HomeMy WebLinkAbout1981-05-07 Council (Regular) MinutesCounty of Newell No. 4
Council Meeting
May 7, 1981
The regular Council Meeting of the County of Newell No. 4 was held
in the County Office at Brooks, Alberta on Thursday, May 7, 1981
commencing at 10:30 a.m.
Members Present Reeve T. Musgrove
Councillor P. Wallace
V. Fabian 10:40 a.m.
M. Andrews
J. Hajash
W. Christensen
A. Peltzer 11:25 a.m.
A. Scheuerman
Administrator D. James
Moved by Councillor Wallace that Councillor George be excused from
this meeting for business reasons. Carried.
1. Minutes
Minutes of the April 23, 1981 meeting were presented to the Council.
Moved by Councillor Wallace that we adopt these minutes. Carried.
2. Business from the Minutes
3-7 - Rolling Hills Dog Control By-law
The Administrator is to obtain more information from the S.P.C.A.
in regard to the construction of dog kennels for dog pound purposes.
y
4 - Bus & Truck Insurance Claim
The Administrator reported on this claim to date and it was moved by
Councillor Wallace that we table this item until the September Council
Meeting. Carried.
8-7 - Brooks Refuse Grounds - Div. 5
A letter from the Town of Brooks advising that they have accepted
our offer for the sum of $7000.00 grant for 1981 was presented to
the Council for their information.
2-10 - Foothills Pipeline Right-of-way
Discussion took place on this item and it was moved by Councillor
Andrews that we accept the agreement and grant the right-of-way
as requested subject to the price of $500.00 per acre and NOVA
committing themselves to dig a temporary garbage pit in this area.
Carried.
4-14 - Town of Brooks Airport
No report at this meeting.
3. Correspondence
1. Social Services & Community Health - Brooks Landfill Site
Letter from Social Services & Community Health concerning the
Brooks Landfill Site and request for County approval on this site
as it is located within the County, was presented to the Council.
Moved by Councillor Hajash that we approve this application. Carried.
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2. N.I.G.P. - Governmental Purchasing Course
Information was presented to the Council in regard to this Course
to be held in Calgary on June 8,9 & 10. It was recommended that
we send M. Greenwood and C. Metz to this Course if they are able
to attend. Carried.
3. A.A.M.D. & C. Fall Convention
The Administrator advised that the Fall Convention will be held on
November 16 - 20 and that reservations have been made at the
MacDonald Hotel in Edmonton. Moved by Councillor Fabian that all
Councillors, the Administrator and the Public Works Supervisor
attend this Convention if able to do so. Carried.
4. A.A.M.D. & C. Name Tags
Information was presented to the Council in regard to these proposed
name tags and this matter was ordered filed at this date.
5. Medicine Hat Health Unit
A report on the Rainier School water advising that this water is
satisfactory was presented to Council for their information.
6. A.A.M.D. & C. - Spring Convention
A copy of the Resolutions sent to the Government from the Spring
Convention were filed with the Council for their information.
7. Snowball Developing & Consulting Company
Account from Snowball Developing for the waterline crossing for the
Hamlet of Patricia was presented to the Council and referred to
Reeve Musgrove for further verification.
8. B. Bandstra
Application from B. Bandstra for road approach in NE 6-15-16-4
was presented to the Council. Moved by Councillor Andrews that
we approve this application. Carried.
9. Town of Bassano - Frontage Tax
Notice of the special assessment for local improvement on County
property in the Town of Bassano was presented to the Council and
it was moved by Councillor Scheuerman that we appeal this frontage
tax footage. Carried.
Lunch
Adjourned for lunch 12:00 - 1:30 p.m.
4. Cheques for Payment
Moved by Councillor Hajash that cheques 2321 - 2794, as per
attached list, be approved for payment. Carried.
5. Committee Reports
1. Board of Education
By-law 738-81
Moved by Councillor Hajash that By-law 738-81 to rescind By-law 706-80
receive first reading. Carried Unanimously.
Moved by Councillor Christensen that By-law 738-81 receive second
reading. Carried Unanimously.
Page 43
Moved by Councillor Andrews that consent of Council be given for
third and final reading of By-law 738-81. Carried Unanimously.
Moved by Councillor Scheuerman that By-law 738-81 receive third
and final reading. Carried Unanimously.
By-law 739-81
Moved by Councillor Fabian that By-law 739-81 for the advertising
to borrow by debentures for the proposed Duchess Addition receive
first reading. Carried Unanimously.
Moved by Councillor Wallace that By-law 739-81 receive second reading.
Carried Unanimously.
Moved by Councillor Scheuerman that By-law 739-81 receive consent of
Council for third and final reading. Carried Unanimously.
Moved by Councillor Christensen that By-law 739-81 receive third and
final reading. Carried Unanimously.
1
Municipal Committee
a A short discussion took place on the $600,000.00 grant being the
Economic Stab i1ization;Grantprovided by the Government and it was
agreed that a special Municipal Committee Meeting be held on
May 11th at 7:30 p.m. at the County Office.
Shop Committee Report
Moved by Councillor Wallace that we move to a Committee of the
Whole. Carried.
Moved by Councillor Fabian that we return to the regular Council
Meeting. Carried.
Moved by Councillor Wallace that we ratify the decision of the
Shop Committee regarding the Shop Foreman and agree to the payment
of severance pay to June 15th as per letter. Carried.
6. Delegations
Mr. T. Biglin, Fish & Wildlife Officer, did not appear at the meeting.
C. Douglass - Tax Account - Mr. C. Douglass met with the Council
and discussed his 1980 tax account further. After reviewing the
matter further it was moved by Councillor Hajash that we refund
the sum of $210.90 on these 1980 taxes. Carried.
7. Planning Commission
1. Annual Meeting
Notice of the Annual Meeting of the S.E. Alberta Regional Planning
Commission to be held on Friday, May 22nd in Medicine Hat was
presented to the Council. Moved by Councillor Fabian that all
those who wish to attend may do so. Carried.
2. Application 80 SE 118 - Service Agreement
This item was tabled for further information.
Page 44
3. Application ,81 SE 70 County of Newell
Moved by Councillor Andrews that we approve this application subject
to deferral of cash in -lieu -of Public Reserve to the other parcel.
Carried.
4. Application 81 SE 71 - D. Penner
Moved by Councillor Hajash that we approve this application subject
to consolidation of title with the balance of that parcel and cash
in -lieu -of Public Reserve being set at $3000.00 per acre. Carried.
5. Application 81 SE 74 - H. & I. Beattie
Moved by Councillor Wallace that we approve this application subject
to consolidation of titles. Carried.
6. Revised Policy
A revised Policy in regard to Money in -place -of Reserve was presented
to the Council for their information and study.
8. Other Business
1. Utility & Development Report
The Utility & Development Control Officer's Report for April
was submitted to the Council.
2. Municipal Administrator's Refresher Course
Information on the Municipal Administrators Refresher Course,
June 8,9 & 10 was presented to the Council. Moved by Councillor
Fabian that the Administrator be allowed to attend this Seminar.
Carried.
3. Elected Officials Symposium, June 10 - 13, Edmonton
Moved by Councillor Wallace that any of those who wish to attend
may do so. Carried.
4. J. Dell - Assessment Request
John Dell, Assessor, requested that he be allowed to work with the
Lethbridge Assessors in the M.D. of Taber to obtain more information
on farmland assessment under the new manual system. Moved by
Councillor Fabian that we approve this request for two weeks
attendance with the Lethbridge Assessors. Carried.
5. Office Renovations
Discussion took place on the proposed renovations to the office.
Moved by Councillor Fabian that Proposal #3 for the basement School
Offices be approved. Carried.
Moved by Councillor Hajash that the proposal for the upstairs main
area, parking lot, heating system and back sidewalk area be approved
subject to further study or consideration on the floor covering for
the Board Room. Carried.
Moved by Councillor Christensen that we approve the estimated cost
on the basement area renovations in the amount of $8200.00 as per
list presented and amended. Carried.
6. Rosemary Community Complex
Moved by Councillor Peltzer that the tabled motion concerning the
request from Rosemary in regard to possible funding from the Debt
Reduction Fund for the Rosemary Complex be lifted from the table.
Carried.
Page 45
�Y1
A very.lengthy discussion then took place on this subject and it
was moved by Councillor Peltzer that we allot a portion of the
Debt Reduction Fund Account on a per capita basis of approximately
$97.00 per capita which would equal $39,894.00 for Division 7
Community Complex. Also that this Fund be made available to
any other Divisions on the same per capita basis subject to
agreements if these facilities are located within other Municipalities
and subject to each project being approved by County Council.
Councillor Peltzer requested a recorded vote on this motion. Those
voting for: Councillors Peltzer, Hajash & Musgrove. Those voting
against: Councillors Fabian, Christensen, Andrews. Scheuerman and
Wallace. Vote on the motion - Lost.
Excused from Meeting
Moved by Councillor Wallace that he be excused from the meeting at
4:30 p.m. Carried.
7. Office Accounting Machine
The Administrator reported on the study being carried out on the
new office machine to date.
8. 1981 Budget & Mill Rates By-law By-law 740-81
The Administrator presented the up -dated report on the proposed
1981 Municipal Budget and Mill Rates. After reviewing this report
it was moved by Councillor Fabian that By-law 740-81 to set the
1981 Mill Rates for the County of Newell receive first reading.
Carried Unanimously.
Moved by Councillor Andrews that By-law 740-81 receive second reading.
Carried Unanimously.
Moved by Councillor Peltzer that By-law 740-81 receive consent of
Council for third and final reading. Carried Unanimously.
Moved by Councillor Scheuerman that By-law 740-81 receive third and
final reading. Carried Unanimously.
9. June Meetings
Moved by Councillor Fabian that the June Council Meeting be set.for
June 4th and the June Agricultural Service Board Meeting be set for
June 5th, these changes being brought about by Conventions and the
June 12th holiday. Carried.
10. B. Wells - TaxPG
A request from B. Wells for consideration on his 1981 assessment
and tax was presented to the Council. After discussion on this
item it was moved by Councillor Andrews that this item be deferred
until September and that Mr. Wells be advised to resubmit his
request for consideration after the 1981 tax billings are sent out.
Carried.
11. Agreement for Purchase of Land
Moved by Councillor Andrews that we approve the purchase of land
for additional road right-of-way from F.G. & 0. Winter. Carried.
Adjourn
Meeting adjourned at 5:15 p.m.
YNA
EEVE
COUN Y ADMSTRATOR
Page 46 Pill
Alberta
MUNICIPAL AFFAIRS
BUDGET ESTIMATE FORMS
For the Fiscal Year Ended December 31, 198_
MUNICIPALITY ............County. of. ,NQWP11. No....4...........................................
Certified a True and Correct Copy of The Current Year's Estimates as Adopted
by the Council on May 7 1981
Mayor/Reeve
Muni '"F Treasurer/Administrator/Manager
County.Qf.Newell.No..4.........
MUNICIPALITY
TAX LEVY ESTIMATES — CURRENT YEAR
For The Year Ending December 31, 19 81 _
ESTIMATES AS REQUIRED BY SECTIONS 92 THROUGH 93.2 OF THE MUNICIPAL TAXATION ACT
DETAILS OF CONSOLIDATED TAX LEVY
Estimated
TAX LEVY REQUIRED
Maximum
BASIC Allowance TOTAL
TOTAL
ASSESSED
VALUATION
MILL
RATES
TAX
LEVY
PROVINCIAL PLANNING FUND REQUISITION
24372
24372 137808080
.65
24575
EDUCATION REQUISITIONS_.-
3School Foundation Program Requisition(s) ...........
upplementary School Requisitions .....................
Count of Newell ��4
75X .........Y .............. .... S.D. No.........
75x.. County..of..Newe.11. 14. sxK-x .EP. &..Pl
75X ... Brooks . • .. .. .... ..... S.D. No. .2092...
75X............................. S.D. No.........
75X............................. S.D. No.....,..
75X............................. S.D. No........
75X............................. S.D. No.........
75X............................. S.D.No.........
823780
823780
24328680
33.80 822309
;��. �; 777
" ''
- 10i�777-
3-784.95 15258230ft-p3rj63784=84
'; ' T 8-3 y ;,�ry17 9 0 2 8 0 38.20
68388
HEALTH AND OTHER REQUISITIONS:'
75X............................ H.D. No.........
75X............................ H.D. No.........
75X............................ H.D. No........
75X Nursing Home ..................................
75X Auxiliary Hospital ............................... .
75X ................... Newell.. Seniors Foundation
75X ............................. Seniors Foundation
75X ............................. Seniors Foundation
75X ............................. Seniors Foundation
51634 51634 37808080 1.40
52931
TOTAL FOR REQUISITIONSy9J(y%;/��'l
T4s 31�
2#�93�2
24A738-4
1XX/2XX LEVIES FOR MUNICIPAL PURPOSES
go
31
2603811 2603811
37808080
68.94
2606489
General Municipal Operations ........................ (1)
Special Assessments/Local Improvements ................
Debt Charges for Long Term and Debentures ..............
Special Levies for Operating Functions ...................
Capital Projects—Finances Acquired Levies ...............
Special Reserves Levies ............................ .
Detail of Special Levies: (2)
F.ire..Area..-, Div.,. 3_,6.,.$ ....................
................ Diu....7..........................
.............. . Div.. 1.,4.,.5 ....................
Recreation.Boards.-.Div....4...............
........... . .... Div... 1.,3.,.6,.7.,8...............
Div... 5 ..........................
................ Div.. 2,9.......................
..................................................
................... I..............................
..................................................
..................................................
..................................................
..................................................
..................................................
18000 18000
18000
19132 19132 37808080 .51
19282
15605 15605 7802840 2.00
15605
'1152 3152 1050960 3-00
1152,
35555 35555 8989800 4.00
3555
1593 1593 1593190 1.00
1593
21242 21242 10621350 2.00
21242
16584 16584 5528060 3.00
16584
18525 18525 4631060 4.00
18525
TOTAL LEVIES FOR MUNICIPAL PURPOSES
- _ _ _ _ _ _
_
,-----
-------
Estimated Mobile Unit License Revenue I 20000 I I 20000 I I I 2yy011000
TOTAL TAXES AND GRANTS IN LIEU ^' /` � "� � b� /de )U
(1) The tax levy entry in this line must equal the amount shown on Page BF3 as "Net Taxes for General Municipal Purposes" in the
"Preceding Year Estimates" column.
(2) Detail breakdown of "Special Levies" should be provided. Write in the appropriate detail items in the blank lines and omit information in the
corresponding categories above.
BF1
County. of. NQWell. No....4............................ .
MUNICIPALITY
TAX LEVY ESTIMATES — PRECEDING YEAR
For The Year Ended December 31, 19 80_
ESTIMATES AS REQUIRED BY SECTIONS 92 THROUGH 93.2 OF THE MUNICIPAL TAXATION ACT
DETAILS OF CONSOLIDATED TAX LEVY
PROVINCIAL PLANNING FUND REQUISITION
EDUCATION REQUISITIONS
X7xx School Foundation Program Requisition(s) ...........
Supplementary School Requisitions .....................
12060730
75X. County.. of .Newell. ��4..
S.D. No........ .
75x.. County. •of..Newell . #4
- eft- FP . & - PL
75X.. B.r.00k.s...................
S.D. No. 2.092.. .
75X.............................
S.D.No.........
75X.............................
S.D. No.........
75X.............................
S.D.No.........
75X.............................
S.D.No.........
75X.............................
S.D. No........
1496
20641
HEALTH AND OTHER REQUISITIONS:
10320190
75X............................
H.D. No.........
75X............................
H.D.No.........
75X............................
H.D. No.........
75X Nursing Home ..................................
17277
75X Auxiliary Hospital....... ........................
.
75X . Newell ....................
Seniors Foundation
75X .............................
Seniors Foundation
75X .............................
Seniors Foundation
75X .............................
Seniors Foundation
TOTAL FOR REQUISITIONS
1 XX/2XX LEVIES FOR MUNICIPAL PURPOSES
General Municipal Operations ........................ (1
Special Assessments/Local Improvements ................
Debt Charges for Long Term and Debentures ..............
Special Levies for Operating Functions ...................
Capital Projects—Finances Acquired Levies ...............
Special Reserves Levies ..............................
Detail of Special Levies: (2
Fire. Area. -.D.iv...3.,.5,6,8..................
... ............. D.iv...7..........................
........ ........ Riv....1.,.4.......................
Recreation, .Boards . - .Div...4...............
........ I ....... D.iv...1.,.3 , 6 , 7.,.8 ...............
................ D.iv....5..........................
................ D.iv....2.,.9.......................
..................................................
...................................................
..................................................
..................................................
..................................................
..................................................
..................................................
.....:...................................I........
TOTAL LEVIES FOR MUNICIPAL PURPOSES
I Estimated Mobile Unit License Revenue
I TOTAL TAXES AND GRANTS IN LIEU
TAX LEVY REQUIRED
TOTAL MILL TAX
Maximum ASSESSED RATES LEVY
BASIC Allowance TOTAL VALUATION
789185 1 789185 119480910 140.52 1 789366
422569 422569 14218340 29.72 422569
50132 50132 1498810 33.46 50150
I 33363 1 1 33363 135198060 1 1.00 1 35198 1
19087841 11908784
1911033
24573161 12457316 135198060 170.00 1 2463864
_]
17614 1 1 17614 1 1 1 17614
24121
24121
12060730
2.00
24121
3113
3113
1037780
3.00
3113
12961
12961
3240320
4.00
12961
1496
1496
1496370
1.00
1496
20641
20641
10320190
2.00
20641
13943
13943
4647640
3.00
13943
17277
17277
4319470
4.00
17277
2568482
20000
2568482
2575030
20000
(1) The tax levy entry in this line must equal the amount shown on Page BF 3 as "Net Taxes for General Municipal Purposes" in the
"Preceding Year Estimates" column.
(2) Detail breakdown of "Special Levies" should be provided. Write in the appropriate detail items in the blank lines and omit information in the
corresponding categories above.
BF2
.County. pf Newell. No.•..4 ..........................
MUNICIPALITY
ESTIMATED GENERAL MUNICIPAL REVENUES
For The Year Ending December 31, 19 81
100/200 TAXES AND GRANTS IN LIEU
110 Real Property
29,801
120 Special Assessments ...........................
5,000
130 Mobile Unit Licenses ...........................
5,000
170 Business Taxes ................................
13,256
190 Power, Pipeline, Cable T.V., etc ...................
20,000
230 Federal Grants in Lieu of Taxes ..................
.
240 Provincial Grants in Lieu of Taxes ..................
106.951
250 Other Local Governments Grants in Lieu ............
290 Other Grants in Lieu of Taxes .....................
TOTAL TAXES AND GRANTS IN LIEU
DEDUCTIONS FROM TAXES
(1)
Total Requisitions ............................
(1)
Special Levies..............................(1)
[TOTAL DEDUCTIONS AND LEVIES
(1)
NET TAXES FOR GENERAL MUNICIPAL PURPOSES
(2)
500 OTHER REVENUES FROM OWN SOURCES
510 Penalties and Costs ............................
530 Fines..for. Municipal .By. -Laws..........
540 Concessions and Franchises .....................
550 Return on Investments ..........................
590 Other. -Licence., - Permits •& -Dentals
TOTAL OTHER REVENUES FROM OWN SOURCES
700 UNCONDITIONAL GRANTS
730 Federal ......................................
740 Provincial .....................................
750 Other Local Governments .......................
790 Other Unconditional Grants ......................
.
TOTAL UNCONDITIONAL GRANTS
TOTAL NET GENERAL MUNICIPAL REVENUES
(3)
PRECEDING PRECEDING I CURRENT
YEAR YEAR YEAR
ESTIMATE ACTUAL ESTIMATE
3; d ,jT5,Z
1.963.816 1 2-.-"-9--.3-1-2
93,5521 93,552 1 149,388
2,054,336 2,057,368 2-5-5$8-c7-00
4S, 63Y
17,000
29,801
25,000
5,000
7,590
5,000
13,256
20,000
389,420
20,000
61.000
106.951
69.500
%311 46� /3y
3,122,727 3,735,119 3-;-2-64;21
A
(1) The amounts in this section are deducted in calculating 'Total Net General Municipal Revenues." The 'Total Requisitions" estimates are the tax
levy amounts on Pages BF1 and BF2. Levies, other than for "General and Municipal Operations," are entered as parts of the "Estimated Operating
Revenues" on Page BF4 and/or parts of "Estimated Capital Financing Acquired" on Page BF6 in Lines for the functions to which they apply.
(2) "Net Taxes for General Municipal Purposes" must equal Tax Levy for "General Municipal Operations" on Pages BF1 and BF2.
& BF8
(3) Net amount of revenues for general municipal purposes to be entered in the first line on Page BF4, "Estimated Operating Revenues."
BF3
.......................... County. .of . Newell. No.. 4 ......... I ............. .
MUNICIPALITY
ESTIMATED OPERATING REVENUES
For The Year Ending December 31, 19 81
FUNCTION DESCRIPTION
PRECEDING PRECEDING
YEAR YEAR
ESTIMATE ACTUAL
CURRENT
YEAR
ESTIMATE
GENERAL MUNICIPAL REVENUES
3,122,727 3 735 119
11 Council and Other Legislative .................. .
12 General Administration and Other .............
...... ........... ...................... I.......
.......... ..................... I...............
35,956 40,620
22,527
21 Police Department and Services Used ........... .
23 Fire Fighting and Preventive Service .............
24 Disaster Service and Emergency Measures ........
25 Ambulance Services and First Aid ...............
26 By -Laws Enforcement and Other ................
.................................. I............
...............................................
40,195 40 195
54,312
31 Common Services and/or Equipment Pool .........
32 Roads, Streets, Walks, Lighting, Drainage .........
...................... I ....... ...... I ...... ....
33 Airport Services ............................. .
34 Public Transit Systems ....................... .
...............................................
.................... I .................... I.....
1,494,960 1,823,257
788,434
41 Water Supply and Distribution System ........... .
... ........ ...................... I.............
42 Sanitary Sewage Service and Treatment ..........
........................................ I......
43 Garbage Collection & Disposal ................. .
.................. I ....................... .....
...............................................
17,297
18,000
51 Preventive Social Services .................... .
52 Day Care ..................................
53 Other Public Health (can include Cemeteries) ......
...............................................
...............................................
61 Municipal Planning, Zoning & Development ........
62 Community and/or Agricultural Services ...........
66 Subdivision Land and Developments ..............
67 Public Housing Operations .................... .
69 Land/Housing/Building Rentals and Other .........
................................. I.............
...............................................
47,771 34,965
40,600
40,000
50,000
71 Recreation Board and Other Services ............
72 Recreation/Parks Facilities and Programs......... .
74 Culture: Community Hall, Library, Museum, etc. ... .
............................. ........ I.........
...............................................
...............................................
'16,91 CL
91 Gas Production and Distribution .................
92 Electrical Production and Distribution ............ .
...............................................
...............................................
97 Operating Contingencies Reserve ...............
500,000
TOTAL MUNICIPAL OPERATING FUNCTIONSIL
4 834 966 5 781,720
?j (I
4;79 ;G28
9X County School Functions ......................
GRAND TOTAL OPERATING FUNCTIONS
4,834,966 5,781,720
�+-�-796;48
(1) From Page BF3 carry forward of "Total Net General Municipal Revenues."
BF4
...............................County. of .Newell. No....4 ......................
MUNICIPALITY
ESTIMATED CAPITAL XQkAk �D !K
For The Year Ending December 31, 19 Al
FUNCTION DESCRIPTION
PRECEDING PRECEDING
YEAR YEAR
ESTIMATE ACTUAL
CURRENT
YEAR
ESTIMATE
11 Council and Other Legislative .................. .
12 General Administration and Other ................
.................... .............. I............
...............................................
1.750
4,400
21 Police Department and Services Used ............
23 Fire Fighting and Preventive Service ............ .
24 Disaster Service and Emergency Measures ........
25 Ambulance Services and First Aid ...............
26 By -Laws Enforcement and Other ............... .
...............................................
.............. .................. ........ I......
31 Common Services and/or Equipment Pool .........
32 Roads, Streets, Walks, Lighting, Drainage .........
...............................................
33 Airport Services ............................. .
34 Public Transit Systems ........................
.............................. I ........... I....
...............................................
370,000 354,932
125.600
11 ,954
41 Water Supply and Distribution System ............
..................... I.........................
42 Sanitary Sewage Service and Treatment ..........
....................... I.......................
43 Garbage Collection & Disposal ................. .
.............. .......................... I......
...............................................
16,470
51 Preventive Social Services .....................
52 Day Care ..................................
53 Other Public Health (can include Cemeteries) ......
.................... I ................. .........
............ ..................... I.............
61 Municipal Planning, Zoning & Development ........
62 Community and/or Agricultural Services ...........
66 Subdivision Land and Developments ..............
67 Public Housing Operations .................... .
69 Land/Housing/Building Rentals and Other ..........
.......... ...................... I..............
40,000 351
0
71 Recreation Board and Other Services ...........
72 Recreation/Parks Facilities and Programs......... .
74 Culture: Community Hall, Library, Museum, etc. ... .
...............................................
............................. I.................
...............................................
91 Gas Production and Distribution .................
92 Electrical Production and Distribution .............
................ I ........................ I.....
........ ....................... I...............
...............................................
TOTAL MUNICIPAL CAPITAL FUNCTIONS
410, 000 407.37
190,000
i 9X: County School Capital Functions ................
GRAND TOTAL CAPITAL FUNCTIONS
410,000 407,377
190,000
BF7
............... C.ounty.of.N.ewell.No...4.................................
MUNICIPALITY
SUMMARY OF ESTIMATED OPERATING REVENUES AND EXPENDITURES
For The Year Ending December 31, 19 811
ITEM DESCRIPTION
PRECEDING
YEAR
ESTIMATE
PRECEDING
YEAR
ACTUAL
CURRENT
YEAR
ESTIMATE
REVENUESXXAXFA. General Municipal3;22,72'7-
100/200 Special Taxes and Grants in Lieu ...........
300 Sales to Other Governments ...................
400 Sales of Goods and Services ...................
520 Professional and Other Licenses and Permits ...
530 Municipal By -Law Fines Issued ..............
550 Return on Investments held for Function .......
560 Rental Revenues ..........................(1)
590 Other Revenues from Own Sources ...........
830 Federal Conditional Grants ....................
840 Provincial Conditional Grants ....................
850 Local Government Conditional Grants .............
915 Contributed from Operating Functions ............
916 Withdrawn from Function Operating Allowances.....
917 Withdrawn from Function Operating Reserves ......
920 Contributed from Capital Sources ................
960 Gross Recoveries from Operating Functions .......
990 Grants from Non -Government and Other Sources
.
(1)
(1)
(1)
(1)
.
.
37,9'
-777-7
,2„
37,132
16,000 55,377
20,000
416 471
445 995
M544,330
1 186 216
916,434
TOTAL ESTIMATED OPERATING REVENUES
(2)
I 4,741.4141
5,688,1684,683,772
BY OBJECT:
1,227,322
939 329
1,322,130
4,1EXPENDITURES
100 Salaries, Wages and Benefits ...................
200 Contracted and General Services ................
300 Purchases from Other Governments ............ .
500 Materials, Goods, Supplies and Utilities ...........
7X0 Grants to ......................... Government
761 Contributed to other Operating Functions......... .
762 Contributed to Capital Programs .................
763 Added to Function Operating Allowances ..........
764 Added to Function Operating Reserves ...........
765 Contributed to Own Municipal Agencies.......... .
770 Grants to Individuals and Organizations........... .
810 Short Term and Other Financial Charges ..........
820 Long Term Debt ..............................
830 Debenture Debt Charges ...................... .
960 Gross Recoveries to Operating Functions .........
990 Other Transactions, Discounts, Adjustments .......
2,185,950
3 177 127
2,109,300
231,300 162,424
938,200
410,000 372,374
190,000
35,000 786,811
37,000
ig-onn 11,994
19,0()0
15:300 26,494
30,500
36,745 36,745
33,749
32.0001 153,796
10.000
TOTAL ESTIMATED OPERATING EXPENDITURES
(3)
NET ESTIMATED OPERATING DEFICIT
NET ESTIMATED OPERATING SURPLUS
555 , 797
21,114
900
(1) May group together and record as "590 Other Revenues From Own Sources."
(2) To agree with total amounts shown for operating revenues on Page BF4. Counties and the Town of Devon should specify whether these totals do
or do not include the School Operating Revenues estimates.
(3) To agree with the total amounts shown for operating expenditures on Page BF5, see (2) regarding school amounts.
BF8
County of Newell No. 4
...........
.......................................................
MUNICIPALITY
ESTIMATED ASSESSMENTS SUMMARY
For The Year Ending December 31, 198L
MAJOR PRIVATE HOLDINGS:
NAME
PRECEDING YEAR
ESTIMATE
SALARIES &
SUBSISTENCE
LAND ASSESSMENT BUILDINGS AND
IMPROVEMENTS MACHINES,
TOTAL
Mayor, Reeve or Chairman:
EQUIPMENT
ASSESSMENT
DESCRIPTION
UBJECEXEMPT SUBJECT AND
ENGINEER'G
EXEMPTFFOUNDATITOLN
OR
Council Members
FROM SCHOOFROM TO SCHOOL
STRUCTURES
VALUATION
87,000
S.F.P. S.F.P. FOUNDATION
MAJOR PRIVATE HOLDINGS:
NAME
PRECEDING YEAR
ESTIMATE
SALARIES &
SUBSISTENCE
PRECEDING YEAR
ACTUAL
SALARIES &
SUBSISTENCE
CURRENT YEAR
ESTIMATES
SALARIES &
SUBSISTENCE
Mayor, Reeve or Chairman:
Commercial Properties ...................
.
.
?9g930
1364070
Council Members
159300Q—
1 67,293
87,000
Members of Council:
Industrial Properties ........ ....... ....
Residential Properties ....... ..............
..
108670
iLgrigi ?n
648297
528290
183440
1824050
2535780
Farming Properties ........................
111155101
97750
11213260
TOTAL MAJOR PRIVATE HOLDINGS
11643800
618790
1824050 2870250
4868120
21825010
OTHER NON-GOVERNMENTAL HOLDINGS:
Railway Rights of Way .............. .. ..
23290
85750
67,293
109040
14189940
14189940
Resources Wells and Pipe Lines ..............
321260
321260
Electrical Power Systems ...................
Cable T.V. Systems ........................
690
690
TOTAL OTHER PRIVATE HOLDINGS
23290
85750
14511890
14620930
GOVERNMENT OWNED HOLDINGS:
Municipal Electrical System ..................
Jj
Municipal Gas System (500+) ..............
.
Municipal Rental Properties ..................
Leased, Grazing and Tax Recovery Land .......
TOTAL MUNICIPAL OWNED HOLDINGS
746340
746340
Alberta Government Telephones ..............
777777777
Alberta Liquor Control Board .................
Other Provincial for G.I.L. ......
42680
573120
615800
Alberta Housing Corporation .................
TOTAL PROVINCIAL HOLDINGS
11
120
1362140
__746340
FEDERAL GOVERNMENT FOR G.LL............
(1)
GRAND TOTAL ASSESSMENTS
11643800
684760
182405T3529120
20126350
37808080
(1) Should be the same as the "Total Assessed Valuation" used on Page BF1 in calculating the mill rate to levy for "General Municipal Operations."
ESTIMATED PAYMENT TO COUNCILLORS FOR MUNICIPAL PURPOSES
DIVISION
OR WARD
(IF APPLICABLE)
NAME
PRECEDING YEAR
ESTIMATE
SALARIES &
SUBSISTENCE
PRECEDING YEAR
ACTUAL
SALARIES &
SUBSISTENCE
CURRENT YEAR
ESTIMATES
SALARIES &
SUBSISTENCE
Mayor, Reeve or Chairman:
rTotal Expenditures for
Council Members
84,300
1 67,293
87,000
Members of Council:
TOTAL...................................................................
84 300
67,293
(2)
87,000
(2) Must be less than or equal to "'11 Council and Other Legislative" on Page BF5; and shoulo normauy De less man mai amount.
(3) This line could be used to report "Total Expenditures for Council Members" as a single line entry; or expenditures for individual council members
could be estimated at the option of the municipality.
BF10