The funds collected under this chapter shall be disbursed in the following manner:
(A) First, such part thereof as is necessary to defray all expenses of collecting the tax and of administering and enforcing the provisions of this chapter shall be paid.
(B) The balance remaining after payment of the expenses referred to in division (A) hereof shall be apportioned to the following funds beginning with the January, 1998, collections received by the city in February, 1998, using the following percentages:
General Fund | 70.20% |
Streets Capital Improvement Fund | 23.00% |
Safety Department Equipment Fund | 2.40% |
Fire Equipment Fund | 2.40% |
Service Equipment Fund | 1.00% |
Storm Sewer Fund | 1.00% |
(Ord. 66-67, passed 12-18-1967; Ord. 9-98, passed 1-20-1998)