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<br />DES:lt:8/10j"ll <br /> <br />ORIGI NAL <br /> <br />AlM> 30 '11 <br /> <br />o R DIN A NeE <br /> <br />N O. <br /> <br />/ ~ ()I- <br /> <br />AN ORDINANCE FIXIl\i'G 'l'1IE AIiiOUNT OF HONEY TO BE HAISED <br />BY Ti\XI\TION UPOX TEE 'rI'l.YJ\BLE PROI?ETY WITHIN 'rBB CITY <br />OF REm';OOD CI'fY 1'>.S REVENuE TO O"\RRY ON 'rnE VARIOUS <br />DEPARTI"i)<;NTS OF SAID CI'l'Y FOR THE FISCAL YEl~R 1971-1972, <br />TO PAY' THE BO?~DED INDEBTEDNESS OF Sl~ID CITY FI~.LLING <br />DUE AND BECOf.1n~G PAYABLE DURING SAID FISCAL YEAR '1'0- <br />GETHER I'iITH 'rEE INTEREST THEREON, TO HAIl\S'rAIN THE PUBLIC <br />LIBW\RY OF SAID CITY Du~ING SAID FISD~L Y}~R, TO PROVIDE <br />FUNDS FOR THE R[:TIREHENT PL2\N, '1'0 PR.OVIDE FDi\DS FOR <br />PARKING DISTRI err NO.1, 'l'O PROVIDE FUJ\IDS FOR GENERl\L <br />IMPROVEl-1ENT DISTRICT NO. 1-64, AND FIXING ANI) LEVYING <br />THE TAX RATE T~1EREFOR <br /> <br />THE COUNCIL OF REDWOOD CITY DOES ORDAIN AS FOLLOWS: <br /> <br />SECTION 1. GENEHAL Tp.X REVENUE REQUIRED. The total <br /> <br />amount of money to be raised by taxation upon the taxable <br /> <br />property within the City of Redwood city to provide revenue <br /> <br />to meet the general municipal expenses and to carryon the <br /> <br />various departments of said city for the fiscal year July 1, <br /> <br />1971-June 30, 1972; to pay the interest and principal upon <br /> <br />all of the outstanding bonded indebtedness of said City, due <br /> <br />and becoming payable during said fiscal year; to rnaintain the <br /> <br />public library of said City during said fiscal year; and <br /> <br />to provide funds for the city's contribution to the retirement <br /> <br />plan voted at the municipal election on April 9, 1940; is hereby <br /> <br />fixed at the total sum of Three Million Fifty Two Thousand Four <br /> <br />Hundred Fifty-nine and 00/100 Dollars ($3,052,459.00). <br /> <br />SECTION 2. REVENUE DETAIL AJ\~ DISTRICTS. The following <br /> <br />general and special tax rates for the areas hereinafter set <br /> <br />forth are hereby levied and fixed for the fiscal year July 1, <br /> <br />1971-June 30, 1972, to raise the total revenues set forth in <br /> <br />Section 1 hereof, and in addition thereto the amounts herein- <br /> <br />after set forth for Parking District No. 1 and General Improve- <br /> <br />ment District No. 1-64, in the amounts set forth herein as <br /> <br />follows, to wit: <br />