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Minutes 11-16-66MINUTES OF SPECIAL ~IEETING OF CITY COUNCIL, Nk~.n IN CITY HALL, BOYNTON BEACH, FLORIDA, NOVEmbER 16, 1966 at 7:30 P.M. Walter A. Madsen, Mayor Frank ~Coy, Jr., Vice F~yor J. Allison Banks, Councilman Charles N. Boos, Counc~l~n Gilbert Collins, Co~u~cilman F. T.. Kain, City Nanager Gene Moore, City Attorney Tereesa Padgett, City Clerk ~%yor Madsen c~11 ed the meeting to order. Mr. Banks gave th~ invocation and Mr. McCoy led the flag salute. Mayor Madsen noted that a considerable number of people from Sterling Village and Hamps~ Gardens were present, Mayor Madsen expressed thanks on behalf of the city to Dr. Weems 'for his donation of"plants. ' ~yor ~adsen asked Council's opinion on giving city employees the Thanks- giving weekend off. Mr. Kain stated he would like to check with the P~blic k~ork's Department and asked if this co~3_ld be held over until Monday night's meeting. ~[r. Alcock, fiscal agent, Mr. Re~]]y, representative of Bache & Co., ~[r. Ostesn of Russell & Axon and Mr. Walter Hays, Chief of the Water Section of Russell & Axon, were introduced by Nayor ~%dsen. Past Mayor James Mahoney was also recognized. Mr. Kain further introduced M~r. Gerald Hawkins, the city's independent auditor, ~. Jay Paulson, trust officer of Atlantic National Bank, and Col. Neff of Russell & Axon. Mr. Kain read the following statements: "In reading ~r. Alcock's correspondence and also a copy of a letter to Mr. Alcock from Mr. Reilly of Bache & Co., it seems to me that there are two basic questions which must be resolved: me The maintenance of sufficient coverage of our debt service to provide annually an amount equal to 1.25 times the amount necessary to provide the debt coverage. me The practice which has been used by this city for many years in charging basic admiuistrative expenses incurred by the General Fund which are attributable to the operation of the Water-Sewer System. -1- MINUTES SPECIAL ~ET~GOFCITYCOUNCIL NOel6, 1966 The first matter, that is, the sufficiency of the debt service, must rely solely on the ~_ucome of the Water-Sewer System. It is obvious from our most recent reports that we have not met this coverage factor. As I have mentioned to you earlier, I believe it is time that the entire rate structure be re-examined by competent persons ~nd that our rates be es- tablished to provide adequate coverage. Within such a rate study, I would reconm~nd that the following be considered. a) ~ater rates to ~tl classe~' of users b) That the sewer rates be studied for all classes of users c) That other rmiscellaneous charges be studied d) That other miscellaneous factors such as the present sewer discount be e~ami ned for possible revision or elimination. On this last item, I feel there is no question now bhat the discounts for early payment of sewer billsbe dropped. In view of our most recent incoms picture, it seems to me that such a discount is completely un- justified. e) As an integral pa~t of a rate study process, I would recommend that the entire cost of the operation be one of the items in- cluded Lu tP~is rate study. Since the Water and Sewer System is a proprietary fund and cannot re- ceive s-~oport from tax revenues, I think it is absolutely essential that the costs of the service rendered by this fund bear a definite relation- ship to the charges made for these services. You w~] find listed below an analysis of the income of the utility system covering the period from November l, 1961, through October 31, 1966. I wo~ld like to point out that the breakdown for the year ending October 31, 1966, is an unaudited est~w~e only, The combined income from this system has increased from$281,2/~.63 for the year ending October 31, 1962 to $~535,016.96. In spite of this large increase in income, our needs for debt service are still causing us problems in the proper fiscal management of this fund: -2- MlhVYfES SPECIAL ~ETING OF CITY C0b~NCiL NOVEmbER 16, 1966 _10-31-62 INCOME - UT~.ITY SYSTF~M 1962 to Date (Audited e~cept t965-1966) (Unaudited) Budget Estimated Estimate 10-31-63 10-31-6~ 10-31~65 10-31-66 10~t-66 WATER SALES '2-~708--~.~ 239,3~9.90 248,59~.47 282,295.50 253,654.34 271,000. S~R SERVICE 9,598.00 ' 25,096.g5 66,338.15 212,761.76 240,6Z~1.79 269,300. SUB TOTAL 239,306.63 264,/d+6,35 314,932.62 495,057.26 494,296.13 540,300. ~rISCELL~NEOUS INCO~ 41,934.00 43,461.00 45~215.00 51,1~.O~00 5~,422.00 47,669. DISCOUNTS (Sewer,~, 13,701~17 0 NET TOTAL ~63 307,907.35 360,147.62 5~6,!97.36 535,016.96 587,969. As an item of recent historywhich illustrates the diffic~_lty w~ have had in properly managing this fund, I would like to refer to the pre- liminary budget message which I submitted to the City Comucil on August 17, 1964. On page I b. of that message, I poiuted out that at that time based on the then e~uistingbond issue~ that the city would be confronted in the fiscal year 1964~1965 ~lth a net deficit of $231,588. Fortunately we were able to refinance the outstanding obligations of the Water-Sewer System before the adoption of the budget for that fiscal year. When you consider the condition the fmad v~s in at that time, it is my opinion that v~ are in infinitely better financial condition today then we w~re at that time. All of the above information, by the way, was available to the purchasers of the 1964 Refunding Bond Issue. You will find following a brief summ~ryof the change in customers to the Sewer System during selected months during 1964and 1966, This report also shows the monthly income change for those months. Customers aa of August l964 1056 C~stomers as of September 1964 3042 Customers as of November 1964 3307 Customers as of February 1966 3539 Customers as of April 1966 3598 Customers as of May 1966 3952 $ 3,874.80 12,129.0! 16,327.00 18,621,60 19,110.70 21,166.95 MINUTES SPECIAL ~ING OF CITY COUNCIL NOVE~R 16, 1966 It is again obvious from the foregoing that Lu order for us to properly operate and madntain the co~oined systems, as well as provide the large debt service necessary, that all of our rates n~st be studied to establish a relationship between the total cost of operation and the rates charged for those services. o ~ne ~a~.er-oewer Oys~em a reasonable a~ount to offset General Fund expenses mncurr~d mn the ope, ration of the Water-Sewer System. Apparently this practice is now i~ question. ~u the present ~b.u ,d~t we have shown this total a~*nist~ative c6st of $60~610. I do~t ~owhow Mr. Alcock or Mr. Re~y of Bache & Co, would like to ?~ve us shc~ these charges. I would like to point out that the ~ater-Se~er System Cannot be supported ~--u any part by t~x revenues. This is provided in the State law and the ~it~y is ~o.bl~iged to ~ollow thee.e rule~m,~ I can only recomme~ to Council .na~ ,we ±.m,~cen to ~the ,s. uggestions o~ Mr. A!cock ;and Mr. Rei~ly to deter-- m_~ne now ~ese costs might be provide~ for." M~. Alcook was called on to come for~szxl ~ud he stated that his bei~j~ .here. was occ. asioned by being i~scal agent in 1964 for the city, He said it ms not hms purpose nor Mr. Reilly's to be objectionable or critical, but it is more a question of cooperat,'~ ~th ~he City and working out a situation agreeable to bondhol~ders and B~che & Co. He noted the city had agreed to pay their expenses, but they w~)] pay their own e~qpenses and are not looking ~o the city to pay for their travel or other exposes. Mr. Alcock noted that the bond issue is drawn around the bond year which ends ~y 31 for payment of June let principal payment. The fiscal year ends October 31 and is for the convenience of the city. Mr. Alcock noted the city has 1,07 ti~es the amount necessary to provide the debt coverage and 1.25 coverage is what the bond buyers asked for when it was bought in 1~64. He noted that surplus water revenues before refunding were to be held for retirement of bonds and not for use of the city. Surplus revenues ~eou].d be ready for use by the city every six months. He stated w~ter rates should be raised or general administrative expenses be applied some other way in order to have the 1.25 coverage, Only surplus water revenues can be used for arqv lawful purpose after six months. The practice of applying certaiu administrative expenses to the ~Yater and Sewer Fund was known to the bondholders but they did not like it. It ~s covered in the engineer's report of August 1964 in which it was stated that surplus above the 1.25 over, ge was to be used for administrative ex- p~nses. He pointed out that on page 8 of the Notice of Sale, it states that general ,administrative costs were not in the budget as operating costs. These exP_enses should not be charged against the water department prior to the principal payment dates. After investigation of the 1966- 1967 budget, the covering of charges is 1.12 an~ it should be 1.25. Last year $~5,000 of administrative expenses was charged to the Water and Sewer ~nd and this year $60,000 is being charged. He asked that something be Settled immediately on some kind Of basi~ until a rate study is completed~ I~TES SPECIAL I~IEETING OF CITY COUNCIL NO~BER 16, 1966 Mr. Alcock stated that this ell came about when he received a call from Iz~. Rei]ly and was told by him that the city was in default a~i that the monthly reports were getting worse and worse and he was asked to get in touch with the city since he was the fiscal agents Mr. Boos asked clarification on the question that before a~m~strative expenses can be taken from the revenue, the city must have the 1.25% Mro Alcock of the debt service oaverage for a period off six months. answered that this is correct, a~d that at the end of the six months any exoess may be used by the ci%Y for any legal purpose. He also noted that prior to the bond issue the city did not get u~e of the money at all. Mr. Re~.lly of Bache & Co. came forward at this time. He gave the follow~n~ figures: 1o25 coverage on the bond is required for principal and interest and of t~25% overage~ $29,O00 has to be paid to the Reserve Fund and $10,000 i~ the Renewal and Replacement ~Fund and $10,500 for contracts~ the debt se~ice is $~05~000 and to cover 1.25~ $~?~,000 is needed. Mr. Hawkins noted that no monies are being used for administrative ex- penses other than salaries and that these services have been charged to the l~ater and Se~r Fund and he feels rightly so. It is noted that the city has been charging one-third of these administrative expenses to the ~ater and Sewer Fund. ~r. Reilly stated that as bond purchasers back in 196~, they were assured that administrative expenses w~uld not be charged to the water and sewer revenues~ The report o~ Russell & Axon made in A~gust 196~ states that administrative expenses are not being charged against this item. Er. Reilly stated that if certain of these expenses are being charged to tb~is f~nd, then there ~t have to be an increase in water and sewer rates. The main thing is that the 1.25 coverage has to be maintained. The city's administrative expenses cotuld be paid from the General Fund or increase rates. Er. Boos asked what the difference between the 1.07 and 1.25 amounts to in actual dollars. ~. Reilly answered approx~E~tely $53,000. Mr° Re~]]y s~ated he wants some assurance from CoLmcil that something w~11 be done. A rate study wdll have to be made, but the problem as far as the bondholders are concerned, is that the rate study will take too long and something w~ 1 have to be done in the interim. Mr. McCoy asked if there is any argument pro or con about the one-third charge of administrative expenses against the ~ater and Sewer Fuud, or is it just to maintain the 1.25 coverage. -5- MffNUTES SPECL&L MEETING OF CITY COUNCIL NOVE~EER 16, 1966 Mr. Reilly stated they are aware that certain city administrative expenses are chargeable to the Water and Sewer Fund, if it is one-third or not is questionable and stated he feels it cannot be done by across the beard percentage. It could be done with some kind of time card system. If the 1.25 coverage is maintained, the bondholders w~]]. be satisfied~ either way. 1~, Kain asked if ~Lr. Reilly felt the £igures presented at the beginning of the meeting do not show a he~?hier picture than when the bonds were bought. ~r. Reilly agreed~ but it does not solve their immediate prob- lem. ~[r. Boos stated that he did not feel it -~s necessary to raise any rates. The revenues are running more each month and the city is in the process of putting new customers into service. ~r. Kain noted that the actual cash needs as of December let, 1966 to meet the debt service is $1~9,?O6.25 and to meet that amount the city has $189_.357 all of which is cash except $1,98~ in interest that will be paid by the 25th. This leaves a difference of about $~0,000. Mr, Reilty noted that they need corrective measures that will cover the 1.25 continually. Mr. Kain asked how tonight they can give Bache & Co. satisfaction. Mr. Reilly stated he needed action as to something being done or proof that more connections w~]] be put on that will generate more revenues, and that he would have to'have this ih~Orm~tion within two weeks. Mr. Reilly asked if the city has $207000 in Renewal and Replacement Funds and in the Bond Reserve Fund and $58,000 in debt service replace- ment. ~. Paulson of Atlantic Bank answered no. ~[r. Re91.ly noted that 1/12 of $29~000 should be paid each month and 1/12 of $10¢0OO paid each month until funds reach $299¢O00 and $100,000 on Renewal and Replacement ftuads. This is $29,938 per year for ten years. He noted this is budgeted, but the funds are not going in. Mr. Paulson stated there is nothin~ in the Renewal & Replacement'Fund, $10,000 in Treasury ~¼% note due ~y 1967 in Reserve Account plus $~,895 cash that came in today. Y~. Hawkins noted that the city is continually replacing capital assets. Mr. Reilly stated that if payment is needed for renewal and replacement, it can be done from these funds. Mr. Kain noted that in view of -~nat has been heard and material dis- cussed before, that the city c~uot maintain the basic needs under the present operation. FKSNUTES SPECIAL N~ETING OF CITY COUNCIL NOVEMBER !6~ 1966 F~. Eain recommended that the practice of discounts be el~mgnated. He stated that they are razor thin on operation of iucome. ~ Mr. Boos stated ~e felt it ~e an ill-conceived thing and has caused a lot of problems, and until such time that the city has corrected th~se things, it should be abated. ~Lr. Boos so moved to eliminate the discount on the water and sewer b~lls. Fir. Collins weconded~ The vote was 3 For and 2 Against. ~. Banks end Mr. Madsen voting against the motion. Mr. Banks asked if provision is made for more customers in 90 to 120 days to ~We more revenues, if this would be satisfactory. Mr. Reilly stated that figures should be based on wh~t the city has now. Mr. Kain stated definite guide lines should bs made. Mr. Really sug- gested that a rate study should be started and that a~m~istrative expenses be charge~ to the General Fund and not to the l~ater and Sewer Fund. In other words~ ~. Reilly stated the city should increase the gross revenues or dscrease expenses or a combination of the two. He stated a time card system could be used and that it should not be across bhe board percentage charges, and the rates should be e~ed and compared with operation. ~s. Castel!o asked when the 10% discount was started and she was told about a year ago. She also asked if the engineers approved the present rate on the multiple dwellings. Mr. 0steen answered that the engineers did approve these present rates. Mr. Boos noted that it has been recommended that the city have a rate study and feels this only fair to everybody concerned. Mr. Boos moved to have a rate study. Mr. McCoy seconded and it was unanimously carried. Mr. Osteen stated when the first water program started, the enginesrs said the water rates would have to be raised to pay for increased oper- ation and debt service and have consistently recommended that this matter of water rates be raised to reflect costs of improvements. He stated that he feels the water rates should be raised, but does not feel the rates should be raised some percentage. He suggested making a rate study of some depth and not to make a hasty decision. He stated that it was brought out that the engineers said that the surplus funds would be available to pay certain a~uistrative costs but that these funds are not available for six months. Nn~. Osteen suggested getting the bond- holders to agree to take off the six months period temporarily and with the 10% discount off, this could sat~s~ymost problems until the rate study is done. ~o Osteen noted that Boynton~'s rates are one of the lowest in Florida and said this does not necessarily mean they should be MINUTES SPECIAL ~ETING OF CITY COUNCIL NOV~ER 16, 1966 more but at least they should be raised enough to reflect the cost of improvements. ~.~. ~{adsen asked ~ir. Reilly how much time the city could have to work t~is out. Mr. Reilly stated he knows it takes approximately 90 days to make a ra~e s~udy and g~ve the city 60 days to show them some proof that something is being done. Mr. Osteen introduced M~. Hays ~ho explained the type of rate study t~h~t will be made. He stated that there is a data processing system that makes a complete tabulation of water and sewer collection from which a complete r~te structure can be made. ~ir. Osteen stated that Russell & Axon does not do the data processir~ but there are several companies that do this type of work. He said the cost would be appro~m~tely $1,000 to $1:500. The engineer's charges on actual preparation and ho~rs of meetings, etc., would be somewhere between $1,500 and $2,500. PAr. Boos stated that they will notbe able to give ~r. Really much infor- mation in 60 days since the rate study w~ll take about 90 days. Mr. Reilly said that he could be informed how the rate study is going along and he ~lt know something W~]I be done and something corrected. At this time bhere was a ten minute recess. LEGAL Recusst of Pub.for the Issuance of an Occupational License ~. Banks moved that this matter be tabled until Monday. Mr. McCoy seconded and it was u~nimouslycarried. Mr. Moore recommended that if it is the desire of Council to held on their position that a full hearing should be held before Council and applicant be allowed to present any contradictory evidence. Mr. Collier, who represents the applicant, was present and it was sug- gested by ~. Boos that he be heard at this time. Mr. Collier noted that this delay is causiug M~. Estabrook severe hard- ship. He stated that if Council will closely examine the list of com- plaints that it will be noted that the complaints are petty and could be classified as harrassment, and of the 16 eomplaints, 12 are from one individual. Mr. Collier noted that a couple of the complaints were made after Mr. Estabrook had sold his license, these were in April and May 1966. Mr. Kain noted that Mr. Estabrook owned the license from December 14, 1965 to July 26, 1966. ~LIE~3TES SPECIAL MEETING OF CITY COUNCIL NOVembER 16, 1966 Ur. Boos moved to remove this matter from the table. There was no second and }ir. McCoy said he would like to give it more thought. ~. Banks noted that ~. CoLlier said the complaints were petty and there were no convictions, but he noted a conviction on 5-18-66 for selt.~ng after hours. ~Lr. Collier said this was after Mr. Estabrook had sold. Mr. Kaiu again pointed that ~ir. Estabrook owned the license from December 14, 1965 to July 26, 1966. This matter will be discussed further Monday ~night. Annexation of T~uds Adjoining the Aiken Tract between the Town limits of Brir~y Breezes and Gu3_fstream Mr. Moore explained that this annexation is south of the parcel annexed last year. Mr. Banks moved that the city attorney read the ordinance. Mr. Boos seconded and it was unanimously carried. Mr.~:ooreW~ read Ordinance 66-26 re annexation of this tract of land. ~ McCoy moved for the passage of Ordinance 66-26 from first to second reading. Mr. Banks seconded. 2ir. Boos asked if this Mill obligate the city in any way. ¥~. Moore answered no. ~Lr. Boos noted that this is a good source of .revenue~ and. the first piece of Ocean frontage acquired for some time. ~r. Moore did note that the tract w~tl be susceptible to all services after completion of 15th Avenue. I~!r. ~dsen noted Council members w~]] have a chance to look this piece of property over before the second reading. Motion was unanimously carried. AD~INISTRATIVE Appointment to Civil Service Board to fill tha vacancy caused by the .resignation of Eze~13~ Hester~ Jr. ~ from that Bo_ard ~Lr. Moore noted that the ordinance reads that if there is m vacancy on the Civil Service Board that the alternate fulfills the unexpired Mr. Madsen stated he had been asked by the colored people to have another colored man to replace Mr. Hester. Mr. McCoy suggested ~. McGregor be moved up from alternate to replace Mr. Hester. This matter will he discussed Monday night and an alternate appointed. -9- ¥~INUTES SPECIAL ~ETING OF CITY COUNCIL NOVE~R 16, 1966 ~r. Kain noted that becauSe of the delivery time involved, he would like to reco~end a~rding the following bids: Police Cars The bid of Benz Chevrolet both on the base price and on the met price is the !ow bid. The equipment offered meets specifications and it is the recommendation of the committee that the low bid be awarded to Benz Chevrolet of Lake ~orth. Mr. K~in noted that the bid price is $1,~00 less than the budgeted amount. M~. McCoy moved for the recommendation of the committee. ~Lr. Banks seconded and it was unanimouslycarrisd. Half-Ton Pick-up i~_r~_~k - Parks Departmen.t_ Mr. Eain noted that the bid of Benz Chevrolet for this item was also low bid and the committee reco~m~ends the award to Benz Chevrolet. This bid v~s $133.35 below the Mr. McCoy so moved for the recommendation. Mr. Banks seconded and it was unanimously carried. OTHER Mr. Kainnoted that the city had received only one bid on the four radios and he would l~e to request this be re-advertised to get a better price with ~ trade-in considered. Mr. Ba~ks moved that Mr. Kainbe authorized to re-submit the bids on the radios. ~r. Boos seconded and it was unanimously carried. Mr. Kain stated that ~he Chamber of Commerce had requested the city turn on Christmas lights on December 1st in conjunction with the program of the merchants. This was agreeable with Council. Mr. Moore noted that the 50th An~uiversary may not be celebrated for another three years, since the information from ¥~r. Benson gives March 1920 as the original date. Mr. Kain noted that he has never received anything ~ wr&ting ~rom t~e Town of Ocean Ridge ~hat they do not in~end-to pursue the fire contract further. -lO- MI~JTES SPECIAL ~ll~qG OF CITY COUNCIL NO~ER 16, 1966 Mr. Boos referred tO a letter from Mr. Moore relative to a piece of property that has been appraised, that is, 6th Street. Mr. Boos said he had talked to Mr, Lym~n and he is agreeable to deeding the property to the city for $3,000. This will give a straight line through and 6th Street can be continued. This property was appraised for $1,900 and Mr. Boos noted that v~lth condemnation and further court costs, $3,000 is a fair figure and feels the c~ty should do this at this time. Kain noted t~t there is $9,100 in the Contingency Fund and this could be taken from that fund. ~. Madsen asked that it be brought up Monday night ~ith a recommendation. ~.Lr. Banks noted a letter abou~ the deal abutting First Avenue. Mr, Kain stated this deal is no longer in existence and the right-of-way has to be left open. It w~s stated that i~r. Johnson should be notified this will be discussed at Monday's Meeting adjourned. Walter A. Madsen, M~yor Frauk McCoy, Jr., V~N~y~ . ~llison Banks, Councilmau ~_ Attest: Clerk Gilbert Col!in~,~ Council~n DISTRIBUTION OF C}~RGES FOR GENERAL FUND EXPENSES ATTRIBUTABLE TO WATER-SEWER SPERATION FINAL BUDGET 1966 1967 A_ CTIVI_ _ ~¥ ll00 1200 1210 OBJECT OF EXPENSE GENERAL FUND CITY COUNCIL ll0-Salaries and Wages Councilman-Mayor Councilman-Vice Mayor Councilman Councilman Councilman Council Secretary DISTRIBUTION WATER PER~_CEN~AGE SEWER 438-Meetings & Schools 1200 1/3 400 1200 1/3 400 1200 1/3 400 1200 1/3 400 1200 1/3 400 l~OO 1/3 400 480-Special Contingency (1200-Mayor's Expenses) 750 1/3 250 ~ITYMANAGER i10-Salaries and Wages City Manager Secretary 1300 (1200 1/3 of 1200 400 only) 13280 1/3 4426 4160 1/3 1386 25Q-Periodicals &Magazines 150 298-Other Contractual Services (Auto Lease) 1200 320-Gas, Oil, Lubricatzon 450 438-Meetings &-Schools CITY ATTORNEY ll0-Salaries and Wages City Attorney Secretary 300 1/3 50 438-Meetings & Schools 1/3- 400 1/3 ,150 1/3 lOO 8500 1/3 2833 I500 1/3 50O 250 1/3 83 page 2 ACTIVITY OBJECT OF EXPENSE GENERAL FUND DISTRIBUTION PERCENTAGE WATER SEWER 1220 1500 CITY CLERK ll0-Salaries and Wages City Clerk Clerk-Steno Service Representative Clerk-Typist 8271 3223 5200 2860 210-TraveI Allowance (Service Rep. 1200) · 438-Meetings & Schools 1350 (1200 only) 150 510-Capital Outlay Desk, Chair 400 .FINANCE ll0-Salaries and Wages Finance Director 8271 Assistant Finance Director 6000 Clerk III-Treasurer 5044 Clerk III-Deputy Treasurer 4056 Clerk~II 3640 Clerk II 3655 Cashier Clerk I 3155 210-Travel Allowance 274-Equipment Repairs 438-Meetings & Schools 510-Capital Outlay Validating Machine 180 450 200 2259 1/3 1/3 1/2 1/2 1/2 of 1200 1/2 1/3 1/3 1/3 1/3 1/2 i/3~ i/~ i/3 i/3 1/3 i/3 2757 1074 2600 1430 600 50 200 2757 2000 1681 1352 1210 1218 1051 60 150 66~ ;' ~ 733 ACTIVITY 1530 1570 2100 3300 OBJECT OF EXPENS_E _ PURCHASING ll0-Salaries and Wages Purchasing Agent Clerk II 438-Meetings & Schools PERSONNEL i10-Salaries and Wages Personnel Officer CITY HALL ll0-Salarles and Wages Switchboard Operator PUBLIC WOP~S ADMINISTRATION ll0-Salaries and.Wages Director Clerk II ~NGINEERING & INSPECTION ll0-Salarles and Wages Director Clerk III GENERAL DISTRIBUTION PE_RCENTAGE WATER SEWER 6500 3718 100 1/3 1/3 1/3 2166 1239 33 5250 173 . 1750 3692 1/3 '1230' 7875 4138 9450 4576 1/3 1/3 113 1/3 2625 2069 3150 1525 ACTIVITY 5700 CHARGE TO: CREDIT TO: OBJECT OF EXPENSE GENERAL .~EMPL__OYEE BENEFITS 450-Christmas Bonus 490-Pension Reserve 492-Social Security 493-Health Insurance 496-Group Life Insurance PROPERTY RENTAL --TOTAL GENERAL FUND 11500 5000 27500 7800 600 iD5003 TO WATER-SEWER FUND 6100-489 300-31 UTILITY ADMINISTRATiON ADMINISTRATIVE CHARGE UTILITIES DISTRIBUTION ~PERCENTAGE WATER SEWER 891 273 1360 310 22 -- '900o Expenditure Revenu~ 60610 60610 60610 PAYMENTS MADE IN OCTOBER BY DATE OCTOSER 0GTOSER OCTOBER OCTOSER 0OTOBER 0CT0~ER 0CTOSE~ 3, 1966 ........................ 11,268.19 4~ 1966 ........................ 1,916.76 5, 1966 ........................ 2~616.28 6~ 1966 ........................ 82.37 7, 1966 ......................... 16,042.77 lO, 1966 ......................... 1,o98.11 12, 1966 ........................ 1,88o.16 13, 1966 ........................ 24o.7o 14, 1966 ........................ 14,747,19 17, 1966 ........................ 173o58 18, 1966 , ........................ 19, 1966 ........................ 21,8~0.98 20, 1966 ........................ 15,236.37 21, 1966 ......................... 18,177o24 24~ 1966 ........................ 25, ~966 ......................... 3,923~3~8 26, 1966 ........................ 27~ 1966 ........................ 28~ 1966 ........................ 14,~79~90 31, 1966 ........................ 39,775.03 PAYMENTS NADE BY FUNDS GENERAL FUND ......................... 116,278.08 WATER REVENUE FUND ...................... 21,818.00 SEWER REVENUE FUND ...................... 20,858.50 WATER DEPOS~TORS FUND .................... 447.50 FIREMEN'S RELIEF & PENS!ON ~UND ............... 2~105~54 J. & $. FUND ~ - -. ....................... ~.72 BOYNTON BEACH M-E-~[OR~AL PARK .................. 4~300o00 MUNICIPAL SWIMMING POOL BOND SSNKING FUND .......... 2,300.00 PUBLiCiTY FUND ........................ 833~96 POLICE RETIREMENT FUND .................... 4,000.00 RENEWA_ & REPLACEF]ENT FUND ................... 2~973.02 SEWAGE DEPOSIT FUND ..................... 7.00 SPECIAL ASSESSMENT FUND 508.~3 176~635~7~ PAY~,ENT~ MADE tN OCTOBER !966 (CONT) Ocr. 31, 1966 PUBLICITY FUND q97i2 CIt~ OF BOYNTON BEACN~ GENERAL FUND BOYNTON BEACH MEPDR~AL PARK 19713 C~T¥ OF BOYNTON BEAD. (G[NEAAL FUND) 270-25 67.59 337~84 4,300~00 39,775~03 PAYMENTS MADE N OCTOBER 1966 (CONT) '' 0or. 31, 1966 RENEWAL & REPLACEMENT FUND 2,973~02 SPECIAL ASSES$"~ENT FUND 19707 RAY ~ALLE~,~ REAL ESTATE F~REMEN"S RELIEF & PENSION fUND 19708 CNARLES SEN,OR 19709 HA'P, OLOP. HERRING 500.00 28°50 kS~~, 77o0~ 0CT~ 31, 1966 PUBLiCiTY fUND 19710 ROSERT E, CARNANAN 19711 BDYNTDN BEACh" CHAMBER OF' GO,ME,ROE 13~94 __256,31 270~25 GENERAL FUND 15018 C~T¥ 1501~ 15020 15021 15022 15023 15024 15025 15026 15027 15028 18,8N3o90 WATER REVENUE FUND 445.49 SR~DIAL ASSESS~ FUND 1OO.52 i. & S~ FUND 133~60 MUN. SW~. POOL BOND 417.06 SARA SIMMS ~EM. GARDENS 10.O0 BOYN BOM MEM~ PAR~ I~7~O~00 PU~L~OiTY FUND 11o07 24~675.18 ~A ~R REVENUE FUND SEWER R-v~NU~ FUND !543 C~T¥ OF 4,164.78 680.13 37.77 4,882.58 1,641.52 278.85 46.40 1,966.77 Su~ Tp'T~L PAYMENTS MADE iN OCTOBER 1966 (CONT) OCT~ 31, 1966 WATER REVENUE FUND 9694 9695 9696 9698 9699 97OO 97Ol 97O2 9703 9704 9705 9706 9707 9708 97O9 9710 9711 HALSEY ~ GRIFFITN~ ~NO~ KELLY TRACTOR COMPANy SOUTHERN BELL TELEPHONE ~ TELEGRAPH STANDARD 0IL COMPANY (KENTUCKY) SOUTHERN METER & SUPPLY CO~ iNC. GENE MOO~Z 153.63 59.14 1.20 10.70 329.00 859. oo 41.66 3.50 257.20 4.02 12.67 1.5o 67.62 17.O5 26.36 88.35 4,164.78 SEWER REVENUE FUND 1532 C~tY OF BOYNTON BEAON (WATER DEPARTMENT) 1534 FLO~OA POWER & L~oNv COMPAN~ 1535 GUL? O~L P~OOUCT$ 1536 STANDAR~ O~L COMPANY 1537 YEO~ANS BROTHERS COMPANY 1538 ~LLEN ~SURANOE 1539 ALL~ED CHLOR~E & CMEMiCAL PEODU0T$~ 1540 BOYNTON AUTO SUPPLY~ 1541 ALLtED CHLORINE ~ CNEMIOAL PROOUCT$, 1542 S~NCLA~R REFIniNG COMPANY 26,36 346.15 132.46 298°00 13.26 157.~ 28~oI 1 ~ 641 SUB TOTAL WATER DEPOSITORS FUNO 6826 6827 6828 6829 6830 6846 ACCOUNT o~ PETER SAONEE 7°50 ACCOUNT OF JONN D. SWEENEY 7.50 ACCOUNT OF ~ARO CUMMINGS FOR FASCO DEV~ CORP~ 25°00 ACCOUNT OF PAUL LENG 7,50 ZEIOLER PAL~ ARTS ACCOUNT OF ~. Go LA$SITER Co.~ ]NC. 7°50 62.50 PAYMENTS MADE N OCTOBER 1966 (CONT) OCT. 31, 1966 GENERAL 14982 14983 14984 14985 14986 14987 14988 14989 14990 14991 14992 14993 14994 14995 14996 14997 14998 14999 1_5ool 15002 15003 15OO4 15oo5 15oo6 15OO7 15O08 15009 15o10 15o11 15012 15~1~ 15 14 15015 15017 FUND BOYNTON AUTO SUPPLY~ ~NC. BOYNTON AUTO SUPPLY~ ~NC. 178,89 BLOSSOM SNOPPE 8.26 EAST COAST FIRE EQUIPMENT 81~83 FRANKHOUSE ELECTRIC SUPPLY~ )NC. 32.93 G~tFFIN EqUiPMENT IRC* 16.85 HiLL MANUFACTURING COMPANY 141,57 H. R. HUNTTING COMPANY, iNC. 54.06 PICARO CHEMICAL CORPORATION 22.59 JOE'S GRILL ~ RESTAURANT 102.25 KELLY TRACTOR COMPANY 53°03 METAL PRODUCTS OF P~M BEACN~ INC. 27,36 MIAMI HERALO PUBLISHING CO.PANT H. F. MASON EQUIPMENT CORPGRAT~ON 20.00 Moo Moo~s D~lvs in 45.30 PALM BEACH OFFICE SUPPLY COMPANY 109.56 REDi & RELIABLE MAINTENANCE SERVICE 120.00 R~cH MotoRs, iNC. 20.75 RIN~ER MATERIALS CORPORATION 191.25 R0o$ & Gums oF DELRAY~ INC. 51.70 S & R 0IL COMPANY 10o2~ SEWELL HARmWARE CO. OF LAKE WORTH~ IMCo 28.93 SOUTHERN BELL TELEPHONE & TELEGRAPH Co. 15.75 BA~ER & TAYLO~ COMPAN~ 10~39 BOYNTON WELL--PUMP & SPRiNkLER SUPPLY CORP. 5%04 CH~ORENS PRESS, ~NC. 44°95 FLONIOA NEWS COMPANY 118.26 SUN-SENTiNEL STANDARD OiL COMPANY (KENTUCKY) 68,70 XEROX COSPORATION 470.80 18,843~90 SUB TOTAL WATER REVENUE FUND 9686 9687 ~688 9689 9690 9691 9692 9693 CiTY OF BOYNTO~ BEACH (PAYROLL FUND) 506.27 JOHN Do SNEENEY 2.00 NARD CUMMINGS FOR FA$O0 DEVELOPMENT CORP. 4.30 PAUL LENm 6.00 BOYRTON TRAVEL AGENCY~ INC. 9.58 CiTY OF BOyNTON BEACH {PETTY CASH) 0.76 FLORmOA POWER & LIGHT COMPANY 1~650.95 PAYMENTS MADE ~N OCTOBER 1966 (CONT) 31, 1966 GENERAL 14935 14936 14937 14938 14939 14940 14941 14942 149~3 14944 1~945 14947 149 14949 14950 14952 14953 14954 14955 14956 14957 14958 14959 14960 14961 14962 14963 14964 14965 14966 14967 14968 14969 14970 14971 14972 14973 14974 14975 14976 14977 14978 14979 t ~8o 14981 FUND CITY O~ BOYNTON BEACH (PAYROLL FUND) 1,925.51 ,~ w ~ w (PETTY CASH) 68.09 " " ' ' ( ~ ~ ) 44.54 So G° CosaY, OBA COSDY ENTERPRISES FLORIDA NEWS COMPANY 38.14 FLORIDA POWE~ & LIGHT COMPANY 4,243.86 GUL¢ STREAM LUMDE~ COMPANY 60,44 R. L~ G~UMMONS P~tNTtNG 45.10 RUbeN CONSTNUCTION COM~N¥ 84.66 SO~THE~N BELL TELEPHONE ~ TELEGRAPH COMPANY ~7.30 POSTMASTER~ U~S. POST OFFICE ~15o00 C~TY oF BDYNTON B[AC~ (PETTY CASH) 11.20 ADVANCE AIR CONDITIONING ~ HEATING! IN¢~ 12,?0 BAKER & TAYLOR COMPANY 6.61 BOYNTON BSACN STAR 33-35 BOYNTON ENGINEEriNG 24.00 BOYNTON TRAVEL AGENCY~ iND. 19o~7 CITY OF BOYNTON BEACH (PETTY CASH) 18.68 ~ '~ " ~ (WATER D~PA~TM~NT) 284.45 DON~s FIRESTONE DEALER STORE 63~51 FLAMinGO OiL COMPANY 20~88 FLORIDA NEWS COMPANY 34~43 RD Lo GRUMMONS P~NT~NG 18.50 iNTEENATIONAL C~TY ~ANAGER$~ ASSOCIATION 7e~O JACKSON AUTO E~ECT~C ~Hco 89.36 GULF O~L PRDOUCTG SOUTHERN BELL TELEPHONE & TELEORAP~ COMPANY 50~76 SOUTHENN PAPE~ COH~ANY 40.18 TS×AS MUNICIPAL LEAGUE 7~00 ELLA HOWAAO B~SNO~ 3-90 JE~Y R~ HUG~$ON, IAN0SOAPE ARCHITECT I00~00 BDYNTDN BEACH Ff~E DEPARTMENT 799,81 STA~ P~ESE 349oO5 BOYNTON BEACH STAe 162.90 GERALD L- HAWKINS 296~25 ALLEN INSURANCE AGENCY CA~ SO~L & SOO 4~137.30 GENE MoO~E 83.34 WN~TT MAC0OWELL 132.00 H. F. MASON EOU~PMENT CORPORATION 29,30 CITY OF BCYNTON BEACH (PETTY CASH) ADVANCE At~ CONDITIONING ~ ~EATJNS~ JNOo 33,5o A~m To TRA~F~C~ [NC. 120o00 ~LLEN CHEMICAL COMPANY 50~00 BOWMAN PRODUCTS D~V[$iON 116.66 PAYMenTS MADE iN OCTOBER 1966 (CONT) OCT° 27~ 1966 GENERAL 14921 14922 14923 14924 14925 14926 14927 14928 14929 14930 WATER 9682 9683 FUND ADVANCE AiR CONDITION NO ~ HEATINGt JNCo CiTY OF BOYNTON BEACH (WATER DEPARTMENT) DANLSARC LEASING CORPORATION HALSEY ~ GRIPF~TN~ into KEATT$ TRUCKING SERVICE DONALD S. LAV~GNE~ iNC. REVENUE FUND DAHLDAND L~ASINO CORPORATION JOHN COOK 109.33 61.30 ?5.00 34o15 1,135~16 37°22 5.00 t4o63 85.02 1,671o8~ 38.50 SEWER REVENUE FUND 1530 A, L. McGRegOR, DiSTRIOUTO~ (PueE OIL Co,) 6°24 0OT~ 28~ 1966 WATER DEPOSITORS FUND 6823 TEXACO OIL COMPANY 6824 MRS. F~ANK SINOOF¢ 6825 ACCOUNT OF JOHN COOK GENERAL FUND 14931 BOYNTON CiTY FEOSRAL CREOIT UNION 14932 CITY OF BOYNTON BEACH (PAYROLL FU~) 14933 LIP~ (NSUNANOE COMPANY OF GEORGIA 14934 OLIVE R. WALLACE WA~ER REVENUE FUND 9684 CITY OF BOYNTON BEACH CPAYROLL FUND) 9685 OLIVE R. WALLACE 15.oo 7.50 15.o0 37.50 396.00 lO,988.88 10.00 62.40 11,457;28 2,320.54 31o20 2,351.74 1,754.05 SEWER REVENUE FUND 1531 CITY DF BOyNTeN BEACH (PAYROLL FOND) 47o,88 14,279o90 PAYMENTS MADE tN OCTOBER 1966 (CONT) OCT. 26~ !966 14907 GENERAL FUND 14900 1#901 149O2 14903 14904 149O5 14906 REME× CORPO~ATION 68°25 SINCLAI~ REPINING COMPANY 39.18 KEN SNOW GARAGE 50°0<) SOUTNERN BELL TELEPNONE & TELEGRAPN CO. 88°00 EARL WALLACE FORD~ [NC, 44.35 CiTY OF BOYNTON BZACN (WATtR DEPAaTMS~T) 2,331.25 3,250°43 WATER 9678 9679 9680 REVENUE FUND GENER&L FUND BLUE C~OSS~LUE SH!ELO OF FLORIDA 14908 14909 14910 14911 14912 14913 14914 14915 14916 14917 1491B 14919 1492o WALTER A~ MADEEN WATER REVENUE FUND 9681 BOYNTON AUTO SUPPLY, 5.28 666.67 672.95 99.00 32.61 446.8~ 28°78 29.15 1 ~00 38.26 47.55 15.75 2.50 31 ~o0 ~o.20 1 oo~ oo 897, 6~ 3~923~38 SEWER REVENUE FUND I528 NDL¢O CNEMICAL~S~ ~C. 1529 FLO~IDA POWER & LISNT COMPANy WATER DEPOSITORS FUND 68~_ LA.TON KiNG 233°75 .149o29 383.04 1,296.80 PAYI'~ZNTS MADE iN OCTOBER 1966 (CONT) Ocr. 24, 1966 0CT, 25~ 1966 WATER 9668 9669 9670 9671 9672 9673 9674 9675 9676 9677 REVENUE FUND ~ILLIAM ~NDRE~$ ELDORADO SUPPER CLUS {EUGENE HARVEY) RAYMOND WEEKS SEWER 1524 1525 1526 1527 REVENUE FUND ALLEN CHEMICAL COMPANY FLORIDA POWER & L~GRT COMPANY SINCLAIR REFINING COMPANY CHARLES C~UEY WATER 6816 6817 6818 6819 8820 6821 DEPOSITORS FUND ACCOUNT OF CHARLES ORUEY ACCOUNT OF ELDORADO SUPPER CLUB ACCOUNT OF RAYMOND WEEKS ACCOUNT OF EDMOND Bo CARTER S~AGE DEPOS~T FUND 318 ACCOUNT OF CHARLES GRUZy GENERAL 14888 14889 14890 14891 14892 14893 14894 14895 14896 14897 14898 14899 FUND ADVANCE AIR COND~TION~NG ~ ~OYNTON AUTO SUPPLYf CHOCK'S CAMERA CENTER DON~S FIRESTONE DEALER STORE FLAMIngO O~L COMPANY JOE'S GRILL ~ RESTAURANT ~NTERNATIONAL CITY MANAGER METAL PRODUCTS OF PALM BEACN~ Moo Moo~s DRIVE IN ~AT~ORAL LINEN 0USLE¥ SOo COMPANY 249.80 4.50 270.48 66.17 1.90 4.30 2°70 8,80 2.'40 3.50 3°90 410.97 437.61 7.50 7~50 15.00 7-50 7.50 52.50 7.00 29.95 141 39.06 154.48 24.66 95.!0 17o44 4~50 I5.30 17~67 62~50 PAYF£NTS ~ADE N OCTOBER 1966 (CONT) OcT. 21~ 1966 GENERAL FUND 14869 OrA.CArD OIL COMPANY (KE~TUCNY) 14870 TRAIL FORD TRACTOR COMPANY 68.20 16,335o71 WATER REVENUE FUND 966o 9661 9662 9663 9664 9665 9666 9667 CITY O~ BOYNTON BEACH {PAYROLL PUNt) Ir ~ ~ ~ (WATER DEPARTMENT) 13.86 969.52 17.1o 98.85 12.69 14.40 189.75 ,351 472.35 18,01 OEO, ER REVENUE FUND 1523 City OF BOYNTON BEAC,N (PAYROLL OCT. 2~, 1966 PUBLICITY FUND 19704 OLYMPIA SPORT SNOP~ GENEAAL 14871 ~4872 14873 14874 14875 14876 14877 i4878 i4879 1488O 1488~ 14882 14883 14884 14885 14886 14887 FUND ALLEN CHEMICAL COMPANY WILLIAM COOK AND OBE BUTLER 20,00 ~¥LE$ AND W~LLIAM$ COMPANY CITY OF BOYNTON BEACN (PETTY CASH) 23.91 DEHARCO TRACTOR & IMPLEMENT COMPANY 38.O4 DON~$ FIRESTONE DEALER STORE 42.08 CHARLSE WATERS & WOOORON EUTSAY 20.00 FLORIDA POWER & L~GRT COMPANy 747.93 HALSEY & GRIPFITN$ )NC. 69.47 McCoY~s GArA~E 25~34 N~TNANIEL McGNAo¥ & SAMUEk McGRADY 20.00 SINCLAir REFINING COMPANY 910.29 SOUTRERN ~SL~ TELEPHONE & TELE~RA~R CO. 297.78 SUNRAY PROduCTS DIVISION 10.68 XEROX CORPOrATtON 111.90 2,959.97 18,177.24 PAYNENTS NADE tN OCTOBER t966 (CONT) 0CT~ 19, 1966 OCT. 20, 1966 WATER 681~ 6812 6813 6814 6815 PUBL~ 197O2 19703 GENERAL 14852 14853 14854 14855 14856 14857 14858 14859 DEPOSITORS FUND AC00UNT OF B. ~o NEWMAN CITY FUND BOYNTON BEACH CHAMBER OF COMMERCE FUND BA~OUR~S MOWER SHOP CiTY OF BOYNTON BEACH (WATER DEPARTMENT) R~ L~ GRU~MON$ PRiNTiNG F. E. NALSTEAD 0AS~ CONTRIBUTION FUND ~LATER REVENUE FUND 9659 OASI CONTRIBUTION FUND 7.50 7.50 7.50 7.50 7°50 37.50 345.66 117.10 462.76 15.05 267.50 20.25 474.19 16.82 13,065~21 36.26 31 23.50 13,950.04 976~10 21,84o.98 I~, 0or~ 21~ 1966 SEWER REVENUE FUND 1522 OAS~ CONTR:BUTION FUND GENERAL 1486O 14861 14862 14863 14864 14865 14866 14867 14868 FUND ADVANCE A~ COND~T~ON~N~ ~ HEAT~N~ BOYNTON C~Ty FEDERAL CREDIT UN,ON CiTY OF BOYNTON BEACH (PAYROLL FUND) DON~8 F~R~$TONE DEALER STORE DONALD S. LAV~GNE~ )NC~ 310.23 4~20 361~48 171.00 4~926.13 206.55 9,982.74 4~o.oo 17.17 73~94 15,236~37 PAN~ENTS MADE IN OCTOBER 1966 (CONT) 18, 1966 WATER REVENUE FUND 9654 POSTMAS?£N, Uo S. POST 124.40 1966 SEWER REVENUE FUND t516 ZEP MANUFAOTeR~MG COMPANY MUNICIPAL SWI~'IING POOL BOND SiNKiNG FUND 19701 CItY o~ BOYNTe~ B~ASN (GE~z~AL FUNS) GENERAL 14835 14836 14837 14838 14839 1484o 14841 14842, 14843. 14844 14845 14846 14847 1484~ 14850 FUND CITY OF BOYNTON BEACH (PETTY CASH) F, E. NALSTEAD WATER 9655 9656 9657 9658 REVENUE FUND CITY OF BOYNTSN ~EACN (PETTY CASH) R~uN~. & IM~a~w. REV. Boms SINNINS FUNS SE~R REVENUE FUND 1518 1519 REFUND. ~ imPROVE. RZ~. BONO SIN~ING FUNS 1520 JOHN B. DUNKLE, CLERN OF THE C~¢u~? COURT 1521 68.31 7e~16 2 ,~5oo. OD I3.86 24.33 62.39 5o.oo 343°58 32°87 73.87 63.29 15.oo 5.25 308.42 22.35 6o., O0 100..00 95.0o 115.0o 1 ,~85.21 29.62 5,914.28 4.90 4.60 5,953.40 33~60 13,~64.66 5.89 500.00 14,002.11 4,259.61 PAYMENTS MADE IN OCTOBER 1966 (CONT) OCT. 14~ 1966 GENERAL FUND 14820 BOYNTON CITY FEO~RAL CREDIT UNION 14821 CITY OF BOYRTON BEACH (PAYROLL FURD) 14822 WILLIAM M. HOWARD 14823 CITY DF BOYRTON BEACH (WATER DEPARTMENT) WATER REVENUE FUND 9651 C~TY OF BOYNTOH BEACH (PAYROLL 9652 H, W. KILLY SEWER REVENUE FUND 1515 CITY 07 80¥NTON BEADR (PAYROLL FUND) 380°00 10,7t7.83 86.97 221.88 11,406.68 2,619.49 5.20 2,624.69 670.82 0cw 17~ 1966 WA,'FER DEPOS~TORS FUND 6806 ACCOUNT OF ROBERT KELLY 6807 ~CCOU~T oF Jo~ ZELNO 6808 TEXACO INC. 6810 ACCOUNT OF Ho W. KILBY GENERAL FUND 14824 C~TY OF BOYNTON BEACH (PETTY 14825 CURTIS E. W~IG~T 7,50 7°50 15.00 7.30 7.50 22.83 150o00 172.83 14,747.19 OCT. 18, 1966 WATER REVENUE FUND 9653 C~r¥ DF BOYNTON BEACH (PETTY CASH) GENE~qL 14826 !482~ 1~828 14829 IZ~30 14831 14832 14833 14834 FUND CMILDRENS P~ZSS, ~NC. 57.04 CITY OF BOY~TON BEACH (PETTY CASH) 81.71 R. L. GRUMMONS P~INTING 28°35 OUSLEY SoD COMPANY 62,~0 SOUTHERN BEL~ TELEPHONE & TELEGRAPH COMPANY 110.10 POS?MASTER~ U. S. POST OFFICE 31.20 CITY OF BOYNTON B~AC" (PETTY CASR) 65.65 TRIESTE CONSTRUCTION CORPORATION 1~040~00 173,58 PAYMENTS HADE tN OCTOBER 1966 (OONT) 11, 1966 OcT. 12, 1966 PUBLICITY FUND GENERAL FUND 1~k~11 BLu~ CROSS--BLUE SHIELD OF FLORIDA, 14812 Bo-DEL PRINTING COMPANY 14813 CNUOK~S CA~eR~ CENTER 14814 C~v¥ OF W£ST PALM BEACM 14816 HARLEY--OA¥1OSOH OF PALM BEACH 1~17 SINCLAIR REFINIH~ COMPANY WATER REVENUE FUND 9648 BLUE CROSS-BLUE SHIELD OF FLOBIDA~ IRC. 1,582.54 13oO0 20.24 35°00 21.17 3.40 57.50 35.16 1,768.01 89.39 OCT. 13, 1966 SEWER REVENUE FUND GENERAL FUND 14819 dERRY RD HUGN$ON, LANDSCAPE ARCHITECT 22.76 1,88o.~6 WATER REVENUE FUND 9649 E~w,N L. BANKS 9650 PkAC~ Au SOLIZL ~NC. 3.10 9.20 12,30 SEWER REVENUE FUND 1514 JOMN L. ARONI~ PLUMBING COHTRACTON WATER DEPOSITORS FUND 6805 ACCOUNT OF PLACE A~ SOLIEL 1~¢~ 25.00 240. ?0 PAYMENTS MADE iN OCTOBER !966 (CONT) 11, 1966 GENERAL 14791 14792 14793 14794 14795 14796 14797 14798 14799 14801 14802 148o3 ~48o4 14805 14806 14807 148o8 14809 ~481o WATER 9647 9638 9639 9660 9641 9642 9643 9644 9646 SEWER 1510 1511 1512 WATER 6799 68oo 68Ol 6803 6804 FUND ADVANCE A~R OONS~TIONING ~ HEATINS~ iNC. 50.00 ALLEN CHEMICAL COMPANY 18,20 BONER SUPPLT COMPANy, ~NCo 106.91 BOYRTON WELL--PuMP ~ SPRINKLER SUPPLY CORP* 322.16 CiTY OF BOYNTON BEACH (PETTY CASE) 11.03 DOR~S FIRESTONE DEALER STORE 113.72 GULF STREAM LUMBER COMPANY 12.84 HALSEY & GRIFF~TN, INCo 62-95 H. R~ HUNTTINS COMPA~Y~ iNC. 9.02 JAC[SO~ AUTO ELECTRIC INC. 14,50 ~oOovts~ LA~E WOETN WEE,KING COMPANY 12.00 GENE MOORE 25.00 RIN~ER MATERIALS CORPORAT~0N 22°49 R*e~N CONSTRUCTION COMPANY 92.2~ SOUTHERN PAPE~ COMPANY 1~o01 STAR PRESS 4.85 SUMMERS ELECTRIC, IRC. 241.23 CHARLfE WATERS & WOO~RON EUTSAY 60~00 ERic F. YALLOP BUSINESS MAONINES~ ~N¢. 7,50 1~212.37 REVENUE FUND ALL SERVICE OONSTUCTORS C~TY OF BOYNTON BEACH (PETTY CASH) PORTER PAINT COMPANY SOUTHERN METER & SUPPLY Co. ! REVENUE FUND ALLIED CHLORINE & CHEMICAL PRODUCTS, DON~$ FIRESTONE DEALER STORE GULF STREAM LUMEEE COMPANY JNCo DEPOSITORS FUND 3.00 %35 43.57 25.38 253.14 57.50 6.oD 6.00 3.00 398°94 257.20 17o04 16~25 290.49 7.50 7.50 7.50 7.5O 7.50 37.50 PAYHENTS NADE iN OCTOBER 1966 (CONT) OCT. 7, 1966 10, 1966 POLICE RETIREMENT FUND 21988 CITY OF BOYH BeN, POL~C~ RETIREMENT FUND GENERAL 14780 14781 14782 14783 14784 14785 14786 14787 14788 14789 1479o FUND ALLIED CHLORINE ~ CHEH~CAL PRCDUCTS~ BOYNTON BEACH STAE F. E. HALS?EAD WATER 9634 9635 9636 9637 REVENUE FUND JOHN HAOE~ SEWER REVENUE FUND 1509 MANUFACTURERS L~PE INSURANCE COMPANY 4~000o00 62.94 23.25 139.06 144.31 18.53 16.5o 25.06 24.00 20.00 20.00 255.oo 748.65 6.65 5.6O 3.00 265.25 1.71 16,042.77 WATER 6798 6797 ACCOUNT oF 6788 AccouNT OF 6789 ACCOUNT OF 6790 ACCOUNT OF 6791 ACCOUNT 0F 6792 ACOOSNT OF 6793 ACCOUNT oF 6794 ACCOUNT OP 6795 ACCOUNT OF 6796 ACCOUNT OF DEPOSITORS FUND ACCOUNT OF JOHN R, RABE~ 7.50 7.50 7.50 7.50 7.50 7.50 7.50 7.50 7.50 7.50 7.50 1,098oll 0or. 6, 1966 PAVemeNTS MADE IN OCTOBER 1966 GENERAL FUND 14773 C-IT¥ oF BOYHTON BEACH (PETTY CASH) (CONT) 53.73 16.74 1t~0 AtATER REVENUE FUND 9626 CITY OF BOYRTON BEACH (PETTY CASH) OCT, 7, 1966 SEWER REVENUE FUND 1503 CiTY OF BOYNTON BEACH (PETTY CAS~) GENERAL FUND 14776 BOYNTON CITY FEDERAL CREDIT UNION 14778 C~HR SOIL & Sos 147'79 ALLEN INSUaANCE A~ENCV 193.OO 5,174.59 2,068.65 328.00 7,964.24 WATER REVENUE FUND 9629 MARY DARRELL 9630 CITY OF BOYNTON BEACH (PAYROLL FUND) 1,074,01 9631 H.W. K~LS¥ 6.00 9632 WILLIAM STANOIFORD 4.90 9633 SEACREDT REALTY 1.90 1,088.11 SEWER REVENUE FUND 1506 CITY OF BOYNTON BEACH (PAYROLL FUND) 748.62 1507 0'BHIEH, SDtTEH & 0'BHIEN, ~NC. 20.00 1508 CARM O~IVEWAYS 176.80 945.42 WATER DEPOSITORS FUND 6782 ~CCeUHT OF MARY DARRELL 7.50 6783 ACCOUNT OF H. Wo K~LSY 7-50 6784 ACCOUNT OF WILLIAM STAHDIFORO 7-50 6785 ACCCONT Or B. Jo A~MDT~ONG 7.50 6786 ACCOUNT c~ ART~E"S A~LIANCES 7.50 6787 ACCOUNT OF SEACREDT REALTY 7.50 FIREMEN~S RELIEF & PENSION FUND 21647 CITY OF BOYN BOH~ FIREMEN"S RELIEF' & PEN. F.'2',~OO' 82.37 PAYMENTS MADE IN OCTOBER 1966 (CONT) 1966 GENERAL i4743 14744 14745 14746 14747 14748 14749 14750 14751 14752 14753 14754 14755 14756 14757 14758 14759 14761 1476o 14762 14763 14764 14765 14766 14767 14768 14769 14770 14771 14772 WATER 9623 9624 9625 FUND A~TOPRODUCTS, IN¢~ 89.59 BANZR & TAYLOR 0OMP~HY 52.06 BERLINER & McGINNIS 7-58 CITY O? BOYNTON BEAC~ (PETTY CASH) 55.09 DOe'S FIRESTONE DEALER STORE 23.04 ENGI~EZHmNe MACHiHE CO.~ INC. 425.00 FLAminGO OIL COMPANY 17.42 FLORIDA NEWS CO~PAHY 151.72 JOE'S GRILL & RESTAURAHT 77.45 KELLY TRACTOR COMPANY b~o64 McCoYfS GARAGE 12.87 MOO MOO~S DRIVE IN 21.90 GENE MooRE 45.00 PORTER PAINT COMPANY 39.25 P~CARO CHEMICA~ COMPANY 13.38 RINH£H MATERIALS CORPORATION 21.76 PETER SACHSE~ DBA EUROPEAN CAR SERVICE 15.00 SiNCLAiR REFINING COMPANY ~9.05 BOYNTON BEACH FiRE DEPARTMENT 596.15 MUNICIPAL FINANCE OFFICERS ASSOCIATION 2.14 BLOSSOM SHOPPE 5.00 SOUTH LOocE FLO~IST 5~00 d. RUSSELL FORLA~ M.D. 7.00 PALM BEACH COUNTY HUHICIPAL JUOGE$ ASSN.) INC. 10o00 JOHN ~. DUNKLE~ CLERK OF THE CIRCUIT COURT 17.00 2,485.94 REVENUE FUND BOYNTON ~UTO SUPPLY, INC. 36.O2 CITY OF BOYNTON BEACH (PUTTY DASH) 25.16 MOCOY~S GARAGE 38.47 79.65 SEWER REVENUE FUND 150~ CITY OF BOTH?ON BEACH (PETTY CASH) 1502 PIGARO CHEMICAL COMPANY FIREHEN~S RELIEF & PENS~0N FUND 21646 CHAHLES SEN~OH 12.88 9.31 28.50 2,616o28 PAYNENTSMADE iN OCTOBER 1966 (CONT) 1966 GENERAL FUND 14729 14730 14731 14732 14733 14734 14735 14736 14737 14738 14739 147~o 14741 14742 GULF STREAM LUMSER COMPANY KELLY TRACTOR COMPANY WHITT MACDOWELL R. L. POLK & COMPANY RUSIN CONSTPUCTION COMPANY RULE POOL MAINTENANCE COMPANY SOUTHERN PAPER WADES CANVAS ~ TRIM SHOP ERIC F. YALLOP BUSINESS WATER 9618 9619 9620 9621 9622 REVENUE FUND BYRDt$ ELECTRIC MOTOR SERVICE R. Lo POLK ~ COMPANY SOUTNER~ BELL TELEPHONE ~ TELEGRAPH C~MPAN¥ SEWER 1495 1496 1497 1498 1499 1500 REVENUE FUND DONGS FIRESTONE DEALER STORE I. & S. FUND 19698 TNE BOYNTON BEACH STAR 63.3.5 46.05 7.63 7.20 15COO0 104.11 181.33 47.50 97.45 27° 88 186.35 7.14 12.00 27.50 1,402.54 12.00 30.00 1.05 93.00 36.00 172.05 2o.19 20°46 58.75 72.00 50.0o lO6.62 328.02 SPECIAL 19699 ASSESSHENT FUND THE BOYNTON BEACH STAP 1,916.76 OcT. 3, 1966 GENERAL 147o4 147o5 147o 6 14707 14708 147o9 14710 i4711 i4712 14713 14714 14715 14716 14717 14718 14719 14720 14721 14722 14723 WATER 9614 9615 9616 9617 SE~R 1494 PAYMENTS MADE IN OCTOBER 1966 (CONT) FUND BURROUGHS CORPORATIOM 324.00 CiTY OF BOyNTON BEACH (PETTY CASH) DEMAmCO TRA¢?eR & IMPLEMENT COMPANY 26.35 DORuS F~RE~TONE DEALER STORE 10~.~8 EAST COAST FIRE EQUIPMENT 109.55 FIRST BANK eF BOYNTON BEACH 5,351o25 FL~mloA NEWS COMPANY 15o30 FLORIDA PowE~ & LIGHT COMPANY 4,231.94 E, M, HALE AND COMPANY PUSLISNENS 39.50 HALSEY & GRtFP~TN~ iNC. 72.52 INTERNATIONAL B$$1NESS MACHINES CORPORATION 11.25 WH~TT MACDOWELL 37.20 PALM B~AON O~P~CE SUPPLY COMPANY 26.23 SOUTHERN BELL TELEPHONE & TELE~NAPN COMPANY 15~7~ SOUTHERN PAPER COMPANy 29.69 VAUmHN & WRIGHT OF PALM BEACH COUNTY, INO. 18.45 WARD ENGiNEErING COMPANy~ INC. 6.52 WNITT MACDOWELL 132~00 GE~ MOO,E 83.36 REVENUE FUND CITY OF BOYNTON BEACH (PETTY CASH) PORTER PAINT COMPANY GEne MOORE REVENUE FUND FLORIDA POWE~ & LIGHT COMPANY I0,816.80 3°90 26.43 24.00 41.66 95.99 340.40 OcT. 4, 1966 WATER 6780 6781 DEPOSITORS FUND AOOOUNT OF JO~N BURKETT GENERAL FUND 14724 BOYNTON AUTO SUPPLY~ 14725 BOYHTON BEACH STAR 14726 BYteS AND WILLIAMS COMPANy 14727 C~TY OF BOY~TON BEACH (PETTY 14728 F~OH~0A NEWS COMPANY 7.50 7.50 15.00 55.23 66.16 227.50 42.21 4~o95 11,268.19 OcT. 11~ t966 OCT. 12, 1966 PAYHENTS MADE JN OCTOBER 1966 (CONT) PUBLICITY FUND 19700 HALSEY & GRIFFITH, iNC. GENERAL FUND 14811 14812 14813 1~14 14815 14816 14817 14818 BLUE CROSS--BLUE SHIELD OF FLOR~OA Bo-DEL PRINTING COMPANY CHUO~S CAMERA CENTER C~TY DF WEST PALM BEACH HALSEY ~ GRiFF~N~ INC. HARLEY--DAVIDSON OF PALM BEACH WATER REVENUE FUND 96~ BLUE CROSS--BLuE SHIELD OF FLORIDA, INC. !5-35 1,582 o 54 13.oo 20 ~ 24 35, co 21~1.7 3.40 57.50 35~16 I~768.01 89.39 1~954o64 Ocr. 13, 1966 SEWER REVENUE FUND 1513 BLuE C~Oss-BLuE SHIELD OF FLORIDA, GENERAL FUND 14819 JERRY R. HUGH$ON, LANDSCAPE ARCHITECT 22°76 ,88o.16 WATER REVENUE FUND 9649 EDWIN L. BANKS 9650 PLACE AU SOLIEL INC. 3~10 9~20 !2.30 SEWER REVENUE FUND 1514 JOHN L. ARCHIE PLUMBING CONTRACTOR Io3.4o 25.00 WATER DEPOSITORS FUND 680~ ACCOUNT Or PLACE Au SOL;gL 240.70 PAYMENTS FADE iN OCTOBER 1966 (CONT) OCT. OCT. 11, 1966 12~ 1966 PUBLICITY FUND 19700 HALSEY GENERAL FUND 14811 14812 14813 14814 14815 14816 14817 14818 BLUE CROSS-BLUE SHIELD OF FLORlmA~ BO--DEL PRINTING COMPANY HALSEY & GR~FPI~H~ ~NC~ HARLEY--DAVIDSON OF PALM BEACH SINCLAIR REFINING COMPANY WATER REVENUE FUND 9648 BLUE CROSS-BLUE SHIELD OF FLORIDA, INSo ,582°54 13,o0 2o~ 24 21.17 3.4o' 57.,5o 35,, 16 1,768o01 89~39 13, 1966 SEWER REVENUE FUND 1513 BLU~ CROSS-BLUE SHIELD O? FLORIDA, INDo GENERAL ~uNu .22o76 1OOOOO WATER REVENUE FUND 9549 EDWIN L. BANKS 9650 P~ADE Au SOL,EL iNC. SEWER REVENUE FUND 1514 JORN L. ARCNIE PLUMStN~ CONTRADTOR o10 ~2o t2.50 to5o4o 25,00 WATER DEPOSITORS FUND 6805 ACCOUNT OF PLACE AU SOLIEC INC. 240.70 PAYMENTS MADE tN OCTOBER 1966 (CONT) OCT. 11, 1966 12~ 1966 PUBLiCiTY FUND 19700 HALSEY & GRIFFITH~ INC. GENERAL FUND 14811 14812 14813 1481~ 14815 14816 1'4817 14818 BO-DEL PR~NTINB COMPANY HALSEY & GRIFFIYN~ [NC. WATER REVENUE FUND 9648 BLU~ CROsS-BLuE SHIELD OF FLORIDA, t5o35 1,582.54 13ooo 20°24 35°oo '21o17 57.50 3~,16 1~768o01 89.39 !~954.64 OCT. 13, 1966 SEWER REVENUE FUND 1513 BLUE CROBS-BLUg SHIELD oF FLORIDA, INCo GENERAL FUND 14819 J~RRy R. HUGHSON, LANOBOAP~ ARBH~TEOT ,22.?6 100o00 1,88o.16 WATER REVENUE FUND 9649 EDWIN L. BANKS 9650 PLAOE AU SOL1EL ~NC, 3o10 9°2O 12.30 SEWER REVENUE' FUND 1514 JOHN L. ARBNIE PLUMBING CONTRABTDR WATER DEPOSITORS FUND 6805 ACCOUNT OF PLACE Au SOL$EL iNO. 103 ,~¢0 25°00 240.70 PAYMENTS NADE tN OCTOBER !966 (CONT) Oct. !12 1966 OcT. 12, 1966 PUBLICITY FUND 19700 HALSEY GENERAL 14811 14812 14813 14814 14815 14816 14817 14818 FUND BO-DEL PRINTING COMPANY CHUCN~$ CAMERA CENTER CITY OF WEST PALH BEACH HARLEY--DAVIDSON OF PAL~ BEACN WATER REVENUE FUND 9648 BLU~ CROss-BLuE SM:ELD OF FLORIDA$ NO, INC. 15-35 1,582.54 1~ .GO 20.24 35 - O0 '21o17 57°50 35o16 1~768o01 89.39 I~954.64 ocT. 13, 1966 SEWER REVENUE FUND 1513 BLUE CROSS-BLUE SHISLD OF FLORIDA, iNC. GENERAL FUND 14819 JERRY RD HUGNSON, LANDSCAPE ARCHITECT 22~76 100~00 1,88o.16 WATER REVENUE FUND 9649 EDWIN Lo BANKS 9650 PLACE AU SOLi~L [NC. 3.10 9.20 12.30 SEWER REVENUE FUND 1514 JOHN L. ARCNIE PLUMBING CONTRACTOR 103.'40 WATER 3EPOSiTORS FUND 6805 ACGOUNT OF PLACE AU SOL,EL 25o00 240'. 70 PAYMENTS MADE IN OCTOBER 1966 (GONT) Ocr. 11~ 1966 OCT. 12~ 1966 PUBLiCiTY FUND 19700 HALSEY & GR:FF:TN, iNC. GENERAL FUND 14811 14812 14813 14814 14815 14816 14817 1~18 ~LUE CROSS--BLUE SHIELD OF FLOR~OA~ INC. BO--DEL PRINT~N~ COMPANY HALSEY ~ GRIFF~N~ INCo WATER REVENUE FUND 9648 BLUE CROSS-BLUE SM:ELD OF FLORIDA, iNC, 1,582~54 13~oo 20 ~ 24 35 ~ OD 2!o17 5?°5o 35~16 1~768o01 89°39 22°76 100o00 !~954~64 OCT. 13~ 1966 SEWER REVENUE FUND 1513 BLUE C~OS$-BLUE SHIELD OF FLORiDA~ GENERAL FUND 14819 JERRY R. HUGN$ON, LANO$CAPE ARON:TECT 1~880.16 WATER REVENUE FUND 9649 EDWIN L. BANKS 9650 PLACE AU $OLI~L INC, 3.10 9°20 12o30 SEWER REVENUE FUND 1514 JOHN L. A~CNiZ PLUM8$NO CONTNAOTO~ Io3.~ WATER DEPOSITORS FUND 6805 ACCOUNT OF PLACE AU SO~IEL 25°OO 2%0.70 OcT. 11~ 1966 OcT° 12, 1966 PAYMENTS MADE ~N OCTOBER 1966 (COLT) PUBL$CITY FUND 19700 HALSEY GENERAL FUND 14812 14813 14814 14815 14816 14817 14818 BLUE CRO$S--BLU[ SHIELD OF FLORIDA~ BO--DEL PRINTING COMPANY HARLEY--DAviDSON OF PALM BEACN WATER REVENUE FUND 96'48 BLUE CROSS--BLUE SNIELG OF FLORIDA~ [NC. [NC. !3 ,oo 20°24 21.17 3o40 57~50 35~16 1 ~768o01 89°39 1~954.64 OCT. 13, 1966 SEWER REVENUE FUND I513 BLUE CROBS--BLUS SHIELD OF FLDR~DA~ iNC. GENERAL FUND 14819 JERRY R. NUGN$ON~ LANDSCAPE ARCHITECT · 22.76 1CC .00 WATER REVENUE FUND 9649 EDWIN L. BANNS 9650 PLACE &u SOLtEL INC. 3o10 %20 12.30 SEWER REVENUE FUND 1514 JOHN L. ARCHIE PLUMBING CONTRACTOR 25 o 00 WATER DEPOS[TORS FUND 6805 ACCOUNT OF PLACE Au SOLIEL INCo 240.70 PAYMENTS MADE IN OCTOBER 1966 (CONT) 1966 OcT. 12~ 1966 PUBL$CtTY FUND 19700 HALSEY & GRtFF~TH, iNC. GENERAL FUND 14811 14812 14815 14814 14815 14816 14817 1,4818 BLUE CROSS-BLUE SHIELD OF FLORi~A~ Bo--DEL PRSNTING COMPANY HALSEY ~ GRIPFITN~ WATER REVENUE FUND 9648 BLuE CROSS-BLUE SHIELD OF FLDR~DA~ IND. 15~35 1,582o54 13.oo 20~24 35°oo 21.17 57°5O 35o16 I ~768o01 89,39 954, 64 OcT. 13, 1966 SEWER REVENUE FUND 1513 BLUE Caoss-BLuE SNIELD OF FLORIDA, GENERAL FUND .22.76 1,880.16 WATER REVENUE FUND 9649 EDWIN L. BANKS 9650 PLACE AU SOLiEL INC. 3o10 9~20 12.30 SEWER REVENUE FUND 1514 JONN L. ARCNIE PLUM$1ND CONTRACTOR WATER DEPOSITORS FUND 6805 ACCOUNT oF PLACE Au SOL:EL fNO, 103,40 25.00 240, 70