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Democrat and Chronicle from Rochester, New York • Page 9

Location:
Rochester, New York
Issue Date:
Page:
9
Extracted Article Text (OCR)

ROCHESTER DEMOCRAT AND CHRONICLE. SATURDAY. MAY 31. 1011 School fund COUNCIL lift 23 2.61MI 004 frw ft 24 44 10 f2tl.2tM.121 34 rendered firemen and policemen, 1 desire to preaent them to your Honorable body for consideration, and aak that 1 be authorized to certify payment for the same. Rochester Oeneral Hospital haa presented a bill for services rendered Officer Cornelius Murphy, July to August 23.

1IM0 $116. M) Winifred Yawman, rt. has presented a bill for services rendered John O'Donnell, April 23 Continued from Page Kight Subject: Amending, changing and TRUST FUNDS: Contractors Guarantee Police Pension Fund Firemen' Pension Fund Rundel Memorial Funrl Teacher' Itetirement Fund City Treasurer Ttvitee fund Mt. Hope Hepalr Sinking Kund Mt Hone Perpetual Contract Fund Public Library Tmst Fund E. L.

Verton Pee be. Trustee Library Trustees 7 Js 4 1I I iri 3." 1 I 7 7i 4 i si Mi II II 27 2 MJ kidding to Official Map or l'lan istrict 12, Mipi 19 and 22. At a reirular meeting of the Plan- I 1 improvement Old Hetle Colle.iun Kun. ft I 4 Local Improvement Special Collection Fund 1.1. Ill hi laical Improvement General Construction Fun.

I 11 212 East Side Tiunk Sewer Fund 7 5 121214 11 CAPITAL FUNPS: Intel nl Const nirl ion Fund 47W.1TT School Construction Fund 1 1 42.3il 4e SINKING FUNDS: Water Sinking Fund 12 M5 61 Carnage Disposal Sinking Fund 62 lo 71 Sewage Disposal Sinking Fund 26 376 22 School Construction Sinking Fund 16.96 198.32a UB STATEMENT OF DEBT APRIL 1. 141 V.lng Board, held on May 21, 1M1, the fcoliowmr resolution was adopted: 444 71 f9 to 26. 1941 20.00 Anna M. O'Brien, R. N.f has presented a bill for services rendered Resolved that approval he given nt No.

54. appearing on page 129 4 Tii.Toa 71 CAPITAL, SPECIAL AND TRUST FUNDS RECEIPTS AND DISBURSEMENTS THREE MONTHS ENDED MARCH 31. 1941 CAPITAL FUNDS CAPITAL. 'CONSTRUCTION FUND: Receipts Receipts U. S.

Grant Lexington Avenue Sewer 40.496 67 Receipts Bale Bonds Pavement Reconstruction 570.000 00 Receipts Bale Bonds I Building and Site 144.000 CO I 754.496 87 Disbursements Lexington Avenue Sewer Pavement Reconstruction Building Alterations hf the Proceedings, and Introduced Fireman John O'Donnell, April 23 to May 6, 1941 $70.00 the Council on May 13. 1941, en-itled "Amending, changing and Kespectlullv submitted, THOMAS C. WOODS, kdding to Official Map or Plan Dis- rict 12. Maps 19 and zz," suDjeci Commissioner of Public Safety. Received, filed and published.

By Councilman Int. No. 5. Cash and Sink-lag Fund to Pay Debt May 22, 1941. Note, ani Contracts Net Debt ToUI Bonds public hearing.

AVGl'ST H. WACEN'EK, Director of Planning. Received, filed and published. Mav 22. 1941.

Fwm August H. Wagner, Director 317 39.5134 49.517 32 Commissioner of Public I ,2 l.fcM ojJ no AUTHORIZING CITY MANAGER AND AGENT TO EXECUTE LEASE WITH AMERICAN AIRLINES. INC. From Works. To: Mr Manager.

35.122 si III 12.39.1.0 (rt i on 3 ()on l.02.r7HM 1 .) l.ftW.f0.2 11 1.125.45 47 Louis B. Cartwrrght, City (sl Ort 12.393.51 0 4 KU.issl Oo 2 61M.OUI il 21.04) is) General School Water ocal Assessment Tax Revenue SPECIAL AND TRUST FUNDS: POLICE PENSION FUND: Receipts Tax Levy Contribution Other Receipts 11.34 4 an 70 3 I 2.22 534 5 S1 00 or Planning 25.000 00 7.182 09 fiti ram on 2.7"0 0s00 Re It ordained by the Council To: The Honorable, The Subject: Proposed closing of por Subject: Application to Construct an Areaway. 32.162 OS 56.241. VV4 0iWOO 0Q 3.5M.9J4 54 55 9ift. 44 tion of Aster and De.Neve fats.

In compliance -with the rules of 37.3N) 77 At a regular meeting of the Plan- the Council you are hereby notified of the receipt of an application from 241 on 6.2M.U00 Ronds Notes Total Total CI. 523.500 00 Disbursements Pension Payments FIREMEN'S PENSION FUND: Receipts Tax Levy Contributions Other Receipts riinsr Foard, held on xi, mi. the following resolutions -were adapted Kyan Kyan, requesting a license or permission to construct and ma'ntain an areaway In front of 3 ono oo 6,116 60 41.116 56 Resolved, that the Hoard recom 4 ft92 (COO mend the proposed closing of Aster the premises known as No. 1010 Cul tne itv or p.orbester Section 1. The Citv Manarer ani Pun Agent are herehv authorised to execofe the fn'sowtng agreement with the Americas A r-lins.

THIS OPERATING AGREEMrVT made this day of J41 bv and hfeen THE CITY Or KtWIIrSTKi: a municipal corporation of the ei'ate of New York, a ng by I.uta it CaMarrM. t'm "i'v Manarer. and ILavm'-al Wlitlev. us Pur.hasing I hereinafter referred to as Te.o Citv" I and AVit'iiii'iv nutivrc 44 9f. 71 Street rrom tne somn pmprny r.f the Eastman Kodak Pampanv to Deductions: Water Debt Exempt Special Assessment Det.t Caoh and Sinking Fund for other than Water an! Exempt Special Assessment Debt 141 Tax l.evv lor Payment of olher than Exempt Debt Ini'luiled above Tax Revenue Bond and Note 1h intersection with DeNeve street 3.777.1m 43 M0 VMI (si 1.742 33 13 12 4 43 subject to departmental check: ana ih- introduction of an ordinance will change the Official Map or Plan.

Resolved, that the Board recommend the proposed closing of that of IieNeve Street from the west line of Aster Street to the west 3H5.W3 53 ver Koa. Said areaway la to be approximately seven feet 7'l In length, five feet In wldlh, and to project ncvcn feet (7') over the street line. A copy of such application ia hereby enclosed together with drawings showing all details. "Very truly yours, WILLIAM II. ROBERTS.

Commissioner of Public Works. Received, filed and published. Rochester, N. Y.f May 22, 1941. Disbursements Pension Payments MT.

HOPE CEMETERY Repair and Sinking Fund: Receipts From Operating Fund MT. HOPE CEMETERY Perpetual Contract Fund: Receipts I'erpetual Contracts CITY TREASURER, TRUSTEE FUND: Receipts Disbursements TEACHERS' RETIREMENT FUND: 2.675 00 NET CONSTITUTIONAL DEBT CONSTITUTIONAL DEBT-ATRIL 1. 11 Assessed Valuation of Real Estate (Average of 19-T7-1941 Inclusive) INC. a corporation orramsed eat 'existing un-ter and by virtue of tne ftO 100 07 76113 line of Lot 2(12. Seneca terrace ira-i Tte-suh.

47-7. subiect to departmental check: and the Introduction of ordinance which will change the Official Map or Plan. lawa the Mate of wiivtr trverelnfter referred to as "Tfce Com (- WITNESSETH: Wherea. The City I the owner af an airport and certain air Sn.M1.AM 7 Constitutional Debt Limit loej of Above Above I 46.350.4i ii Net Constitutional Debt Receipts Salary Deductions To Commissioner of Public 141.314 44 Works: Maps are enclosed nprr AUG X' ST II. WAOKNER.

Director of Planning. 471721 63 10.167.9'aS 73, tin located at tho ity i Rochester in the Slate of New Tor (fcnown a the Rochester Atrpr: Sir: The undersigned does hereby jjisDursements BUREAU OF PROBATION Trustee Account: Receipts Disbursements filed and published. make application for a license or I permission for the construction and 19.091 31 Debt Margin Available Received, filed and published. MISCELLANEOUS COMMUNICATIONS NOTICE OF CLAIMS May 22, 1941. 16.9.S3 OM maintenance of an areaway or cellar ind and over operation thereof JECTS ADMINISTRATION.

ui.n same oeneatn tne sidewalks in iron i oil No. 1010 Culver Road, to be approxi It anie roi He It ordained bv the Council ol 2 The City shall he Citv of Rwhe-ter mt follows: jand expense and at i t. tain, repair and rene mately 7 in lengtn ana in wiatn, and to prolect over street line. II time main- sr ai, aewers. City of and desire to grant to the Compn certain rights and facilities on aa.1 airport 4..

tether with rerta'n prtvl- i leices. rights, ioense and uses mere- i on a nd Whereas. The Company I an carrier engaged In air iransr-nrtaf and letre to sai.f certain Nn Ise and facilities mi. ohta certain privilege luensee aafl u-e esi-l a.iMiffi Now. for arvl in eem- ideralion of te mutual pium.ses.

tovenani and erreement re-en Howard V. Corbin detaila of which are shown upon the drift, slope and manhole and each ASSESSMENT FUNDS: LOCAL IMPROVEMENT FUND (Ordinances paaaed prior to January 1, 192S) Receipts Assessment Collections: Property Owners Interest and Penalties on Collections Investments Matured and Sold Interest on Investments n.l in'i that the following impr.ivemenis accompanying map or -sketch which Rochester. No. 3973 Pan. iSreen vs.

City of Krom- August H. Wagener. Director of Planning. To: The Honorable. The Council.

SsiMert: Change of rone Mt. Read Plvrt. At a regular meeting of the Plan-mns Hoard, held on May 21. 1941. the following resolution was adopted: Resolved that the Hoard approve ik.

nrnnosed chance of rone on Mt. Rnclieater, 10 946 17 6.194 30 51 4 0m in la hereby made a rt or mis application. Respectfully submitted, RYAN A RYAN. Chas. F.

Rvan. Sec. 1 ft 100 117 349.341 34 anil every part thereof, ail hereinafter referred to as facilities of the (tlv, an.l shall In any event o.o notlcr in writing from the Railroad Comany requiring it so to do. promptly maintain, repair and renew the whole or any part of facilities, and In th event of its refusal or failure so to the Railroad Company for the ptirpo of Referred to Puhlic Works and Ttead Rlvd of property opposite Engineering Committee. Wh.tiMnd Street, from Residential Disbursements Redemption of Debt-Bonds Paid Interest on Bond Investments Purchased Premium on Investments (Net) .071 (1 10 7 i 12.V4MM1 on 7.l 36 to Heavy Industrial subject to protecting and safeguarding Its prop Communicationa from the Counsel relative to the settlement of the claims of Anna Schmidl public hearlnc No 3974 Jamea Hanson vs.

City of Rorhe. ler. No. 3975. Rose T.

Herlihy, vs. City of Rochester. No. 3976. Gertrude Hondorf vs.

City of Rochester, No. 3W77. Richard J. O'Neill vs. City of Rochester, No.

397H. Received and filed. PRESENTATION A REFERENCE OF PETITIONS AND REMONSTRANCES Bv Councilman Doane Petition of contained. Tho "itv de hereby grant unto tho Company, and tro Company hereby bre and takea from he City, the following Teev- ses. facilities, privilege, rights, licenses and use oa and ti ea.l Rocheer Alrrort- (At The ti t.

in rnnmna wl'sj other author ne. to do. of saxt airport, its a. iMies an i appurtenances erty, traffic, employes or patrons. AUGUST II.

WAGENER. Director of Planning. vs.uk are nnusii), ie.uire.l and shnll be made, to wit: The enlarging of the existing con-netting corridor Ix-twecn the Municipal Hospital and the Strong Memorial Hospital. The proposed building is a six story steel and brick structure with insulated concrete slab roof and Includes all necessary sanitary, heating, ventilating and electrical facilities, also painting the exterior and interior, being Propoeal No. R219.

The total coat and expense of such Improvement and work are estimated to be $143,706. of which the City's share is estimated to be $64,330. Sec. 2. The aforesaid Improvement and work shall be done by the Work Protects Administration under the general supervision of the Commissioner of Public Work.

Sec. .1 This ordinance take effect imedlalelv. 1.21.277 37 may at any time, and with or with out prior notice, to the City, provide and Herman and Charles H. Blader-groen. Received and filed.

filed and published. Received 167.2k4 50 OENERAL LOCAL IMPROVEMENT FUND: Disbursements Improvements on Ordinances Bonds Paid Interest on Bonds May 22, 1B41. necessary materials lor and do and perlorm any maintenance, repair or renewal thereof, the Citv covenants to pav the entire cost and expense thereof or to reimburse the Railroad May 13, 1941. Frrm- August H. Wagener, Dlrec 'Xhi on 1.W7 67 2M.062 17 From: Raymond V.

Ellis, Comp tor of Planning. troller. To: The Honorable, The Council. To: The Council of the City of Suhiert: Change of none Ridge (P. I The use.

In cwro-ecvn wt'H ofher authorised to do. of any and all air navigation fact -nee ki and if sisiiah.o ani uab.e whe have been may hereafter fce provided at aaid airport from time time. In.luding. wi'hout l.roiti-g tho generality. thereof.

the eg field, runway, apron taxiavs. Rochester, through Louis B. Cart- residents of Cheltenham llnii. Wyndham Road and llolcroft Road requesting immediate correction of defective sewer conditions. No 2YV.1 Referred to Commissioner of Public SPECIAL LOCAL IMPROVEMENT FUND: Receipts Assessment Collections Interest Thereon Road West.

Company thereior. and to tho Invoice price of the hill for material aha 11 be added H'i for overhead, and to all bills for labor shall t- added Itr for overhead, and. in addition thereto, the percentages on such labor item paid or acrrued bv 91 VT7 77 55 820 26 wright, City Manager. At a regular meeting of the Plan- Suhlect: Financial Report for three months ended March 31, 1941. 147.32 03 Ding Hoard, neia on aiay tne following resolution wss adopt In accordance with Section 215 of tho Railroad Company taxes for eage and water facilities.

Pood, ed Disbursements Redemption of Debt-Bonds Ps id Interest on Bonds the Charter I am sending you Railroad Retirement Fund. Railroad i ''ghte. landing signa a. bee 103 nm oo 729 58 Resolved that tha Board approve Referred to Public Work and Engineering Committee. By Councilman Ifciane Int No.

66. AUTHORIZING EXTENSION OF financial report of the City for the con. M. and Wnrr Convenience the proposed change of T.one on Works. By Councilman I Jimbiase Pet it Ion of citizen living In the Third Ward requesting and urging the citv to install a playground in the Third Ward supplement to petition filed May 13.

1941. No. 25H0. Referred to Puhlic Safety Committee. By Councilman Ruppel Petit ion protesting against changing the Jtone i nempioyment Insurance or any other Social Security Taxee thereon 3.

In the event that the Railroad Ridse Road vest. or property op- three months ended March 31, 1941. This report conaiats of the 103.729 34 rosite Carlisle Street, from to Heavy Industrial H. sub for f'vtng landing and take-off of tho Company a aircraft: (C The right of acres end fees to and egres from and between the aaid premise and Sem Company shall be required or may Statement of appropriations and ject to public hearing. SINKING FUNDS: GARBAGE DISPOSAL SINKING FUND: Receipts Interest and Premiums Investments Matured and Sold neairo at any time or from lime to time to change the grade or location ernendltures.

Statement of receipts and disburse 1 519 09 M.OOOOO of any of Ita trarka or facilities, or of property at 990 Lyell Avenue from residence to commercial ments (capital, special end trust to remove, construct or add to anv AWliLM xl. WAljCi.nr.n, Director of Planning. Received, filed and published. May 23, I 117.519 09 or ita tracks or facilities upon land owned or used by tho Railroad Com- district. No.

2.61. Referred to City Planning and Zoning Committee. Disbursements Investments Purchased. Premium and Interest on Investment Purchased By the Clerk Petitions of Sun- the Council of tht 78 000 00 3.432 03 "CO. 433 03 funds).

Statement of Revenue. Statement of bank, balances. Statement of debt. RAYMOND V. ELLIS.

Comptroller. Received, filed and published. Tlse Honorable, imny, men aaid City shall without cost or expense to aaid Railroad Company, and within thirty days after service ot notice In writ bnte Homes. Nicholas P. 1 mo and Susan E.

Schwelgert. Julius W. Kitx- Citv of Rochester. having services bills for Gentlemen: Certain fceea preented to me Ing. Arthur E.

Rosenberg. G. I.e-Frola. Ryan and Ryan, Charles V. Wagner.

Vincent L. Seely for C. ites, ine landing field and tne convenient public wavs for Com-panv's aircraft, yehicies. e-op'yees. paengera.

invitees, sources, supplier and furnishers of service: The. exclusive use ef the 1-lowmg dearnKed spare In te now occupied That portion of HtSftr Nv 1 now occupied and used bv the os)-panv for their ooerooe e.t-. waiting room, ticket offtro and teat portion of Hangar No, I now er'i- fied and used by commercial eerviee: the fsctHnea rr a tho fee tit: lea provide. In Hangar No. 1 for operations ocirea and waiting room with the ftr! jin of the ao-ratled pump bowse- it l-ein unlerst ibi and agrssed that SUBWAY RAILROAD UNDER WORK PROJECTS ADMINISTRATION.

Be it ordained bv the Council the City of Rochester ts follows: Section 1. It la hereby determined that the following improvements and work are neceary. required and shall be made, to wit: The extension of the eubwav railroad from Rowland's loop to Monro Avenue, including the necensary excavation, embankment. tvtliajitlng track laying and aiding. Installing electric power and signal system, drainage work, repairing existing culvert, building new culvert, passenger loading platform, waiting hed and parking area and other Incidental work, being lropnal No.

R220 The total cost and expense of iirh improvement and work are estimated to 57.7sh. of which the Citya estimated to be Sec. 2. The aforesaid P. Helzler.

Vincent L. Seelv for SCHOOL CONSTRUCTION SINKING FUND Receipts Interest and Premiums on Investments Investments, Matured and Sold John J. Keegan. Michael John Kane. 12 317 33 75.000 00 Harry Edelstein.

Albert A. Perl- ing requiring It so to do. make such adjustments In the facilities herein provided for a may be required by the Railroad Com The City hereby releases and waives all right or a lie red right to at any time ask for or demand darn-agea from the Railroad Company that may occur to any of tho said facilities of and oe DEPARTMENT OF FINANCE COMPTROLLER'S OFFICE THREE MONTHS ENDED MARCH 31, 1941 man. Norman Lapldea and George 87.317 33 E. Mahee asking for cancellation 80 .000 00 Disbursements Investments Purchased Interest and Premiums on Investment of taxes, assessments and water charges.

No. 25(i2. Referred to Expenditures and Obligations Appropriation Reported 80.000 00 Finance Committee. PUHLIC HEARINCS Unencumbered Balance tho Railroad Company may In any manner tee liable, and the city further covenants that it will mdem- Department Bureau or Item Clerk: Council and SEWAGE DISPOSAL SINKING FUND: Receipta Interest and Premiums on Investments Investments. Matured and Sold Expenses The Mayor Pursuant to I-aw public hearing will now be had Current Election on Expenses 7.963 62 26.000 (Ml I in- uuiir mmn ronmi maa ti fa.tl.tiea in bunding bo 1 opened for public at all To uo and en toy tl pre -r.

facilities, t-riv ilerea. rirhts. licensee and use for a term of fivo veara commencing on the fi'tt day of January. 141. and ending on iTmeri and save harmless the Railroad Company from all lo cost, claims and demand for damage whether to property of the Kail- Mavor's Office tne louowing ordinance: Closing a portion of Mildred Street 33.963 62 ana amenuing in ouicial man or or property In Its possession, control or custody or to ja employes, patron or licensee.

tH.t Disbursements Investments Purchased. Premium and Interest on Investments Purchased 54.200 00 42.65S 02 56.880 00 60.8SO00 3.000 00 576 56 2,423 44 19.361 00 4.671 16 34,689 11.2(H) 00 2.8K6 2t 8,333 74 60.500 00 15,116 45,383 16 72.R80 00 18,351 29 54,528 71 2,000 00 401 19 1,598 81 720 00 I SO 0O 540 00 368.000 00 86.846 1 9 281.153 81 50 000 Oil 13,050 22 36.949 78 1,500 00 1.5O0 00 and work shall be done by the Wort Protects Administration under the general supervision of the Commissioner of Puhlic Works. Sec. .1 This ordinance ehall take effect lmedtately. 36.000 00 3 28 Citv Manager's Office Civil Service Commission Citv Court Civil Branch Citv Court Criminal Branch Examining Board of Koard of Stationary Public Library Current Expenses Municipal Museum Memorial Day Expenses rutabU any manner to the fault, fstmr.

thirtv-firt day of Isecember. 2. Nutw ithstanti.ng any of the provision rontained thin agreerrient. tho Company, upon giving the Csy elxtv toil dava prior wrlttei stir, may cancel the agreement. a who: 36.005 78 of tho City.

and itererred to Public Works Engineering Committee. plan. Any perann desiring to speak In reference to said ordinance will now be heard. After giving all persons desiring lo speak an opportunity to be heard, the Mayor declared the hearing Closed. The Mayor Pursuant to I a public hearing will now be had on the, following ordinance: Amending, changing and adding to 7'h Krht and permission City snail inure WATER SINKING FUND: Receipts Interest and Premiums on Investments Investments.

Matured and Sold or In part, and terminal or aav us urnrut and no other use or Department or rlnance Comptroller's office vision of Audit nan no permitted oh! i rat Ion hereondee ntsni fter tho happening ot any one ef and and of mm Id facilities at 28 89ft 31 116.000 no 144.898 31 aewer pur- the following event: houl and I. Tb usiension or ef ln the Railroad I any certif irat of poMie l.mJrnjr Bd and ob- and necessity imued hv tvtl i Aeronaiilice Authority to the Cm. oiruial man or olan District 1 Disbursements Investments Purchased. Premium and Interest on Investments Purchased 64 oon nt 510 44 Map 19 and 22. Any person deslrina to sneak In I 11 an ar ear.

will reference (o said ordinance itl now counts Current Expenses Contingent Fund Fixed Charges Division of Treasury Division of purchase and Supply: Current Expense Sloree Division Department of Assessment) Current Exnensea Department o( Law: Current Expenses of fWtttr tier to serve the Ci'y 64 610 41 By Councilman Frwin Ordinance No. 41-143. Aeth.ritattan af emaaUalaner of lMhl Safely to Bill f.r Service Rendered Firemen aaal feliremen. lie It ordained by the Council of the Cii of Rochester as follows; Section 1. The Commissioner of Public Safety i hereby authorised to certify to the Comptroller for payment the following bills: Rochester Cneral Winifred Yawman.

R. ro no aoti oenver lo the Ita road he heard No person spoke In reference to omj.anr. free of cost. t0 certified wlh air ranspew tat on ropiea of Ita reaolution or ordinance' AnV the C.y the City to enter into naitic Authority refusing to ter. thia erreement.

mit the Company to erera' tn'o. aaid ordinance. STATEMENT OF REVENUE THREE MONTHS ENDED MAR. 31. GENERAL FUND: 1941 INTRODUCTION OF AND ACTION In Witne Ae Ihrnn-h tal.l i fW.r llf parties i 1.

ma rea. hereto have caused this a to ceeemta fhereon- Div'n Tax foreclosures Special Tax Foreclosure Department of Public Safety: UPON LOCAL LAWS. ORDINANCES AND RESOLUTIONS. By Councilman Do ne Municipal Improvement Ordinance No. 41-141.

Anna linen, R. 70 00 The designation or the State Poet 4ffice. etl.ee competent governmental anthon'v. an airport at or near tho Citv of Rochester other Uiaa the airport herein described for the recetvlnr and diepntrhlnr of air mall bv Company; 4. issuance by any court of com- Sircy 2r wrtttenl 2tmtmmae h1- By Councilman Lambiaie Ordinance No.

41 -Hi. Apprev.t Trice f.r mtm am4 A.e.we Receastritrtloa af KsUttag Pave i nia orai nance shall take effect Immediately. Unanimous consent was granted to Vote thereon. Adopted unanimously. By Councilman Erwin Int No.

57. AUTHORIZING CITY MANAGER Tax Levy State of New York Welfare Aid Corporation Franchise Tax State Income Tax Beverage Taxes State and County Licenses City Clerk Licenses and Fees Health Bureau Licenses Interest and Penalties on Taxes Property Sales Public Library Law Department Unclassified Department of Assessments Department of Public Work: (iarbuge Reduction Plant Inspection tent jurisdiction or an inrinctiOi any way preventing or restratw- tl6.494.767 3 3U.54l 40 69 36.733 111.272 06 4.247 35 29.9H5 70 2.631 89 25.046 05 5.455 On 3.52 36 1.015 47 4.431 01 2.87S 80 24.075 46 644 94 l.JO 51 1.276 (Ml 375 65 1.388 64 ment In Street, t'raak-Hit Street. I.xwell Street. Nerth Street, Kio'ceway Avenue and IVIsUa Kwa.l. Be It ordained by the Count il of Ing he of aaid airport, or any part thereof, for airport purpose, and the remaining in force of u-r a at leet fifteen tIM rtav- The insb.

ltv of the Company to and (on- and Hallfjlng firn.iM( ike Sale. TO F. ECUTK ACRE F. KNT WITH PENNSYLVANIA IIAIIe- the City of Koche.iVr a follow Section 1. It la heiebv detet mined lose said renjise and Council ofstinuing for a loi.fcer per.

asj Re It ordained bv lli ICOAII COMPANY-SEWER PUR POSES. that the following improvement me fiiy of K.w thirty (an days doe any oroer. rule or regulation of any approprva'o nil wolk are necrnaary. requited aS luiliis Section 1. The Council I lushing Rubbish Testing Laboratory Unclassified and snail be made, to wll of The reconstruction of the existing P.

It ordained bv the Council the City of Rochester aa follows: Section 1. The. rit M.ROOOO 16.677 29 48,122 71 15.000 00 564 24 14.435 76 BUM, SOn 00 81,767 04 517,032 96 89.066 00 21,584 18 67.481 82 13.600 00 3.358 01 10 241 99 8.200 00 1.726 53 6,473 47 76,500 00 18.039 63 68.460 47 72.300 00 15,258 21 57.041 79 24 000 00 1,576 60 22.423 40 13,700 00 3,174 93 10,525 07 14,750 00 3.774 67 10.973 33 1,126,500 00 279,453 35 S47.044 65 1,150,000 00 2S4.545 20 865,454 80 87,500 00 22.862 53 64.637 47 300,936 00 73,306 80 227,629 20 600,000 00 127,900 47 372,099 63 100,000 00 25,442 00 74.558 00 348.800 00 74.867 36 273.932 64 155.000 00 26,610 35 128.4K9 63 45,420 00 11,577 89 33.842 11 2.719.200 00 883,609 XI 1,838,590 67 5041,000 OO 141,232 93 358,767 07 1,487.874 62 186,894 86 1,300,979 77 179,000 00 179.000 00 35,000 00 8,424 13 36,373 83 1,612,000 00 500,085.07 1,111,914 93 15,000 00 7,050 74 7,949 26 771,500 00 191,939 75 579,560 25 85.500 00 20.434 63 65.065 37 20,000 00 6,881 56 14.118 44 20,566 00 4.549 80 18,018 20 22.44.-iOO 6,754 17 1B.6W)8;I 3, ono 00 750 00 2,250 00 143.706 Ot) 40.152 39 105,553 61 i 58.000 00 12,302 46 45.697.54 15,000 00 2.368 22 12,631 78 1S.534 00 3,401 87 13,132 13 20,602 00 8,047 69 16,664 31 40,000 00 9,729 43 30,270 87 8,600 00 3.137 1C 6,442 4 36.618 00 10,598 66 26.019 34 7.400 00 1,105 32 6,294 68 54,794 00 26,719 48 28,074 52 Commissioners utuce Bureau of Police Bureau of Fire Subdivision of Fire-Police Telegraph Bureau of Health General Bureau of Municipal Hospital Bureau of Health Care of Indigent Sick Subdivision of Park Current Subdivision of Parks Playground and Bureau of Building Depart mrnt of Public Welfare: Current Expenses imrtl Other Than Veteran Current Exprnses Veteran W. P. A.

Materials (ieneral 1940 Department of Public Works: Commissioner's Office Division of Maintenance and Operation Oeneral Subdivision of Motor Equipment Subdivision of Street Lighting Division of Engineering: Oeneral Tests and Materials Map and Survey Department of Commerce: Commissioner Office Hiiirau of Wrights and Measure Division of Ileal Estate Management Division of Real Estate Maintenance Division of Municipal Enter Is herehy authorized to execute on be pavements with type 4 A or 4K as- phaltlc concrete and the construction or reconstruction of the necessary Incidentals, Department of Public Safety: Bureau of Fire. Police and Flre-Police- Tclegraph Buildinz Permits Jn Exchange Street from proves of the or.ee govemmenial authority naviniT Ponej by th. Wisdict.on over the operatto, the aale to t'arlLTx? T.Cv.AK' Company: oe becaaee of the to oro.i pur- the City to furnish adoSteJ he -No aemces. for aaid ferio-l iriato 7 rv of tntrty tVt ds. tn title and! The parties hereto, for thetneelvee.

0t lMt Draper I their legal representatives -hS. Lot 10. and as-ign. fuiher covenant scriKeH morw rlcularly de- and aitree as follow: T. rommunication fro.n First: In consideration of te the Council premise.

i it es. under date of May 21. 14I. licensee, and use herein -t to the reservation. er.r,, the I'oniMnv agree to pa Municipal Hospital Unclassified 203 6 3.597 5i 17,125 6ft 1.227 73 13.536 94 Street to Court Street.

"i me vjity or Rocheater the following agreement with the Pennsylvania Railroad Company: agreement made In duplicate thia day of ii t. Jween the Pennsylvania Railroad Company, lessee of and operating the Western New York A Pennsvl- franklin Street from St. Street to Main Street East. Main Paul Street Street Street Lowell Street from Martin to Clinton Avenue North. North Street from Main vsnia rtaiiwav.

as fir at ixrtv herein East to Central Avenue. caile, ditiona i erreet a and Rulgeway Avenue lioin fiewev I the Railroad Company, and of Rochester, a municipal aliuale in Monroe County. Department of Public Welfare Department of Commerce: CommisMoner'a Office Rochester Transit Corporation Planning and Zoning Weights and Measures Property Rentala Airport liarbor Hubway Market Central License Bureau ifrnfilS' a in restriction, forlh M(j. Avenue to the rlht of wav the IO- ren' and with the fv: III It. i tin en I I(t1 New Ymk l'i no.l rrw a neconn patlv.

Herein 11 -e ev. i.i.i The Council doe hrrel.v Wlnlon Road from M.1.1: '1 hr 1.250 MI 249 2' i .14 5i 27S 94 3.901 1 lli 46 54 2 4-14 76 12 410 3o 6.967 86 onlinn the sale of re. I to Main Street East. I The widths of the aforesaid pa ve In ments shall be as fixed tn i vmrn pursuant lo the aforeai.l tjrdinan 4ii-4 and hcret.y authorise, the li ur.iia.ng Agent to sell the same to the said arroll ffe and Waiting i. and het OMi-e a 'i' the un.

ot One and F.fv Cent tllUll per eqaare foot per 'tYi'For tbe it, ef the airport a4 Ordinance No. 4I-HI7. wh.ch Mii i i aj.rii execu. ordinance and width, were ITJV Municipal Auditoriums City Courts: Civil Court Fees Criminal Court Fine nroved by ih. Pl.nnme riTV Present title i the reservations, exception; ton-litlons.

covenant, eaaemant. I VH rilROira IT ao in dol to said Citv tha a mmi. 4.703 03 667 00 or. i right and prlvilere to rniutmri The aforesaid Improvements Traffic Violations Bureau 9.254 80 117.635.043 8.1 ication from the pur. nd In work shall be constructed under date of Mav 2I i4t Sec.

2. Thl ordinance -v, DEPARTMENT OF PUBLIC INSTRUCTION: State of New York effect Immediately. aiiiiain, repair, renew and use a certain semi elliptical reinforced concrete sewer, being 7 feet 7 feet. inches, and throughout a distance of 423 feet within tho land and beneath the tracks of the Railroad (ompantr; also one stone sewer 180 feet in length and being 3 feet 4 feet. 8 inches.

I this being the present existing sewer but to be re con. 1,384.224 72 20,987 43 Other Sources I nanimnu consent wae granted to vote thereon. prises Airport Harbor Public Market Subway Division of" Planning and Zoning Planning Division of Planning and Zoning Zoning Division of Public Relations: Service Development Municipal Auditoriums Total Current Expenses and Fixed Charges General Principal and Interest on General Bonds and Notes 1.403.312 17 llslr40.25 00 accordance with the general ordinance relating to the construction of municipal and local Improvement, adopted by the Council March 11128, as last amended. fee. 2.

The whole coat and expense of such Improvement and work shall be charged to the City at large and paid from the fund created for the durable reconstruction of pavements, provided that five varlO'i pntnrm, t. -and Iicene contained Iaregraphe Ul. (111. (Cl and (I. Compear hM pay; For tha first, second an tr.lr-t che.lulea Oo per month Per schedule.

For each additional chedu.e $2-' no per month per schedule. The term "schedule" a ese-J herein I hereby defined to mean one round trip schedule With airplane It I un Serstc. and a creed that one round tnp con si at of one land.nc and one taVe-off ope and one landing a'' I one take-off In the opposite direction For the purpose of computing structed to reverse the flow Into the connection with the sewer Isst above and also two drifts and Adopted unanimously. By Councilman Lamb ase Ordinance No. 41-141.

tppretal of the net meat of 'the 4 lalm of Herman llladergroea and of the Claim and Action of Anna bnudl. $13,379,432 62 7.053.771 69 3.318,760 63 ,10,060.692 09 3,253,074 88 81 anil two manhole within the land and beneath the track of the Railroad Company, and all to be at 333.623 78 110 25 143 85 2H 50 is 5 052 SA 2.802 659 63 per cenium of the entire estimated font of any such Improvement shall be paid from the moneys art aside, or which may be set aside, from current unappropriated funds for WATER WORKS FUND: Metered Water Building Water Meter Repairs Taps and Services Meter Sales Hydrant and Main Rental Sale of Materials Interest and Penalties MT. HOPE CEMETERY FUND: Sodding. Repairs and Grass Cutting Interments TOTAL General Fund $20,433,224 31 6.871,833 41 13,861,388 90 in location as shown In yellow upon blue print of plan designated tile H2.739. dated 1941.

marked Kxhiblt hereto attached and 343,711 78 Be It ordained bv tha rnunrii of tha City of Rochester aa follows: Water Works Fund: Current Expense and Fixed Charges Principal and Interest cn Water Bonds and Notes made a part hereof: tho detaila of said sewers, drifts, stope and manholes being shown and Indicated upon photostatic Copy of plan sucn purpose. Sec. 3. It is hereby declared to be Impracticable to have done by competitive contract the reconstruction of tho pavements and tho construction or reconstruction of the necessary incidental thereto authorised in Section 1 of this ordinance, and the Purchasing Agent ia hereby authorized to have the same con- uviu Graves Sold iw.lM. Sheets 1.

2. 3 and 4. all marked "Exhibit 'BV hereto at 3.719 35 3.147 00 3.637 00 3,060 00 130 OO 21 0O 134 60 3.440 00 6,626 76 I 600,000 00 197,333 72 402, 6 28 668,778 80 228,440 81 438,338 08 8 1,266.778 80 425,774 63 841,009 37 8 90,000 8 16,326 17 73,673 83 Vault Fees Removals Foundations tached and made a part hereof, hut under and subject to the conditions schedule payment hereunder, to time table in effect the f.rst day of each calendar month ahall t-e applicable to tne enuro month and, shall bo the basis upon whirJi tho schedule fee berela provided, aha'l bo computed and. paid for erica month. Tha forernlng rents ed charge shall bo applicable te ad aircraft operated by the Company on sajd airport not exceedmr pounde standard gross weight.

The term "standard gro w-eight for tnr aircraft a ue. herein sha'l be te stsn.Uird gross wr.iht of airb aircraft a iliirrnniiril by the Ci I c. Auihotitv In the event the Company Incinerations Interest on Investments ana obligations hereinafter mentioned, which are hereby accepted Mt. Hope Cemetery: General Fund penses Current Ex- 23,797 60 'ructed without competitive con- Section 1. The Council hereby approve of tha settlement of the claim of Herman isladergroen.

Individually and as guardian ad litem Charles IL Biadergroen. an Infant, for the sum of $3l. the agreement of settlement for which was entered into by the Corporation Counsel with the claimant and le on file In the office of the City Clerk. Sec. 2.

The Council also approve of the settlement of the claim and action of Ann Scluni.ll agalnar the of H'M hester fr the sum of the agreement of settlement lor sliiih wa entered into l.v the and agreed to as covenants on the part of the City as follows: 1. All materials and all work here. School Fund: Current Fixed Charges and Capital Outlay 6,735,000 00 1.9K0.776 IK) 4,764, 224 00 itjf me i-'tanineni oi fuouc Works. Sec. 4.

This ordinance shall take effect immediately. Unanimnfs consent wa granted 'o vote thetron. Adopted unanimously. By Councilman Doane Int. No.

66. Prin'-ipal and Inleiest on Bonus and Notes rc nooi 1,347,1123 609,288 737,821124 1941 ,277.619 27 art est 7 oi 116. 4. hi aa 4 64 174.733 67 41.111 i 300,000 00 Iterate aircraft into sa. I a.rpert BANK.

BALANCES MARCH 31, OPERATING FUNDS: General Fund 1941 (lenerel Fund 1W40 General Fund 1928-1939 General Fund 1927 and Prior Utlity Tax Account Water Worka Fund Public Market Fund Mt. Hope Cemetery Maintenance and Operating Fund in exre. 26 (ssi round M.ration Counsel with the claimant i "etghing and la on file in the office of tne the (. 3,082, 118.23 2,690,064 S3 3,492,053 24 panv shall pay an ada.ttoaat in contemplated shall be furnished and performed bv and at the sole col and cepse of the City and a so. time and In ii manner a hall be approved by the Pivlaton Engineer of the Railroad Company; an.

I the Citv ahall do and perform all of aaid work or ahall require its contractor or contractors to do all of aaid work at such times and under such condition as ahall In no manner endanger. Interfere with or disturb the track and facilities of the Railroad Company or Ita use and City Clerk. 1 One Ik tar ill uiii ter achedu.e r-r SUMMARY; Sec 3. Thl ordinance ahall take effect Immediately. 23.446 63' 3,494.023 la) $20,433,224 31 6,571.

R35 41 $13,61, 3R JI0 1,266.779 ftO 425.774 63 41.006 37 month for each 1.0 rwiund weigat In excees of eald 23 000 pounda aircraft on euch echedule aa i company ahsil ua such airrrafi weighing In exces of 2. coo poanda 4. en tinned en Page tUeve (eneral Fund Water Works Fund Mt Hope Cemetery Fund AUTHORIZING ATiniTION AND ALTERATIONS TO MUNICIPAL HOSPITAL UNDER WORK TRO- I'nanlmnua consent wa granted to vote thereon. Adopted unanimously. OO 16.326 17 73,673 83 ASSESSMENT FUNDS:.

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