HomeMy WebLinkAbout1998-06-15 RM Exhibits
SUGGESTED RESOLUTION A.
FOR A LEGISLATIVE BODY RELATING TO A DEFERRED COMPENSATION PLAN
Name ot Employer' NeW &,1/<711';/2 r!Ol/AF}/
Tille of Program Coordinator' County Manager
State: North Carolina
ISCC definitiun below (OJ duties of I'rogram Cuordinator)
Resolution of the above IlJnlcrl Employer (lIEmployer")
WHEREAS, the Employer has employees rendering valuahle services; and
WHEREAS, Ihe estahlishment of a deferred compensation plan for such employees serves the interests of the Employer hy
enahling il to provide reasonahle retirement security for its employees, by providing increased flexibility in its personnel
m;:magernent system, ;me! hy J5sisting in the attraction and retention of competent personnel; and
WHEREAS, the Employer has determined that the estahlishmenl of a deterred compens"tion plan to be "dministered hy the
ICMA Retirement Corpor"tion serves the above objectives; "nd
WHEREAS, the Employer desires th"t its deferred cumpens"tion plan he "dministered hy the ICMA Retirement Corpor"tion,
and th"t the funds held under such plan he iovested in the ICMA Retirement Trust, a trust established hy public employers lor
the collective investment 01 funds held under their retirement <Inri deterred compensJtion plans;
NOW TH EREFORE BE IT RESOLVED th"t the Employer hereby "dopts or has previously "dopted the deferred comlJensation
plan (the 'Plan") in the form of: (Select one)
J:0 The ICMA Retirement Corpor"tion Deterred Compens"tion PI"n "nd Trust, relerred to "s Appendix A
D The pl"n provided hy the Employer (executed copy "tl"ched hereto).
BE IT FURTHER RESOLVED that the Employer hereby executes the Decl"r"tion of Trust of the ICMA Retirement Trust,
attJched hereto as Appendix S, intending this exccution to he operative with respect to any retirement or deferred compen-
s"tion plan subsequently established hy the Employer il the assets 01 the plan are to be invested in the ICMA Retirement
Trust.
BE IT FURTHER RESOLVED that the assets of the PI"n shall be held in trust, with the Employer serving "5 trustee, for the
exclusive henefit ot the Plan participanls and their beneticiaries, "nd the assets sh,,1I not be diverted to any other purpose.
The Trustee s heneficial ownership of PI"n assets held in the ICMA Retirement Trust shall be held for the further exclusive
benelit of the Plan particip"nts and their benefici"ries.
BE IT FURTHER RESOLVED that the Plan: (Select one)
~ Will permit loan
D Will not permit loans
BE IT FURTHER RESOLVED that the Employer hereby agrees to serve as trustee under the Plan.
BE IT FURTHER RESOLVED that the County Hanap:er fuse title 01 offici"l, nolmme) shall be
lhe coordinalor for this program; shall receive necessary reports, notices, elc. from the leMA Retirement Corporation or the
ICMA Retirement Trust; shall cast, on behalf of the Employer, any required votes under the ICMA Retirement Trust;
Administrative duties to carry out the pl"n may he assigned to the appropriate departments, and is authorized to execute all
necessary <lgreements with ICMA Retirement Corporation incidental to the administration of the Plan.
I, Lucie F. Harrell ,Clerk oi the (City, Countv, etc.) ot NehT Hanover
certify that the foregoing resolotion, propused by, (Council Member, Trustee, etc.) Com. Birzenieks
passed and adopted in the (Council, Board, etc.) of the ICity, rn, ,ntX clc.t 01 New Hanover
thereof assembled this 15th d"yoj June , 1 ~ 98
do hereby
was duly
(It regular meeting
, by the following vote:
A YES. 5
NAYS. 0
^BSENT
(Sea/)
~\~i6~~)
NEW HANOVER COUNTY TAX COLLECTIONS
COLLECTIONS THRU 05/31/98
CURRENT TAX YEAR - 1997
-----------------------
ORIGINAL TAX LEVY PER SCROLL
DISCOVERIES ADDED
LESS A8ATEMENTS
TOTAL TAXES CHARGED
ADVERTISING FEES CHARGED
LISTING PENALTIES CHARGED
TOTAL LEVY
COLLECTIONS TO DATE
OUTSTANDING BALANCE
PERCENTAGE COLLECTED
8ACK TAXES
----------
REAL ESTATE AND PERSONAL PROPERTY
CHARGES ADDED
LESS ABATEMENTS
TOTAL TAXES DUE
COLLECTIONS TO DATE
OUTSTANDING 8ALANCE
PERCENTAGE COLLECTED
ROOM OCCUPANCY TAX COLLECTIONS
PRIVILEGE LICENSE COLLECTIONS
EMS COLLECTIONS
AD VALOREM
$ 56.737.366.65
2.687.025.53
163.671.23-
---------------
$ 59.260.720.95
7.273.00
46.771.76
---------------
$ 59.314.765.11
58.638.234.41-
---------------
$ 676.531.30
98.86%*
$ 2.469.667.19
96.157.02
224.911.66-
---------------
$ 2.340.912.55
769.287.89-
---------------
$ 1.571.624.66
32.86%
MAY 1998
171.897.58
213.75
.00
TOTAL MONEY PROCESSED THRU COLLECTION OFFICE FOR
CITY OF WILMINGTONl WRIGHTSVILLE 8EACH. CAROLINA
BEACH TO DATE - $9 .130.390.64.
THIS REPORT IS FCR FISCAL YEAR 8EGINNING JULY 1.
~ECTFULLY SU8MITTED.
tlh'"t"..... 9\. A ~",c)V
PATRICIA J. ~N~R \:
COLLECTOR OF REVENUE
CONSENT AGENDA
DATE _________
ITEM NO.
MOTOR VEHICLE
$ 7.210.054.18
40.795.65
105.442.15-
---------------
$ 7.205.401.68
.00
.00
$ 7.205.401.68
5.179.311.95-
---------------
$ 1.426.095.73
80.21%>1<
FI SCAL YTD
1.875.401.65
16.803.13
.00
NEW HANOVER COUNTY.
BEACH AND KURE
* COMBINED COLLECTION PERCENTAGE - 96.84%
1997.
CONSENT AGENDA
DATE:_________
ITE" NO.______
NEW HANOVER COUNTY FIRE DISTRICT TAX COLLECTIONS
COLLECTIONS THRU 05/31/98
CURRENT TAX YEAR - 1997
-----------------------
ORIGINAL TAX LEVY PER SCROLL
DISCOVERIES ADDED
LESS ABATEMENTS
TOTAL TAXES CHARGED
LISTING PENALTIES CHARGED
TOTAL LEVY
COLLECTIONS TO DATE
OUTSTANDING BALANCE
PERCENTAGE COLLECTED
BACK TAXES
----------
REAL ESTATE AND PERSONAL PROPERTY $
CHARGES ADDED
LESS ABATEMENTS
TOTAL TAXES DUE
COLLECTIONS TO DATE
OUTSTANDING BALANCE
PERCENTAGE COLLECTED
THIS REPORT IS FOR FISCAL YEAR BEGINNING JULY 19 1997.
~ECTFULLY SU8MITTEDp
Ytlrnt,,,, ~ i?-. ~J""'CV
PATRICIA J. A NOR '=
COLLECTOR OF VENUE
AD VALOREM
MOTOR VEHICLE
$ Iv239p942.41
61p217.81
24v634.00-
---------------
$ Ip276v526.28
992.68
$
1699950.35
Ip216.94
2p789.74-
---------------
$ 16Bv377.55
.00
$ Iv277v518.96
Ip263p027.39-
---------------
$ 14v491.57
98.87%*
$
1689377.55
138v563.43-
$
299814.12
82.29%*
46pB05.92
59390.92
9v1l6.40-
---------------
$ 439080.44
14v662.22-
---------------
$ 289418.22
34.03%
~
* COM8INED COLLECTION PERCENTAGE - 96.94%
INTRODUCED BY Allen O'Neal, County Manager
DATE.
June 15, 1998
RESOLUTION AU1HORIZING THE SALE OF REAL PROPERTY
LOCATED AT 714 SOU1H 10TH STREET
LEGISLATIVE INTENT/PURPOSE.
This resolution relates to the sale of surplus property jointly owned by the City of Wilmington and New
Hanover County more particularly identified as follows:
Parcel Number
3127-15-6212-000
Address
714 S. 10th Street
Amount of Offer
$1,50000
Tax Value
$600.00
Market Value
$1,500.00
Offerer
George D Peterson
2658 Carrolton Road, Annapolis, Maryland
Property Dimensions
20' x 98'
This property has been offered to all eligible non-profit organizations. None of the organization could use
the property in their program.
The offer(s) has been advertised for upset bid in accordance with N.C G.S. 160A-269 and there have been
no qualifYing upset bids for the identified parcel(s).
The parcel(s) has been declared surplus by the County Commissioners and not needed for public purposes.
RESOLVED'
I That pursuant to N C.G.S 160A-269 the County Commissioners does hereby accept the offer(s) to
purchase identified herein from the offerer(s) as indicated.
2. That New Hanover County reserves the right to reject any and all offers.
3 That New Hanover County will retain any deposit posted by the offerer(s) when:
a. The offer is withdrawn after posting the deposit.
b The offerer(s) fail to pay the balance of an approved offer due in cash, within ten (10) days of
receipt of a notice by certified mail of availability of the deed of conveyance.
4 That any amount shown due on any attached list for liens be waived in total.
5 That the Chairman of the County Commissioners be and is hereby authorized to execute a deed
warranties to the offerer(s) as designated herein.
ATTEST
~'</~
Clerk to the oard
New Hanover County Board of Commissioners
1,) ~ C! Co..A-
Chairman
Adopted at a g;::::
meeting on 1<
,1911
STATE OF NORTIl CAROLINA
DEPARTMENT OF TRANSPORTATION
JAMES B HUNT JR. E. NORRIS TOLSON
GOVERNOR SECRETARY
May 26, 1998
DMSION 3, DISTRICT 3, NEW HANOVER COUNTY
STAR NEWSPAPER, INC.
P O. BOX 840
WILMINGTON, NC 28403
vnLMINGTONJOU&~AL
412 S. SEVENTH STREET
vnLMINGTON, NC 28401
Gentlemen:
SUBJECT PUBLIC NOTICE. EXPENDITURE OF SECONDARY ROAD CONSTRUCTION FUNDS
WE REQUEST THAT YOU PUBLISH THE FOLLOWING PUBLIC NOTICE IN YOUR NEWSPAPER ONCE DUR/:oiG
THE WEEK OF JUNE I. 1998 AND ONCE DURING THE WEEK OF JUNE 8.1998. WE WILL REQUIRE A COPY OF
THE PUBLICATION ALONG WITH A CLIPPING AND THE INVOICE.
PUBLIC NOTICE
THE DMSION OF mGmVAYS OF THE N. C. DEPARTMENT OF TRANSPORTATION WILL
HOLD A PUBLIC HEARING WITH THE NEW HANOVER COUNTY COMi\IlSSIONERS A1~
OTHER INTERESTED COUNTY RESIDENTS IN REGARD TO EXPENDITURES OF
SECONDARY ROAD CONSTRUCTION FUNDS FOR IMPROVEMENTS OF SECONDARY
ROADS IN NEW HANOVER COUNTY TillS HEARING WILL BE HELD ON JUNE IS . 1998
AT 9:00 A.M. IN THE ASSEMBLY ROOM OF THE NEW HANOVER COUNTY COURTHOUSE
AT 24 NORTH TIDRD STREET, vnLMlNGTON, N. C. RECOMMENDATIONS FOR
EXPENDITURES OF THE SECONDARY ROAD CONSTRUCTION FUNDS ARE POSTED ON
THE PUBLIC BULLETIN BOARD AT THE NEW HANOVER COUNTY COURTHOUSE.
V3~
D. J'l~rs. P E.
Division Engineer
-c._J
AU,Y 2 7 1~~8
DJB:psj
- -'. ......;.
CC: Michael Mills, Board of Transportation Memher
David L. Thomas, P E., District Engineer
New Hanover County Commissioners
14
124 Division Drive Wilmington. N. C. 28401 (910) 251 2655
JAMES B. HUNT, JR.
GOVERNOR
STATE OF NORTII CAROLINA
DEPARTMENT OF TRANSPORTATION
DIVISION OF mGHW A YS
May 27, 1998
E. NORRIS TOLSON
SECRETARY
Mr. William A. Caster, Chairman
New Hanover County Board of Commissioners
320 Chestnut Street, Room 305
Wilmington, North Carolina 28401
.-J
/'1~Y 2 7
199?
Subject:
1998-99 Secondary Road Construction Program
Dear Mr. Caster
As required by General Statute 136-44.5, before July I each calendar year, the Department of
Transportation shall make a study of all state-maintained unpaved roads in order to determine the
unpaved mileage in each county and the total in the state. Each county's allocation is determined
by dividing the total allocation by the statewide mileage times the number of miles in each
county
Secondary road construction allocatIOns are based upon the amount of revenue generated by the
gasoline tax and moneys from the bond fund. The final total will not be kn.own until the end of
the current fiscal year, ending June 30, 1998. Should there be a significant change in the county
allocatIOn, we will inform you of any adjustments in the Secondary Road Construction Program
for 1998- I 999
Based on an unpaved mileage of approximately 5.5 miles in New Hanover County, compared to
unpaved miles statewide, the secondary allocation is estimated at $129,134.00 that is expected to
be approved at the July Board Meeting.
The North Carolina Board of Transportation has elected to continue paving down the same lists
used last year. The lists are based on a paving priority rating system having two paving priorities
in each county, one for rural roads and one for residentiaVsubdivision roads. The Board now
requires a separate listing of roads for each county showing the roads which have been
previously skipped over for paving because the right-of-way was not available. Although these
roads will not be shown on either of the two paving priority lists, provisions have been made for
any such road to be reinstated to its prior position at such time as right-of-way becomes
available, or as soon thereafter as reinstatement can be administratively accomplished. A copy of
the paving priorities, and the list of roads with unavailable right-of-way is attached for your
reference.
15
124 Division Drive Wilmington, N. C. 28401 (910) 251-2655
New Hanover County Commissioners
Page Two
In compliance with our Board's directives, while addressing overall county needs, we submit the
following proposals for the expenditure of estimated secondary road construction funds for New
Hanover County, for the period through June 1999 This proposal will be presented in a public
hearing at your regularly scheduled meeting on June 15, 1998, at 9'00 A.M. as follows:
Estimated July 1, 1998 Total Allocation
$129 134.00
Highway Fund
Highway Trust Fund
Highway Bond Fund
$50,116.00
$56,706.00
$22,312.00
Spot Stabilization,
Paved Road Improvements,
Safety Improvements and
Bridge Replacements
$15 ?82.00
$113,852.00
Roads for Grade. Drain Base and Pave
SR 2259, Farm Road
From SR 1336 to End System
Length 0.18 Mile
Pnority 7S
5>10000.00
5> I 03,852.00
0.18
5>40000.00
5>63,852.00
0.25
$25.000.00
5>38,852.00
0.16
5>] 5 000.00
5>23,852.00
0.09
5>20 000.00
$3,852.00
SR 1471, McCumber Station Road
From SR 1409 to End System
Length 0.25 Mile
Priority 8S
SR 2] 83, Spring Road
From End Pavement to SR 2184
Length 0.16 Mile
Priority 9S
SR 2549, Weeping Willow Lane
From SR 1550 to End System
Length 0.09 Mile
Priority 10S
Pave Driveway and Apron
Ogden Volunteer Fire Department
SR 1402 Porters Neck Road
16
New Hanover County Commissioners
Page Three
Volunteer Fire Departments,
Rescue Squads, Road Additions
and Contingencies
$3.852.00
$0.00
Total Miles:
0.68
A copy of this proposed program is posted on the public bulletin board at the courthouse for
public review This program is subject to availability of funding, right-of-way, and
environmental review
We wish to point out the amount used in the cost of each of these priorities is an estimate and is
subject to variations due to inflation, cost of materials, equipment rate changes, and so forth.
We appreciate the opportunity to meet with you, the Board and the public, to present this
program. Recommended deviations from this submission by the Board of Commissioners must
be in compliance with General Statute 136-44.8.
In the event right of way for any of the proposals above is not available, it is our plan to proceed
with the next priority until right of way is acquired and funds are expended. You will be notified
of changes in this program. In addition, at the end of each calendar year you will be presented a
detailed report of work accomplished and funds expended.
Yours,
rtalftt/
D Bowers, P E.
Division Engineer
DilllDLT
cc: Michael Mills, Board of Transportation Member
David 1. Thomas, P E., District Engineer
M. F McDaniel, Highway Maintenance Engineer
17
. t
,Jr. y .~fi I 1'1 UN AV 0 S CONDARY ROADS SUBDIVISION/R,SiDeNiIAl PAGE
COUNTY Nfl HANOVER 1997
SIR PRTY NAME LENGTH HOM P/H SCH eH 85 IN Rf is B/R TRAf T/f T/PTS
1751 If 'om N LANE 16
14138 If ALLEN'S LANE 17
2181 3f NiXON LANE 18
1354 4f HORNE PLACE 0 15
1131 Sf SIGMAN ROAD 08
1158 6f 8RODKDALE DRI 39
1259 7f fARM ROAD 18
1471 8f MCCUM8ER STA 15
2183 9f SPRING ROAD 16
2549 1Df ~EEPING VIlLO 09
2546M 11 WISHING ~ELL 151 76 Y 456 N 767 9
1551 11 CAMElLIA LANE 04 4 N 14 N 624 0
2660 13 WHITTED CIRCL 06 5 Y 30 /I 540 0
1337M 14 MARATHON AV 89 38 Y 118 /I 494 1
1910 15 DAVIS LANE 17 10 Y 60 N 421 9
2619 16 HERMITAGE DRI 11 5 Y 30 /I 190 0
1461 17 CHESTER AVENU 04 1 N 10 N 160 0
2661 18 UN NAMED ROAD 11 4 Y 24 N 151 1
1659 19 EMERSON DRIVE 14 4 Y 14 N 134 0
NUMBtR ROADS 19 TOTAL MIlES S 29
If) I/lDICATES fROIEN TOP 10 PRIORITY AS REQUIRED BY GS 136 44 71BI
18
'KiV KAfiNG UNPAV 0
OIlOA.\! OAOS RJ,iAl PAG, 1
COUIITY m HAIIOVER 1997
lEIIGTH HOM P/H SCH CH BS IN Rf 10 B/R TRAf TI T/PTS
5/1. PRTY NAME
1516 If NAVAHO TRAil 55
1408 If PROSPECT CEME 30
13B5 3f SAMPSON STR E 43
131B 4f BLUE CLAY ROA 11
NUMBER ROADS 4 TOTAL MILES 1 79
If) INDICATES fROIEN TOP 10 PRIORITY AS REQUIRED BY uS 136-44 71B)
19
LIST OF ROADS WITH UNAVAILABLE RIGHT-OF-WAY
1997-99
COUNTY- NEW HANOVER
RURAL ROADS
Priority SR Number I Name Length
1F 1413A Aliens Lane 0.38
2F 1827 Rogers Avenue 0.32
SUBDIVISION RESIDENTIAL ROADS
Priority SR Number I Name Length
1F 1334 I Sondey Road 0.40
SUMMARY
Number of roads on list 3
Total length of roads 1 10
Total length of roads with 50 or more ADT 1 10
20
NEW HANOVER COUNTY, NORTH CAROLINA
1998-99 BUDGET ORDINANCE
BE IT ORDAINED by the Board of Commissioners of New Hanover County North
Carolina, in regular session assembled:
Section 1 The following amounts are hereby appropriated for the operation of New
Hanover County government and its activities for the fiscal year beginning July 1 1998, and
ending June 30 1999 according to the following summary and schedules:
Estimated Fund Balance Total
Summary Revenues Appropriated Appropriation
General Fund $ 142,252,574 $ 1 733,520 $ 143,986,094
New Hanover County Schools Fund 43,238,334 0 43,238,334
Emergency Telephone Fund 400,000 0 400,000
Room Occupancy Tax Fund 2,194,000 0 2,194000
Environmental Management Fund 11,083,564 0 11,083,564
TOTAL BUDGET $ 199,168,472 $ 1 733,520 $ 200 901,992
GENERAL FUND
Section 2: That for said fiscal year there is hereby appropriated out of the General Fund
the following:
Function
Current
General Government
Human Services
Public Safety
Economic & Physical Development
Cultural & Recreational
Education
Contingency
Transfers
Debt Service
Debt Service
Total Appropriations General Fund
Appropriation
$
15,366,568
43,361,928
20,566,356
400,377
5,115,495
45,824 058
300,000
8,010,067
$
5,041,245
143,986,094
Section 3 It is estimated that the following General Fund revenues will be available
during the fiscal year beginning July 1 1998 and ending June 30 1999 to meet the foregoing
General Fund appropriations.
Revenue Source
Ad Valorem Taxes
Sales Tax (Art. 39)
Sales Tax (Art. 40 & 42)
Other Taxes
Intergovernmental Revenues
Charges for Services
Other Revenues
Transfer InlWater & Sewer District
Transfer In/Emergency Telephone Fund
Transfer In/Sheriff
ABC Revenue
Appropriated Fund Balance
Total Revenues General Fund
$
$
NEW HANOVER COUNTY SCHOOLS FUND
Amount
69,969,870
17,920736
11 795,530
6,297 343
26,733,262
5,919,555
2,179,450
83,200
400 000
5,828
947,800
1,733,520
143,986,094
Section 4 In accordance with G.S. 115C-429 (b), the following appropriations are made
to the New Hanover County Schools Fund. The budget resolution adopted by the New
Hanover County Schools Board of Education shall conform to the appropriations set forth in the
budget ordinance for current expense and capital outlay Once adopted, such ordinance shall
not be amended without the prior approval of the Board of Commissioners if the cumulative
effect of such amendment would be to increase or decrease the amount of County
appropriation allocated by purpose, function, or project by 25 percent or more.
CateQorv
Current Expense
Capital Outlay
Debt Service
Contribution to School Pension Fund
Siemens Building
Total Appropriation New Hanover County Schools Fund
$
$
Appropriation
34,660,981
2,677 753
5,449,600
250,000
200,000
43,238,334
Section 5. It is estimated that the following New Hanover County Schools Fund
revenues will be available during the fiscal year beginning July 1 1998, and ending June 30,
1999 to meet the foregoing Public Schools Building Capital Fund appropriations.
Revenue Source
Transfer In/Half-Cent Sales Tax Fund (Art 40 & 42)
Transfer In/General Fund
Total Revenues New Hanover County Schools Fund
$
$
Amount
5,301,213
37,937,121
43,238,334
EMERGENCY TELEPHONE FUND
Section 6. For said fiscal year there is hereby appropriated out of the Emergency
Telephone Fund the sum of"
$ 400,000
Section 7 It is estimated that the following Emergency Telephone Fund will be available
during the fiscal year beginning July 1 1998 and ending June 30, 1999, to meet the foregoing
Emergency Telephone appropriations:
Revenue Source
Amount
911 Surcharge
Total Revenues - Emergency Telephone Fund
$
$
400,000
400,000
ROOM OCCUPANCY TAX FUND
Section 8: For said fiscal year there is hereby appropriated out of the Room Occupancy
Tax Fund the sum of"
$ 2,194000
Section 9' It is estimated that the following Room Occupancy Tax Fund revenues will
be available during the fiscal year beginning July 1 1998, and ending June 30 1999 to meet
the foregoing Room Occupancy Tax Fund appropriations:
Revenue Source
Amount
Room Occupancy Tax
Charges For Services
Total Revenues Room Occupancy Tax Fund
$
2,165,000
29,000
2,194000
$
ENVIRONMENTAL MANAGEMENT FUND
Section 10: For said fiscal year there is hereby appropriated out of the Environmental
Management Fund the sum of"
$ 11 083,564
Section 11 It is estimated that the following Environmental Management Fund
revenues will be available during the fiscal year beginning July 1 1998, and ending June 30
1999 to meet the foregoing Environmental Management Fund appropriations:
Revenue Source
Amount
I ntergovernmental Revenues
Charges for Services
Other Revenues
Transfer In/One-Half Cent Sales Tax (Art 40 & 42)
Appropriated Fund Balance
Total Revenues - Environmental Management Fund
$
250,000
9,227,279
74,500
1,531 785
o
11083,564
$
GENERAL FUND
Section 12: There is hereby levied in the General Fund for the fiscal year ending June
30 1999 the rate of 66 5 cents on each One Hundred Dollars ($10000) assessed valuation of
taxable property as listed as of January 1 1998, for the purpose of raising the revenues from
the current year's property tax as set forth in the foregoing appropriations.
Such rate is based on an estimated total appraised value of property for the purpose of
taxation of $10,550000,000 with an assessment ratio of 100 percent of appraised value
Estimated collection rate of 98 percent is based on a fiscal year 1997-98 collection rate of 98
percent.
Section 13' The Board of Education shall supply the County on a monthly basis an
accounting of its expenditures for school facilities maintenance and renovations, exclusive of
those authorized under the bond issue on the County Bond Issue, in a format established by
the County Commissioners.
Section 14 The Board of Education shall notify the County in writing of any changes
made to their planned capital fund expenditures. The notification should include: (1) nature of
the change, (2) reason for the change, (3) dollar amount of any expenditure change, by
planned project, and (4) plans for and estimated cost of, completing planned project in the
future if completion as originally anticipated will not be possible.
Section 15 Copies of this Budget Ordinance shall be furnished to the County Manager
and the County Finance Director of New Hanover County North Carolina, to be kept on file by
them for their direction in the collection of revenues and the expenditures of amounts
appropriated.
Section 16 That appropriations herein authorized and made shall have the amount of
outstanding purchase orders as of June 30 1998, added to each appropriation as it appears in
order to account for the payment against the fiscal year in which it is paid.
ADOPTED this 15th day of June 1998
tJ,~_(], ~
William A. Caster Chairman
Board of County Commissioners
NEW HANOVER COUNTY, NORTH CAROLINA
SPECIAL FIRE DISTRICT
1998-99 BUDGET ORDINANCE
BE IT ORDAINED by the Board of Commissioners of New Hanover County North
Carolina, in regular session assembled:
Section 1 The following amount is hereby appropriated for the operation of New
Hanover County Special Fire District and its activities for the fiscal year beginning July 1 1998,
and ending June 30 1999'
$ 3,408,795
Section 2: It is estimated that the following Special Fire District revenues will be
available during the fiscal year beginning July 1 1998, and ending June 30 1999 to meet the
foregoing Special Fire District appropriations:
Revenue Source
Amount
Ad Valorem Taxes
Sales Tax
Other Taxes
Other Revenue
Appropriated Fund Balance
Total Revenues - Special Fire District Fund
$
1 492,400
653,000
84,000
134,500
1,044,895
3,408,795
$
Section 3. There is hereby levied in the Special Fire District Fund for the fiscal year
ending June 30 1999 the rate of 2.5 cents on each One Hundred Dollars ($10000) assessed
valuation of taxable property as listed as of January 1 1998, for the purpose of raising the
revenues from the current year's property tax as set forth in the foregoing appropriations.
Such rate is based on an estimated total appraised value of property for the purpose of
taxation of $6 020 000 000 with an assessment ratio of 100 percent of appraised value.
Estimated collection rate of 98 percent is based on fiscal year 1997-98 collection rate of 98
percent.
Section 4 Copies of the Budget Ordinance shall be furnished to the County Manager
and the Finance Director of New Hanover County North Carolina, to be kept on file by them for
their direction in the collection of revenues and the expenditures of amounts appropriated.
Section 5 That appropriations herein authorized and made shall have the amount of
outstanding purchase orders as of June 30 1998 added to each appropriation as it appears in
order to account for the payment against the fiscal year in which it is paid.
ADOPTED this 15th day of June 1998.
C~~'r' '{/ ~
CI rk to the Board
ZJ~ Q ~
William A. Caster Chairman
Board of County Commissioners
New Hanover County
Board of Commissioners
Resolution
WHEREAS, New Hanover County is interested in providing
financial support to agencies that serve public purposes including
economic and physical development, cultural and recreational
programs, human services, industrial promotion, and public safety;
and
WHEREAS, New Hanover County is interested in providing
financial support to agencies that benefit the citizens of the County
NOW, THEREFORE, BE IT RESOLVED by the New Hanover
County Board of Commissioners.
That the County Manager is authorized and directed to enter
into the appropriate contracts with outside agencies for the amount of
funding approved in the New Hanover County fiscal year 1998-99
budget.
Signed this the 15th day of June 1998
D~Q~
William A. Caster
Chairman, New Hanover County
Board of Commissioners
AN ORDINANCE
OF THE
NEW HANOVER COUNTY
BOARD OF COMMISSIONERS
The Board of Commissioners of New Hanover County North Carolina, does
hereby ordain that the following Ordinance be enacted to be codified as Section 11-11
Obstructinq Justice
Any person who with intent to interfere with obstruct, or impede any official,
employee, agent, or contractor of New Hanover County engaged in the abatement of
any nuisance set forth in the New Hanover County Code shall be guilty of a Class 3
misdemeanor punishable by a fine of not more than Five Hundred ($500 00) Dollars.
This /s.-t"lv day of ff!-~
,1998
NEW HANOVER COUNTY
ttJ~ Q ~
William A. Caster Chairman
Board of Commissioners
ATTEST
~~/N~
CI k to the Board
AN ORDINANCE
OF THE
NEW HANOVER COUNTY
BOARD OF COMMISSIONERS
The Board of Commissioners of New Hanover County North Carolina, does hereby
ordain that Chapter 6, Business Regulations, Article II, Ambulance Service, is hereby amended
to read as follows:
I. Section 6-29.1 Rates and Charaes.
Delete existing subsection (a).
II. Section 6-23, Term. Amend subsection (a) as follows:
The county may issue a franchise hereunder to an owner of an ambulance or rescue
service, to be valid for a term to be determined by the county' provided that as to any for-profit
ambulance franchise, either party at its option may terminate the franchise upon one hundred
twenty (120) days prior written notice to the other party As to any non-profit ambulance
franchise, as recognized under the laws and regulations of the Internal Revenue Service or the
North Carolina Department of Revenue, either party at its option may terminate the franchise
upon three hundred sixty (360) days prior written notice to the other party After a notice of
service termination is given, the ambulance service shall reapply for a franchise if continued
service is desired.
III. Except as specifically amended above Article II shall remain unaltered, in full force
and effect.
This the /."r'Zl.. day Of~, 1998.
NEW HANOVER COUNTY
ATTEST
IJJ~ C! ~
William A. Caster Chairman
Board of Commissioners
~ v:7' /V~
CI rk to the Board