(A) The Clerk-Treasurer is directed to deposit in said fund monies received from the general public from donations specifically designated for said fund, monies specifically appropriated to said fund, and fees, charges and assessments made by the Street Department to members of public for services rendered and projects performed by said Department.
(B) The Board of Works is authorized to utilize and the Clerk- Treasurer is directed to pay from said fund money needed to purchase land for the Street Department, equipment for the highways and alleys, within the limits of the city, purchase of capital equipment such as trucks, packers, street devices, signs and related equipment for snow removal, trash removal and collection, and equipment used in leaf, tree limb or tree removal. Further, money from said funds may be utilized for the purpose of planning and design of road and highway construction.
(Ord. 3541, passed 6-2-08)