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BULLET St. Louis City Revised Code Chapter 5.76 “Round Up” Program Funds

St. Louis City Revised Code (annotated) has been converted to electronic format by the staff of the St. Louis Public Library. This electronic version has been done for the interest and convenience of the user. These are unofficial versions and should be used as unofficial copies.

Official printed copies of St. Louis City Revised Code may be obtained from the Register's Office at the St. Louis City Hall.



Chapter 5.76
“Round Up” Program Funds

Sections:

5.76.010 Excess payment disposition.
5.76.020 Deposit in Special Park Fund.
5.76.030 Use of funds.
5.76.040 Capital improvements--Use.
5.76.050 Effective date.

5.76.010 Excess payment disposition.

When any person, firm or corporation participating in the "Round Up" program pays an amount in excess of the amount due on any water bill, personal property or real estate tax bill the Collector of Revenue shall remit to the Comptroller the excess amount on a monthly basis.
(Ord. 62196 1, 1990.)

5.76.020 Deposit in Special Park Fund.

The Comptroller, upon receipt of such excess payments designated for the "Round Up" program remitted by the collector, shall place said receipted payments in the "Special Park Fund" established by Ordinance 51336.
(Ord. 62196 2, 1990.)

5.76.030 Use of funds.

The funds contained in the "Special Park Fund" from the "Round Up" program shall be used for capital improvements in the city parks, except that no funds can be used in any park until all capital improvements have been completed in Forest Park.
(Ord. 62196 3, 1990.)

5.76.040 Capital improvements--Use.

The Director of Parks, Recreation and Forestry shall recommend the use of said funds to the Parks and Environmental Matters Committee of the Board of Aldermen which shall determine the capital improvements for which the funds should be used, which use shall be consistent with this chapter, and the Director, upon resolution passed by said Committee shall have the authority to prepare the necessary vouchers for said use of funds and the Comptroller, upon receipt of said voucher, shall draw warrants on the Fund. No part of said funds shall be used for any general operating purpose or expense, salaries, or advertising.
(Ord. 62196 4, 1990.)

5.76.050 Effective date.

The provisions of this chapter shall become effective February 1, 1991, and any excess funds designated for the "Round Up" program received after February 1, 1991, shall be processed pursuant to this chapter.
(Ord. 62196 5, 1990.)

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