CITY OF REVELSTOKE
BYLAW NO. 1561
A Bylaw for the Purpose of Adopting the Annual Budget and Tax Rates for the Year 1997
WHEREAS in accordance with the provisions of Sections 264 and 273 of the Municipal Act, Council is required, by bylaw to adopt the annual budget estimates of the municipality on or before the fifteenth day of May of each year.
AND WHEREAS a levy shall be imposed on all taxable land and improvements within the City of Revelstoke, according to the assessed value thereof, at a rate to provide the total of the amount to be raised by taxation.
NOW THEREFORE, the Council of the City of Revelstoke in open meeting assembled enacts as follows:
1. Schedule "A" attached hereto, providing for a gross expenditure of $12,098,900 and made part of this bylaw is hereby adopted and is the annual budget of the City of Revelstoke for the year ending 31 December 1997.
2. The following rates are hereby imposed and levied for the year 1997 as shown in Schedule "B" attached hereto:
(a) For all lawful general purposes of the municipality on the value of land and improvements taxable for general municipal purposes, rates appearing in Column "I" of the schedule attached hereto and forming part hereof.
(b) For debt purposes on the value of land and improvements taxable for general municipal purposes, rates appearing in Column "II" of the schedule attached hereto and forming a part hereof.
(c) For debt purposes on the value of land and improvements taxable for general municipal purposes excluding residential class for Specified Area purposes as established by Bylaw No. 1305, 1986. Rates appearing in Column "III" of the schedule attached hereto and forming part hereof.
(d) For hospital purposes on the value of land and improvements taxable for Regional Hospital District purposes, rates appearing in Column "IV" of the schedule attached hereto and forming a part hereof.
(e) For purposes of the Columbia-Shuswap Regional District on the value of land and improvements taxable for Regional Hospital district purposes, rates appearing in Column "V" of the schedule attached hereto and forming a part hereof.
(f) For library purposes on the value of land and improvements taxable for general municipal purposes, rates appearing in Column "VI" of the schedule attached hereto and forming a part hereof.
(g) For North Okanagan Regional Hospital District purposes on the value of land and improvements taxable for Regional Hospital District purposes, rates appearing in Column "VII" of the schedule attached hereto and forming a part hereof.
3. The minimum amount of taxation upon a parcel of real property shall be one dollar ($1.00).
4. This bylaw may be cited for all purposes as "The City of Revelstoke Annual Budget and Tax Rates Bylaw No. 1561, 1997".
READ A FIRST TIME THIS 12th DAY OF MAY, 1997.
READ A SECOND TIME THIS 12th DAY OF MAY, 1997.
READ A THIRD TIME THIS 12th DAY OF MAY, 1997.
ADOPTED THIS 14th DAY OF MAY, 1997.
DEPUTY CLERK MAYOR
I hereby certify that the foregoing is a true and correct copy of the "City of Revelstoke Annual Budget and Tax Rates Bylaw No. 1561, 1997".
DEPUTY CLERK SCHEDULE "A" CITY OF REVELSTOKE BYLAW NO. 1561, 1997 1997 GENERAL REVENUE
REVENUE Taxation $ 3,000,000 Grants-in-lieu of taxes 1,201,000 Sale of service 1,572,500 Other revenue from own sources 440,000 Unconditional transfers from other governments 391,000 Conditional transfers from other governments 72,000 Transfers from own funds 537,400 Collection for other governments 3,785,000
Total General Revenue $ 10,998,900
EXPENDITURE Legislative $ 106,000 General government 701,300 Protective services 1,733,500 Transportation services 1,590,000 Environmental health services 377,000 Public health and welfare 70,500 Environmental development 540,000 Recreational and cultural services 1,012,000 Fiscal services 1,083,600 Transmission to other governments 3,785,000
Total General Revenue Expenditure $ 10,998,900
WATER UTILITY
REVENUE Sale of services $ 479,000
Total Water Utility Revenue $ 479,000
EXPENDITURE Administration $ 116,000 Service and supply 142,000 Transmission and distribution 46,000 Reserve for future expenditure 175,000
Total Water Utility Expenditure $ 479,000
SEWER UTILITY
REVENUE Sale of service $ 384,500 Sewage assistance grant 88,500 Frontage charge 102,000 Prior years' surplus 46,000
Total Sewer Utility Revenue $ 621,000
EXPENDITURE Administration $ 116,000 Sewage collection system 134,000 Treatment and disposal 73,000 Fiscal Services 173,000 Reserve for future expenditure 125,000
Total Sewer Utility Expenditure $ 621,000
TOTAL REVENUE $ 12,098,900
TOTAL EXPENDITURE $ 12,098,900
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