF MAYOR
1,588,344.58
       
-
                                     
1,588,344.58
       
DEPARTMENT OF FINANCE               
SALARIES 
375,549.00
           
375,549.00
           
BENEFITS 
164,452.43
           
164,452.43
           
MATERIALS & SUPPLIES 
10,200.00
             
10,200.00
             
CONTRACTUAL SERVICES 
700,203.00
           
700,203.00
           
CAPITAL OUTLAY 
800.00
                   
800.00
                   
TOTAL DEPARTMENT OF FINANCE
1,251,204.43
       
-
                                     
1,251,204.43
       
DEPARTMENT OF LAW 
SALARIES 
210,699.00
           
210,699.00
           
BENEFITS 
120,003.07
           
120,003.07
           
MATERIALS & SUPPLIES 
875.00
                   
875.00
                   
CONTRACTUAL SERVICES 
12,950.00
             
12,950.00
             
CAPITAL OUTLAY 
500.00
                   
500.00
                   
TOTAL DEPARTMENT OF LAW 
345,027.07
           
-
                                     
345,027.07
           
DEPARTMENT OF HUMAN RESOURCES 
SALARIES 
232,034.00
           
232,034.00
           
BENEFITS 
105,503.82
           
105,503.82
           
MATERIALS & SUPPLIES 
2,750.00
               
2,750.00
               
CONTRACTUAL SERVICES 
260,456.00
           
260,456.00
           
600,743.82
           
-
                                     
600,743.82
           
CIVIL SERVICE COMMISSION
MATERIALS & SUPPLIES 
400.00
                   
400.00
                   
CONTRACTUAL SERVICES 
48,910.00
             
48,910.00
             
49,310.00
             
-
                                     
49,310.00
             
TOTAL DEPARTMENT OF HUMAN RESOURCES
650,053.82
           
-
                                     
650,053.82
           
DEPARTMENT OF ECONOMIC & COMMUNITY DEVELOPMENT
SALARIES 
200,940.00
           
200,940.00
           
BENEFITS 
110,963.90
           
110,963.90
           
MATERIALS & SUPPLIES 
4,000.00
               
4,000.00
               
CONTRACTUAL SERVICES 
277,800.00
           
277,800.00
           
CAPITAL OUTLAY 
1,000.00
               
1,000.00
               
594,703.90
           
-
                                     
594,703.90
           
BOARDS & COMMISSIONS 
MATERIALS & SUPPLIES 
5,200.00
               
5,200.00
               
CONTRACTUAL SERVICES 
20,020.00
             
20,020.00
             
25,220.00
             
-
                                     
25,220.00

DIVISION OF ENGINEERING 
SALARIES 
120,680.00
           
120,680.00
           
BENEFITS 
21,951.25
             
21,951.25
             
MATERIALS & SUPPLIES 
1,000.00
               
1,000.00
               
CONTRACTUAL SERVICES 
162,270.00
           
162,270.00
           
305,901.25
           
-
                                     
305,901.25
           
TOTAL DEPARTMENT OF ECONOMIC AND COMMUNITY DEVELOPMENT
925,825.15
           
-
                                     
925,825.15
           
DEPARTMENT OF PUBLIC SAFETY
SALARIES 
108,002.00
           
108,002.00
           
BENEFITS 
55,974.40
             
55,974.40
             
MATERIALS & SUPPLIES 
10,400.00
             
10,400.00
             
CONTRACTUAL SERVICES 
10,530.00
             
10,530.00
             
CAPITAL OUTLAY 
1,200.00
               
1,200.00
               
186,106.40
           
-
                                     
186,106.40
           
DIVISION OF FIRE 
SALARIES 
3,849,043.00
       
3,849,043.00
       
BENEFITS 
1,675,403.77
       
1,675,403.77
       
MATERIALS & SUPPLIES 
140,175.00
           
140,175.00
           
CONTRACTUAL SERVICES 
311,884.00
           
311,884.00
           
CAPITAL OUTLAY 
43,650.00
             
43,650.00
             
6,020,155.77
       
-
                                     
6,020,155.77
       
DIVISION OF POLICE 
SALARIES 
4,723,999.00
       
4,723,999.00
       
BENEFITS 
1,787,857.28
       
1,787,857.28
       
MATERIALS & SUPPLIES 
176,950.00
           
176,950.00
           
CONTRACTUAL SERVICES 
459,766.91
           
459,766.91
           
CAPITAL OUTLAY 
23,400.00
             
23,400.00
             
7,171,973.19
       
-
                                     
7,171,973.19
       
DISPATCH 
SALARIES 
664,620.00
           
664,620.00
           
BENEFITS 
238,306.00
           
238,306.00
           
MATERIALS & SUPPLIES 
2,000.00
               
2,000.00
               
CONTRACTUAL SERVICES 
57,500.00
             
57,500.00
             
962,426.00
           
-
                                     
962,426.00
           
CORRECTIONS 
SALARIES 
107,148.00
           
107,148.00
           
BENEFITS 
50,208.50
             
50,208.50
             
MATERIALS & SUPPLIES 
3,500.00
               
3,500.00
               
CONTRACTUAL SERVICES 
100,600.00
           
100,600.00
           
CAPITAL OUTLAY 
5,000.00
               
5,000.00
               
266,456.50
           
-
                                     
266,456.50
           
DIVISION OF BUILDING 
SALARIES 
834,223.00
           
834,223.00
           
BENEFITS 
358,269.72
           
358,269.72
           
MATERIALS & SUPPLIES 
15,500.00
             
15,500.00
             
CONTRACTUAL SERVICES 
120,550.00
           
120,550.00
           
CAPITAL OUTLAY 
30,000.00
             
30,000.00
             
1,358,542.72
       
-
                                     
1,358,542.72
       
TOTAL DEPARTMENT OF PUBLIC SAFETY
15,965,660.58
     
-
                                     
15,965,660.58
     
DEPARTMENT OF RECREATION AND PUBLIC ENGAGEMENT
SALARIES 
108,002.00
           
108,002.00
           
BENEFITS 
55,816.00
             
55,816.00
             
MATERIALS & SUPPLIES 
500.00
                   
500.00
                   
CONTRACTUAL SERVICES 
37,880.00
             
37,880.00
             
CAPITAL OUTLAY 
1,500.00
               
-
                                     
1,500.00
               
203,698.00
           
-
                                     
203,698.00
           
DIVISION OF JUVENILE DIVERSION
SALARIES 
111,110.00
           
111,110.00
           
BENEFITS 
30,295.30
             
30,295.30
             
MATERIALS & SUPPLIES 
3,425.00
               
3,425.00
               
CONTRACTUAL SERVICES 
17,800.00
             
17,800.00
             
CAPITAL OUTLAY 
13,000.00
             
13,000.00
             
175,630.30
           
-
                                     
175,630.30
           
DIVISION OF AGING
SALARIES 
193,113.00
           
193,113.00
           
BENEFITS 
85,982.95
             
85,982.95
             
MATERIALS & SUPPLIES 
11,800.00
             
11,800.00
             
CONTRACTUAL SERVICES 
36,170.00
             
36,170.00
             
327,065.95
           
-
                                     
327,065.95
           
TOTAL DEPARTMENT OF RECREATION AND PUBLIC ENGAGEMENT
706,394.25
           
-
                                     
706,394.25

DEPARTMENT OF PUBLIC SERVICE
SALARIES 
131,002.00
           
131,002.00
           
BENEFITS 
71,898.30
             
71,898.30
             
MATERIALS & SUPPLIES 
2,000.00
               
2,000.00
               
CONTRACTUAL SERVICES 
567,640.00
           
567,640.00
           
CAPITAL OUTLAY 
2,800.00
               
2,800.00
               
775,340.30
           
-
                                     
775,340.30
           
DIVISION OF PUBLIC WORKS
SALARIES 
1,541,313.00
       
1,541,313.00
       
BENEFITS 
691,293.37
           
691,293.37
           
MATERIALS & SUPPLIES 
184,372.59
           
184,372.59
           
CONTRACTUAL SERVICES 
469,475.00
           
469,475.00
           
CAPITAL OUTLAY 
24,000.00
             
24,000.00
             
2,910,453.96
       
-
                                     
2,910,453.96
       
DIVISION OF FLEET 
SALARIES 
509,053.00
           
509,053.00
           
BENEFITS 
218,735.80
           
218,735.80
           
MATERIALS & SUPPLIES 
360,400.00
           
360,400.00
           
CONTRACTUAL SERVICES 
37,650.00
             
37,650.00
             
CAPITAL OUTLAY 
22,500.00
             
22,500.00
             
1,148,338.80
       
-
                                     
1,148,338.80
       
TOTAL DEPARTMENT OF PUBLIC SERVICE
4,834,133.06
       
-
                                     
4,834,133.06
       
TRANSFERS/ADVANCES
732,200.00
           
732,200.00
           
REFUNDS
2,000.00
               
2,000.00
               
GENERAL FUND 101
27,277,152.99
     
-
                                     
27,277,152.99
     
CASUALTY AND LOSS 200
CONTRACTUAL SERVICES  
50,000.00
             
50,000.00
             
50,000.00
             
-
                                     
50,000.00
             
SEPARATION PAY 201
SALARIES
902,204.00
           
902,204.00
           
BENEFITS 
14,279.00
             
14,279.00
             
916,483.00
           
-
                                     
916,483.00
           
ECONOMIC DEVELOPMENT 220
CONTRACTUAL SERVICES  
10,000.00
             
10,000.00
             
10,000.00
             
-
                                     
10,000.00
             
COMMUNITY DIVERSION 230
SALARIES              
24,700.00
             
24,700.00
             
BENEFITS              
4,271.00
               
4,271.00
               
MATERIALS & SUPPLIES  
950.00
                   
950.00
                   
CONTRACTUAL SERVICES  
3,200.00
               
3,200.00
               
33,121.00
             
-
                                     
33,121.00
             
SENIOR CENTER 235
MATERIALS & SUPPLIES  
14,800.00
             
14,800.00
             
14,800.00
             
-
                                     
14,800.00
             
PARKS AND RECREATION  240
SALARIES              
1,338,259.00
       
1,338,259.00
       
BENEFITS              
427,387.72
           
427,387.72
           
MATERIALS & SUPPLIES  
176,750.00
           
176,750.00
           
CONTRACTUAL SERVICES  
917,100.00
           
917,100.00
           
CAPITAL OUTLAY        
-
                          
-
                          
REFUNDS
10,000.00
             
10,000.00
             
TRANSFERS/ADVANCES OUT
59,000.00
             
59,000.00
             
2,928,496.72
       
-
                                     
2,928,496.72
       
COURT COMPUTERIZATION 245
MATERIALS & SUPPLIES  
500.00
                   
500.00
                   
CONTRACTUAL SERVICES  
9,700.00
               
9,700.00
               
CAPITAL OUTLAY        
1,350.00
               
1,350.00
               
11,550.00
             
-
                                     
11,550.00
             
HOTEL MOTEL TAX 250
MATERIALS & SUPPLIES  
31,000.00
             
31,000.00
             
CONTRACTUAL SERVICES  
43,300.00
             
43,300.00
             
CAPITAL OUTLAY        
128,300.00
           
128,300.00
           
      HOTEL MOTEL - FIRE
202,600.00
           
-
                                     
202,600.00
           
MATERIALS & SUPPLIES  
42,120.00
             
42,120.00
             
CONTRACTUAL SERVICES  
12,000.00
             
12,000.00
             
CAPITAL OUTLAY        
342,919.00
           
342,919.00
           
      HOTEL MOTEL - POLICE
397,039.00
           
-
                                     
397,039.00
           
TRANSFERS/ADVANCES OUT
51,000.00
             
51,000.00
             
650,639.00
           
-
                                     
650,639.00
           
LAW ENFORCEMENT 262
CAPITAL OUTLAY        
47,000.00
             
47,000.00
             
47,000.00
             
-
                                     
47,000.00

SAFE TRAFFIC ORIENTED POLICE 266
SALARIES              
170,788.00
           
170,788.00
           
BENEFITS              
66,605.33
             
66,605.33
             
MATERIALS & SUPPLIES  
24,300.00
             
24,300.00
             
CONTRACTUAL SERVICES  
21,000.00
             
21,000.00
             
282,693.33
           
-
                                     
282,693.33
           
POLICE PENSION 269
BENEFITS              
300,000.00
           
300,000.00
           
300,000.00
           
-
                                     
300,000.00
           
EMERGENCY MEDICAL SERVICES 270
CONTRACTUAL SERVICES  
35,000.00
             
35,000.00
             
CAPITAL OUTLAY        
80,000.00
             
80,000.00
             
TRANSFERS/ADVANCES OUT
108,150.00
           
108,150.00
           
223,150.00
           
-
                                     
223,150.00
           
FIRE PENSION 279
BENEFITS              
300,000.00
           
300,000.00
           
300,000.00
           
-
                                     
300,000.00
           
MOTOR VEHICLE LICENSE TAX 280
MATERIALS & SUPPLIES  
48,000.00
             
48,000.00
             
CONTRACTUAL SERVICES  
168,005.00
           
168,005.00
           
216,005.00
           
-
                                     
216,005.00
           
STATE HIGHWAY 281
MATERIALS & SUPPLIES  
193,000.00
           
193,000.00
           
CONTRACTUAL SERVICES  
130,000.00
           
130,000.00
           
323,000.00
           
-
                                     
323,000.00
           
STREET MAINTENANCE 282
SALARIES              
377,580.00
           
377,580.00
           
BENEFITS              
163,956.48
           
163,956.48
           
MATERIALS & SUPPLIES  
523,750.00
           
523,750.00
           
CONTRACTUAL SERVICES  
198,900.00
           
198,900.00
           
CAPITAL OUTLAY        
639,000.00
           
639,000.00
           
1,903,186.48
       
-
                                     
1,903,186.48
       
SIDEWALK IMPROVEMENT 286
CONTRACTUAL SERVICES
5,000.00
               
5,000.00
               
5,000.00
               
-
                                     
5,000.00
               
SOLID WASTE AND RECYCLING 290
CONTRACTUAL SERVICES  
2,703,100.00
       
2,703,100.00
       
CAPITAL OUTLAY        
92,000.00
             
92,000.00
             
2,795,100.00
       
-
                                     
2,795,100.00
       
PERMANENT IMPROVEMENT 295
CONTRACTUAL SERVICES  
48,000.00
             
48,000.00
             
CAPITAL OUTLAY        
715,194.34
           
715,194.34
           
TRANSFERS/ADVANCES OUT
1,439,831.26
       
1,439,831.26
       
2,203,025.60
       
-
                                     
2,203,025.60
       
GREAT NORTHERN TIF 296
CONTRACTUAL SERVICES  
15,000.00
             
15,000.00
             
TRANSFERS/ADVANCES OUT
301,900.00
           
301,900.00
           
316,900.00
           
-
                                     
316,900.00
           
ENDOWMENT AND GRANT 300
MATERIALS & SUPPLIES 
117,490.76
           
117,490.76
           
CONTRACTUAL SERVICES
49,042.00
             
49,042.00
             
166,532.76
           
-
                                     
166,532.76
           
COMMUNITY DEVELOPMENT BLOCK GRANT 310
TRANSFERS/ADVANCES OUT
150,000.00
           
150,000.00
           
150,000.00
           
-
                                     
150,000.00
           
TITLE III GRANT 320
SALARIES              
18,005.00
             
18,005.00
             
BENEFITS              
3,144.00
               
3,144.00
               
21,149.00
             
-
                                     
21,149.00
             
LOCAL FISCAL RECOVERY 385
CONTRACTUAL SERVICES
-
                          
70,000.00
                         
70,000.00
             
Increase for economic development study
-
                          
70,000.00
                         
70,000.00
             
GENERAL OBLIGATION BOND RETIREMENT 410
CONTRACTUAL SERVICES
30,000.00
             
30,000.00
             
DEBT SERVICE          
7,211,269.08
       
7,211,269.08
       
7,241,269.08
       
-
                                     
7,241,269.08
       
FIRE STATION BOND RETIREMENT 450
DEBT SERVICE          
1,125,100.00
       
1,125,100.00
       
1,125,100.00
       
-
                                     
1,125,100.00
       
CAPITAL IMPROVEMENT 500
CAPITAL OUTLAY
4,403.00
               
4,403.00
               
TRANSFERS/ADVANCES OUT
98,000.00
             
98,000.00
             
102,403.00
           
-
                                     
102,403.00
           
LAND ACQUISITION 540
CONTRACTUAL SERVICES
20,000.00
             
20,000.00
             
20,000.00
             
-
                                     
20,000.00

SPRINGVALE GOLF & BALLROOM 650
SALARIES              
520,829.00
           
520,829.00
           
BENEFITS              
103,085.70
           
103,085.70
           
MATERIALS & SUPPLIES  
416,000.00
           
416,000.00
           
CONTRACTUAL SERVICES  
364,475.00
           
364,475.00
           
CAPITAL OUTLAY        
235,332.82
           
235,332.82
           
REFUNDS
5,000.00
               
5,000.00
               
TRANSFERS/ADVANCES OUT
274,350.00
           
274,350.00
           
1,919,072.52
       
-
                                     
1,919,072.52
       
SEWER REVENUE 680
SALARIES              
1,945,532.00
       
1,945,532.00
       
BENEFITS              
842,951.80
           
842,951.80
           
MATERIALS & SUPPLIES  
783,500.00
           
783,500.00
           
CONTRACTUAL SERVICES  
2,259,850.00
       
2,259,850.00
       
CAPITAL OUTLAY        
548,000.00
           
548,000.00
           
REFUNDS
3,500.00
               
3,500.00
               
TRANSFERS/ADVANCES OUT
3,842,331.56
       
3,842,331.56
       
10,225,665.36
     
-
                                     
10,225,665.36
     
SANITARY SEWER IMPROVEMENT FUND 685
CAPITAL OUTLAY
-
                          
-
                          
-
                          
-
                                     
-
                          
HOSPITALIZATION   700
CONTRACTUAL SERVICES  
5,301,690.00
       
5,301,690.00
       
5,301,690.00
       
-
                                     
5,301,690.00
       
WORKERS COMP SELF INSURANCE 720
CONTRACTUAL SERVICES  
314,978.00
           
314,978.00
           
314,978.00
           
-
                                     
314,978.00
           
TRUST & AGENCY 800
MISCELLANEOUS/REFUNDS
330,000.00
           
330,000.00
           
330,000.00
           
-
                                     
330,000.00
           
MAYOR'S COURT AGENCY 820
MISCELLANEOUS/REFUNDS
1,000,000.00
       
1,000,000.00
       
1,000,000.00
       
-
                                     
1,000,000.00
       
MAYOR'S COURT BOND 821
MISCELLANEOUS/REFUNDS
6,000.00
               
6,000.00
               
6,000.00
               
-
                                     
6,000.00
               
TOTAL ALL FUNDS
68,731,162.84
     
70,000.00
                         
68,801,162.84

---

[2022-40 Transfer Appropriations.pdf]
ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
COUNCIL
SALARIES 
175,713.00
               
175,713.00
               
BENEFITS 
50,997.05
                 
50,997.05
                 
MATERIALS & SUPPLIES 
1,400.00
                   
1,400.00
                   
CONTRACTUAL SERVICES 
44,200.00
                 
44,200.00
                 
CAPITAL OUTLAY 
4,000.00
                   
4,000.00
                   
TOTAL COUNCIL 
276,310.05
               
-
                              
276,310.05
               
MAYOR 
SALARIES 
309,631.00
               
309,631.00
               
BENEFITS 
115,746.13
               
115,746.13
               
MATERIALS & SUPPLIES 
29,600.00
                 
29,600.00
                 
CONTRACTUAL SERVICES 
68,400.00
                 
68,400.00
                 
CAPITAL OUTLAY 
8,000.00
                   
8,000.00
                   
531,377.13
               
-
                              
531,377.13
               
DIVISION OF MAYOR'S COURT 
SALARIES 
169,856.00
               
169,856.00
               
BENEFITS 
79,354.57
                 
79,354.57
                 
MATERIALS & SUPPLIES 
12,100.00
                 
12,100.00
                 
CONTRACTUAL SERVICES 
11,800.00
                 
11,800.00
                 
CAPITAL OUTLAY 
800.00
                      
800.00
                      
273,910.57
               
-
                              
273,910.57
               
DIVISION OF INFORMATION TECHNOLOGY 
SALARIES 
162,236.00
               
162,236.00
               
BENEFITS 
29,858.60
                 
29,858.60
                 
MATERIALS & SUPPLIES 
6,350.00
                   
6,350.00
                   
CONTRACTUAL SERVICES 
393,612.28
               
393,612.28
               
CAPITAL OUTLAY 
191,000.00
               
191,000.00
               
783,056.88
               
-
                              
783,056.88
               
TOTAL DEPARTMENT OF MAYOR
1,588,344.58
           
-
                              
1,588,344.58
           
DEPARTMENT OF FINANCE               
SALARIES 
375,549.00
               
375,549.00
               
BENEFITS 
164,452.43
               
164,452.43
               
MATERIALS & SUPPLIES 
10,200.00
                 
10,200.00
                 
CONTRACTUAL SERVICES 
700,203.00
               
700,203.00
               
CAPITAL OUTLAY 
800.00
                      
800.00
                      
TOTAL DEPARTMENT OF FINANCE
1,251,204.43
           
-
                              
1,251,204.43
           
DEPARTMENT OF LAW 
SALARIES 
210,699.00
               
210,699.00
               
BENEFITS 
120,003.07
               
120,003.07
               
MATERIALS & SUPPLIES 
875.00
                      
875.00
                      
CONTRACTUAL SERVICES 
12,950.00
                 
12,950.00
                 
CAPITAL OUTLAY 
500.00
                      
500.00
                      
TOTAL DEPARTMENT OF LAW 
345,027.07
               
-
                              
345,027.07
               
NOW, THEREFORE, BE IT ORDAINED BY THE CITY OF NORTH OLMSTED, COUNTY OF CUYAHOGA,  STATE OF OHIO:
SECTION 1:  That to provide for the current expenses and other expenditures of the City of North Olmsted during the year ending December 
31, 2022, that the following sums be and they are hereby set aside and appropriated as follows:
City of North Olmsted
Ordinance 2022-040
By:  Mayor Daily Jones
AN ORDINANCE TO MAKE AND TRANSFER APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES FOR THE CITY OF NORTH 
OLMSTED FOR THE YEAR ENDING DECEMBER 31, 2022 AND DECLARING AN EMERGENCY.
Page 1 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
DEPARTMENT OF HUMAN RESOURCES 
SALARIES 
232,034.00
               
232,034.00
               
BENEFITS 
105,503.82
               
105,503.82
               
MATERIALS & SUPPLIES 
2,750.00
                   
2,750.00
                   
CONTRACTUAL SERVICES 
260,456.00
               
260,456.00
               
600,743.82
               
-
                              
600,743.82
               
CIVIL SERVICE COMMISSION
MATERIALS & SUPPLIES 
400.00
                      
400.00
                      
CONTRACTUAL SERVICES 
48,910.00
                 
48,910.00
                 
49,310.00
                 
-
                              
49,310.00
                 
TOTAL DEPARTMENT OF HUMAN RESOURCES
650,053.82
               
-
                              
650,053.82
               
DEPARTMENT OF ECONOMIC & COMMUNITY DEVELOPMENT
SALARIES 
200,940.00
               
200,940.00
               
BENEFITS 
110,963.90
               
110,963.90
               
MATERIALS & SUPPLIES 
4,000.00
                   
4,000.00
                   
CONTRACTUAL SERVICES 
277,800.00
               
277,800.00
               
CAPITAL OUTLAY 
1,000.00
                   
1,000.00
                   
594,703.90
               
-
                              
594,703.90
               
BOARDS & COMMISSIONS 
MATERIALS & SUPPLIES 
5,200.00
                   
5,200.00
                   
CONTRACTUAL SERVICES 
20,020.00
                 
20,020.00
                 
25,220.00
                 
-
                              
25,220.00
                 
DIVISION OF ENGINEERING 
SALARIES 
120,680.00
               
120,680.00
               
BENEFITS 
21,951.25
                 
21,951.25
                 
MATERIALS & SUPPLIES 
1,000.00
                   
1,000.00
                   
CONTRACTUAL SERVICES 
162,270.00
               
162,270.00
               
305,901.25
               
-
                              
305,901.25
               
TOTAL DEPARTMENT OF ECONOMIC AND COMMUNITY DEVELOPMENT
925,825.15
               
-
                              
925,825.15
               
DEPARTMENT OF PUBLIC SAFETY
SALARIES 
108,002.00
               
108,002.00
               
BENEFITS 
55,974.40
                 
55,974.40
                 
MATERIALS & SUPPLIES 
10,400.00
                 
10,400.00
                 
CONTRACTUAL SERVICES 
10,530.00
                 
10,530.00
                 
CAPITAL OUTLAY 
1,200.00
                   
1,200.00
                   
186,106.40
               
-
                              
186,106.40
               
DIVISION OF FIRE 
SALARIES 
3,849,043.00
           
3,849,043.00
           
BENEFITS 
1,675,403.77
           
1,675,403.77
           
MATERIALS & SUPPLIES 
140,175.00
               
140,175.00
               
CONTRACTUAL SERVICES 
311,884.00
               
311,884.00
               
CAPITAL OUTLAY 
43,650.00
                 
43,650.00
                 
6,020,155.77
           
-
                              
6,020,155.77
           
DIVISION OF POLICE 
SALARIES 
4,723,999.00
           
4,723,999.00
           
BENEFITS 
1,787,857.28
           
1,787,857.28
           
MATERIALS & SUPPLIES 
176,950.00
               
176,950.00
               
CONTRACTUAL SERVICES 
459,766.91
               
459,766.91
               
CAPITAL OUTLAY 
23,400.00
                 
23,400.00
                 
7,171,973.19
           
-
                              
7,171,973.19
           
Page 2 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
DISPATCH 
SALARIES 
664,620.00
               
664,620.00
               
BENEFITS 
238,306.00
               
238,306.00
               
MATERIALS & SUPPLIES 
2,000.00
                   
2,000.00
                   
CONTRACTUAL SERVICES 
57,500.00
                 
57,500.00
                 
962,426.00
               
-
                              
962,426.00
               
CORRECTIONS 
SALARIES 
107,148.00
               
107,148.00
               
BENEFITS 
50,208.50
                 
50,208.50
                 
MATERIALS & SUPPLIES 
3,500.00
                   
3,500.00
                   
CONTRACTUAL SERVICES 
100,600.00
               
100,600.00
               
CAPITAL OUTLAY 
5,000.00
                   
5,000.00
                   
266,456.50
               
-
                              
266,456.50
               
DIVISION OF BUILDING 
SALARIES 
834,223.00
               
834,223.00
               
BENEFITS 
358,269.72
               
358,269.72
               
MATERIALS & SUPPLIES 
15,500.00
                 
15,500.00
                 
CONTRACTUAL SERVICES 
120,550.00
               
120,550.00
               
CAPITAL OUTLAY 
30,000.00
                 
30,000.00
                 
1,358,542.72
           
-
                              
1,358,542.72
           
TOTAL DEPARTMENT OF PUBLIC SAFETY
15,965,660.58
         
-
                              
15,965,660.58
         
DEPARTMENT OF RECREATION AND PUBLIC ENGAGEMENT
SALARIES 
108,002.00
               
108,002.00
               
BENEFITS 
55,816.00
                 
55,816.00
                 
MATERIALS & SUPPLIES 
500.00
                      
500.00
                      
CONTRACTUAL SERVICES 
37,880.00
                 
37,880.00
                 
CAPITAL OUTLAY 
1,500.00
                   
-
                              
1,500.00
                   
203,698.00
               
-
                              
203,698.00
               
DIVISION OF JUVENILE DIVERSION
SALARIES 
111,110.00
               
111,110.00
               
BENEFITS 
30,295.30
                 
30,295.30
                 
MATERIALS & SUPPLIES 
3,425.00
                   
3,425.00
                   
CONTRACTUAL SERVICES 
17,800.00
                 
17,800.00
                 
CAPITAL OUTLAY 
13,000.00
                 
13,000.00
                 
175,630.30
               
-
                              
175,630.30
               
DIVISION OF AGING
SALARIES 
193,113.00
               
193,113.00
               
BENEFITS 
85,982.95
                 
85,982.95
                 
MATERIALS & SUPPLIES 
11,800.00
                 
11,800.00
                 
CONTRACTUAL SERVICES 
36,170.00
                 
36,170.00
                 
327,065.95
               
-
                              
327,065.95
               
TOTAL DEPARTMENT OF RECREATION AND PUBLIC ENGAGEMENT
706,394.25
               
-
                              
706,394.25
               
DEPARTMENT OF PUBLIC SERVICE
SALARIES 
131,002.00
               
131,002.00
               
BENEFITS 
71,898.30
                 
71,898.30
                 
MATERIALS & SUPPLIES 
2,000.00
                   
2,000.00
                   
CONTRACTUAL SERVICES 
567,640.00
               
567,640.00
               
CAPITAL OUTLAY 
2,800.00
                   
2,800.00
                   
775,340.30
               
-
                              
775,340.30
               
Page 3 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
DIVISION OF PUBLIC WORKS
SALARIES 
1,541,313.00
           
1,541,313.00
           
BENEFITS 
691,293.37
               
691,293.37
               
MATERIALS & SUPPLIES 
184,372.59
               
184,372.59
               
CONTRACTUAL SERVICES 
469,475.00
               
469,475.00
               
CAPITAL OUTLAY 
24,000.00
                 
24,000.00
                 
2,910,453.96
           
-
                              
2,910,453.96
           
DIVISION OF FLEET 
SALARIES 
509,053.00
               
509,053.00
               
BENEFITS 
218,735.80
               
218,735.80
               
MATERIALS & SUPPLIES 
360,400.00
               
360,400.00
               
CONTRACTUAL SERVICES 
37,650.00
                 
37,650.00
                 
CAPITAL OUTLAY 
22,500.00
                 
22,500.00
                 
1,148,338.80
           
-
                              
1,148,338.80
           
TOTAL DEPARTMENT OF PUBLIC SERVICE
4,834,133.06
           
-
                              
4,834,133.06
           
TRANSFERS/ADVANCES
732,200.00
               
732,200.00
               
REFUNDS
2,000.00
                   
2,000.00
                   
GENERAL FUND 101
27,277,152.99
         
-
                              
27,277,152.99
         
CASUALTY AND LOSS 200
CONTRACTUAL SERVICES  
50,000.00
                 
50,000.00
                 
50,000.00
                 
-
                              
50,000.00
                 
SEPARATION PAY 201
SALARIES
902,204.00
               
902,204.00
               
BENEFITS 
14,279.00
                 
14,279.00
                 
916,483.00
               
-
                              
916,483.00
               
ECONOMIC DEVELOPMENT 220
CONTRACTUAL SERVICES  
10,000.00
                 
10,000.00
                 
10,000.00
                 
-
                              
10,000.00
                 
COMMUNITY DIVERSION 230
SALARIES              
24,700.00
                 
24,700.00
                 
BENEFITS              
4,271.00
                   
4,271.00
                   
MATERIALS & SUPPLIES  
950.00
                      
950.00
                      
CONTRACTUAL SERVICES  
3,200.00
                   
3,200.00
                   
33,121.00
                 
-
                              
33,121.00
                 
SENIOR CENTER 235
MATERIALS & SUPPLIES  
14,800.00
                 
14,800.00
                 
14,800.00
                 
-
                              
14,800.00
                 
PARKS AND RECREATION  240
SALARIES              
1,338,259.00
           
1,338,259.00
           
BENEFITS              
427,387.72
               
427,387.72
               
MATERIALS & SUPPLIES  
176,750.00
               
176,750.00
               
CONTRACTUAL SERVICES  
917,100.00
               
917,100.00
               
CAPITAL OUTLAY        
-
                             
-
                             
REFUNDS
10,000.00
                 
10,000.00
                 
TRANSFERS/ADVANCES OUT
59,000.00
                 
59,000.00
                 
2,928,496.72
           
-
                              
2,928,496.72
           
COURT COMPUTERIZATION 245
MATERIALS & SUPPLIES  
500.00
                      
500.00
                      
CONTRACTUAL SERVICES  
9,700.00
                   
9,700.00
                   
CAPITAL OUTLAY        
1,350.00
                   
1,350.00
                   
11,550.00
                 
-
                              
11,550.00
                 
Page 4 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
HOTEL MOTEL TAX 250
MATERIALS & SUPPLIES  
31,000.00
                 
31,000.00
                 
CONTRACTUAL SERVICES  
43,300.00
                 
43,300.00
                 
CAPITAL OUTLAY        
128,300.00
               
128,300.00
               
      HOTEL MOTEL - FIRE
202,600.00
               
-
                              
202,600.00
               
MATERIALS & SUPPLIES  
42,120.00
                 
42,120.00
                 
CONTRACTUAL SERVICES  
12,000.00
                 
12,000.00
                 
CAPITAL OUTLAY        
342,919.00
               
342,919.00
               
      HOTEL MOTEL - POLICE
397,039.00
               
-
                              
397,039.00
               
TRANSFERS/ADVANCES OUT
51,000.00
                 
51,000.00
                 
650,639.00
               
-
                              
650,639.00
               
LAW ENFORCEMENT 262
CAPITAL OUTLAY        
47,000.00
                 
47,000.00
                 
47,000.00
                 
-
                              
47,000.00
                 
SAFE TRAFFIC ORIENTED POLICE 266
SALARIES              
170,788.00
               
170,788.00
               
BENEFITS              
66,605.33
                 
66,605.33
                 
MATERIALS & SUPPLIES  
24,300.00
                 
24,300.00
                 
CONTRACTUAL SERVICES  
21,000.00
                 
21,000.00
                 
282,693.33
               
-
                              
282,693.33
               
POLICE PENSION 269
BENEFITS              
300,000.00
               
300,000.00
               
300,000.00
               
-
                              
300,000.00
               
EMERGENCY MEDICAL SERVICES 270
CONTRACTUAL SERVICES  
35,000.00
                 
35,000.00
                 
CAPITAL OUTLAY        
80,000.00
                 
80,000.00
                 
TRANSFERS/ADVANCES OUT
108,150.00
               
108,150.00
               
223,150.00
               
-
                              
223,150.00
               
FIRE PENSION 279
BENEFITS              
300,000.00
               
300,000.00
               
300,000.00
               
-
                              
300,000.00
               
MOTOR VEHICLE LICENSE TAX 280
MATERIALS & SUPPLIES  
48,000.00
                 
48,000.00
                 
CONTRACTUAL SERVICES  
168,005.00
               
168,005.00
               
216,005.00
               
-
                              
216,005.00
               
STATE HIGHWAY 281
MATERIALS & SUPPLIES  
193,000.00
               
193,000.00
               
CONTRACTUAL SERVICES  
130,000.00
               
130,000.00
               
323,000.00
               
-
                              
323,000.00
               
STREET MAINTENANCE 282
SALARIES              
377,580.00
               
377,580.00
               
BENEFITS              
163,956.48
               
163,956.48
               
MATERIALS & SUPPLIES  
523,750.00
               
523,750.00
               
CONTRACTUAL SERVICES  
198,900.00
               
198,900.00
               
CAPITAL OUTLAY        
639,000.00
               
639,000.00
               
1,903,186.48
           
-
                              
1,903,186.48
           
SIDEWALK IMPROVEMENT 286
CONTRACTUAL SERVICES
5,000.00
                   
5,000.00
                   
5,000.00
                   
-
                              
5,000.00
                   
SOLID WASTE AND RECYCLING 290
CONTRACTUAL SERVICES  
2,703,100.00
           
2,703,100.00
           
CAPITAL OUTLAY        
92,000.00
                 
92,000.00
                 
2,795,100.00
           
-
                              
2,795,100.00
           
PERMANENT IMPROVEMENT 295
CONTRACTUAL SERVICES  
48,000.00
                 
48,000.00
                 
CAPITAL OUTLAY        
715,194.34
               
715,194.34
               
TRANSFERS/ADVANCES OUT
1,439,831.26
           
1,439,831.26
           
2,203,025.60
           
-
                              
2,203,025.60
           
Page 5 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
GREAT NORTHERN TIF 296
CONTRACTUAL SERVICES  
15,000.00
                 
15,000.00
                 
TRANSFERS/ADVANCES OUT
301,900.00
               
301,900.00
               
316,900.00
               
-
                              
316,900.00
               
ENDOWMENT AND GRANT 300
MATERIALS & SUPPLIES 
117,490.76
               
117,490.76
               
CONTRACTUAL SERVICES
49,042.00
                 
49,042.00
                 
166,532.76
               
-
                              
166,532.76
               
COMMUNITY DEVELOPMENT BLOCK GRANT 310
TRANSFERS/ADVANCES OUT
150,000.00
               
150,000.00
               
150,000.00
               
-
                              
150,000.00
               
TITLE III GRANT 320
SALARIES              
18,005.00
                 
18,005.00
                 
BENEFITS              
3,144.00
                   
3,144.00
                   
21,149.00
                 
-
                              
21,149.00
                 
LOCAL FISCAL RECOVERY 385
CONTRACTUAL SERVICES
-
                             
70,000.00
                  
70,000.00
                 
-
                             
70,000.00
                  
70,000.00
                 
GENERAL OBLIGATION BOND RETIREMENT 410
CONTRACTUAL SERVICES
30,000.00
                 
30,000.00
                 
DEBT SERVICE          
7,211,269.08
           
7,211,269.08
           
7,241,269.08
           
-
                              
7,241,269.08
           
FIRE STATION BOND RETIREMENT 450
DEBT SERVICE          
1,125,100.00
           
1,125,100.00
           
1,125,100.00
           
-
                              
1,125,100.00
           
CAPITAL IMPROVEMENT 500
CAPITAL OUTLAY
4,403.00
                   
4,403.00
                   
TRANSFERS/ADVANCES OUT
98,000.00
                 
98,000.00
                 
102,403.00
               
-
                              
102,403.00
               
LAND ACQUISITION 540
CONTRACTUAL SERVICES
20,000.00
                 
20,000.00
                 
20,000.00
                 
-
                              
20,000.00
                 
SPRINGVALE GOLF & BALLROOM 650
SALARIES              
520,829.00
               
520,829.00
               
BENEFITS              
103,085.70
               
103,085.70
               
MATERIALS & SUPPLIES  
416,000.00
               
416,000.00
               
CONTRACTUAL SERVICES  
364,475.00
               
364,475.00
               
CAPITAL OUTLAY        
235,332.82
               
235,332.82
               
REFUNDS
5,000.00
                   
5,000.00
                   
TRANSFERS/ADVANCES OUT
274,350.00
               
274,350.00
               
1,919,072.52
           
-
                              
1,919,072.52
           
SEWER REVENUE 680
SALARIES              
1,945,532.00
           
1,945,532.00
           
BENEFITS              
842,951.80
               
842,951.80
               
MATERIALS & SUPPLIES  
783,500.00
               
783,500.00
               
CONTRACTUAL SERVICES  
2,259,850.00
           
2,259,850.00
           
CAPITAL OUTLAY        
548,000.00
               
548,000.00
               
REFUNDS
3,500.00
                   
3,500.00
                   
TRANSFERS/ADVANCES OUT
3,842,331.56
           
3,842,331.56
           
10,225,665.36
         
-
                              
10,225,665.36
         
HOSPITALIZATION   700
CONTRACTUAL SERVICES  
5,301,690.00
           
5,301,690.00
           
5,301,690.00
           
-
                              
5,301,690.00
           
WORKERS COMP SELF INSURANCE 720
CONTRACTUAL SERVICES  
314,978.00
               
314,978.00
               
314,978.00
               
-
                              
314,978.00
               
TRUST & AGENCY 800
MISCELLANEOUS/REFUNDS
330,000.00
               
330,000.00
               
330,000.00
               
-
                              
330,000.00
               
Page 6 of 7

ORDINANCE        
2022-017           
 INCREASE 
(DECREASE) 
 AMENDED 
ORDINANCE        
2022-040 
MAYOR'S COURT AGENCY 820
MISCELLANEOUS/REFUNDS
1,000,000.00
           
1,000,000.00
           
1,000,000.00
           
-
                              
1,000,000.00
           
MAYOR'S COURT BOND 821
MISCELLANEOUS/REFUNDS
6,000.00
                   
6,000.00
                   
6,000.00
                   
-
                              
6,000.00
                   
TOTAL ALL FUNDS
68,731,162.84
         
70,000.00
                  
68,801,162.84
         
PASSED: ____________________________________
First Reading:
Second Reading:
Third Reading:
Committee:
Beatrice Taylor, Clerk of Council
Approved: __________________________________
Nicole Dailey Jones, Mayor
Louis J Brossard, President of Council
SECTION 4:  That this Ordinance is hereby declared to be an emergency measure immediately necessary for the preservation of the public peace, health, 
safety and welfare of this City in order to appropriate the funding of urgent city projects; and further provided that it receives the affirmative vote of 
two-thirds of the members of this Council, it shall take effect upon its approval by the Mayor.
     SECTION 2:  That the Clerk of Council shall immediately forward an attested copy of the Ordinance to the Fiscal Officer of Cuyahoga County.
     SECTION 3:  That the Director of Finance is hereby authorized to draw her warrants on the City Treasury for payment from any of the foregoing 
appropriations upon receiving proper certificates and vouchers therefore, approval by the Board of Officers authorized by law to approve same, or an 
ordinance or resolution of Council to make the expenditures; provided that no warrants shall be drawn or paid for salaries or wages except to persons 
employed by authority of and in accordance with law or ordinance.  Provided further, that the appropriations for contingencies can only be expended 
upon approval of two-thirds vote of Council and for purposes other than those covered by the specific appropriations herein made.
Page 7 of 7
Transfer Appropriations Attachments | Urbyn