City Council
Regular MeetingZanesville, OH · December 9, 2024
Agenda
City Council Meeting
Agenda of Business
December 9, 2024
The Lord's Prayer
Pledge of Allegiance to the Flag
A. Roll Call
8. Approval of Meeting Minutes Dated November 25, 2024
C. Communications, Reports, and Resolutions
None
D. Proposed Ordinances
1. Ordinance No. 2024-141- Introduced by Council -An Ordinance amending
appropriation Ordinance No. 2024-53 and declaring an emergency. (Emergency or
First Reading)
E. Ordinances for Action
None
F. Traffic Orders
Traffic Order 2024-07
Section One: There is hereby established a Forty-Five (45) mile per hour speed
limit on Northpointe Drive from Fairview Road, north to the end of the City limits.
Section Two: The appropriate signs shall be installed in accordance with O.R.C.
4511.07.
G. Miscellaneous and Unfinished Business
None
H. Private Petitions and Communications
None
I. Adjournment
The next regular meeting is scheduled for December 23, 2024.
This meeting is open to the public who may attend in person or attend by phone or Internet
using the information below.
Phone 1-844-621-3956 US Toll Free or 1-415-655-0001 US Toll
Use Access Code: 126 750 8098 #
Online with WebEx- Enter zanesvillecity.webex.com in web browser. Enter Meeting
Information- 126 750 8098
ZANESVILLE CITY COUNCIL MEETING MONDAY, NOVEMBER 25, 2024
ZANESVILLE CITY COUNCIL MEETING- MONDAY, NOVEMBER 25, 2024
The Zanesville City Council met in regular session at 7:00 p.m. on Monday, November 25, 2024
in the City Council Chambers, 401 Market Street, Zanesville, Ohio.
Mr. Vincent: Good evening everyone. I'd like to call Zanesville City Council meeting to order for
November 25, 2024. Please stand and join me in the Lord's Prayer followed by the Pledge of
Allegiance to the Flag.
Mr. Vincent led those present in the Lord' s Prayer and the Pledge of Allegiance to the Flag.
Mr. Vincent: May I have roll call, please?
The following members of Council answered roll call: Mr. Taylor-Lehman, Mr. Ware, Miss
Bradshaw, Ms. Frye, Mrs. Osborn, Mr. Foreman, Mr. Roberts, Mr. Ballmer, Mr. Baker, and Mr.
Vincent.
APPROVAL OF MINUTES
Mr. Vincent: Thank you . We are now at approval of the minutes for November 12, 2024. What
is Council's pleasure?
Mr. Roberts moved to approve as written . It was seconded by Mr. Ballmer.
Mr. Vincent: Is there any discussion? Hearing none, all in favor of approval of the minutes as
written, signify by saying aye. Those opposed nay.
A voice vote was taken with all being in favor. None were opposed.
Mr. Vincent: Motion carries. The minutes stand approved.
COMMUNICATIONS, REPORTS, AND RESOLUTIONS
Mr. Vincent: We move on to communications, which we have none.
PROPOSED ORDINANCES
Mr. Vincent: And then proposed ordinances, we have none. We will go to ordinances for
action.
Page 1 of 4
ZANESVILLE CITY COUNCIL MEETING MONDAY, NOVEMBER 25, 2024
ORDINANCES FOR ACTION
Ordinance No. 2024-137 - Introduced by Council -An Ordinance creating the 8 Main TIF
pursuant to Ohio Revised Code Sections 5709.41, 5709.42 and 5709.43, declaring
improvements to certain parcels of real property to be a public purpose, requiring the owners
of the improvements on such parcels to make service payments in lieu of taxes, establishing an
Urban Redevelopment Tax Increment Equivalent Fund for the deposit of service payments, and
authorizing the Director of Community Development to enter into a tax increment financing
agreement with 8 Main LLC to support the financing and development of a project to be
located at 8 Main Street and 12 Main Street.
Mrs. Osborn moved for third reading. It was seconded by Mr. Ballmer.
Mr. Vincent: Is there any discussion?
Mr. Roberts: Mr. President?
Mr. Vincent: Mr. Roberts.
Mr. Roberts: I would like to amend this legislation. On the second whereas, replacing the date
of October 11, 2024 with November 19, 2024.
Mr. Baker: Second.
Mr. Vincent: All in favor of the amendment, signify by saying aye. Those opposed nay.
Mr. Vincent: Motion carries. We are now at Ordinance 2024-137 As Amended.
Mr. Roberts moved for third reading and passage. It was seconded by Mrs. Osborn.
Mr. Vincent: Is there any discussion? Hearing none, we will have roll call vote for passage.
Roll call vote for passage
9 Ayes
0 Nays
O Absences
0 Abstentions
Mr. Vincent: Motion carries. Ordinance is passed.
Ordinance No. 2024-138- Introduced by Council -An Ordinance adopting an economic
development plan for the Leasure Farm Incentive District.
Mr. Vincent: We are at third reading.
Page 2 of 4
ZANESVILLE CITY COUNCIL MEETING MONDAY, NOVEMBER 25, 2024
Miss Bradshaw moved for third reading and passage. It was seconded by Ms. Frye.
Mr. Vincent: Is there any discussion? Hearing none, we will have roll call vote for passage.
Roll call vote for passage
9 Ayes
O Nays
0 Absences
0 Abstentions
Mr. Vincent: Motion carries. Ordinance is passed.
TRAFFIC ORDERS
Mr. Vincent: Moving on to traffic orders, which we have none.
MISCELIANEOUS AND UNFINISHED BUSINESS
Mr. Vincent: We will move on to miscellaneous and unfinished business and turn to the Mayor.
Mayor Mason: Just that remember that December 4th, we're kicking off the downtown parade.
So I expect to see everybody wearing their little stocking caps with the little ball on the top and
all your Christmas sweaters and things. I know Andy has been looking forward, all year, to
wearing his.
Mr. Vincent: It's warmer that way. And you'll be announcing the parade?
Mayor Mason: I guess I'll be announcing it, yes.
Mr. Vincent: Wonderful. Anything else from admin istration?
PRIVATE PETITIONS AND COMMUNICATIONS
Mr. Vincent: We have no private petitions or communications. Anything else from Council?
ADJOURNMENT
Mr. Roberts moved to adjourn the meeting. It was seconded by Mr. Ballmer.
Mr. Vincent: All in favor of adjournment, signify by saying aye. Those opposed nay.
A voice vote was taken with all being in favor. None were opposed.
Mr. Vincent: Motion carries. Meeting adjourned. Happy Thanksgiving everyone.
Page 3 of 4
ZANESVILLE CITY COUNCIL MEETING MONDAY, NOVEMBER 25, 2024
The meeting ended about 7:05 p.m.
Billie Corns Daniel M. Vincent
Clerk of Zanesville City Council President of Zanesville City Council
Page 4 of 4
Budget & Finance Director
Kade Haddox
ORDINANCE NO. 2024-141
INTRODUCED BY COUNCIL
AN ORDINANCE AMENDING APPROPRIATION ORDINANCE
NO. 2024-53 AND DECLARING AN EMERGENCY
WHEREAS, it is necessary during the course of the fiscal year to make changes to the City's
working budget; and
WHEREAS, to keep the City' s estimated revenues and appropriations as current as possible
those changes should be made at least on a quarterly basis or when the need arises; and
WHEREAS, without appropriate funding City Departments would be in jeopardy of providing
efficient and reliable services, it is therefore in the best interest of the residents and visitors of
Zanesville, to have this ordinance passed as an emergency.
NOW, THEREFORE, BE IT ORDAINED by the Council of the City of Zanesville, Ohio, that:
SECTION ONE: Exhibit #1 of ordinance No. 2024-53, which established revenues and
appropriations from January 1, 2024 through December 31, 2024, is hereby amended as indicated in
Exhibit #1, attached hereto.
SECTION TWO: For the reasons stated above, this ordinance is declared to be an emergency
measure. Provided it receives the affirmative votes of six {6) or more members of Council, this ordinance
shall take effect and be in force immediately upon its passage and approval of the Mayor. Otherwise, it
shall take effect and be in force from and after the earliest period allowed by law.
PASSED: - - - -- -- -- -~2024
ATTEST:
Billie Corns Daniel M. Vincent
Clerk of Council President of Council
APPROVED: _ _ _ _ _ _ _ _ _ _ ___,2024 This legislation approved as to form:
Donald L. Mason Law Director's Office
Mayor
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 -12/31/2024
ORDINANCE #2024-141 (Exhibit #1)
Amended Amending Amended
Bud9et Amount Bud9et
101 GENERAL FUND
BALANCE AVAILABLE $4,594,1 22 $4,594,122
REVENUES:
101-48205 Transfer from Income Tax Fund $10,789,150 $1,223,648 $12,012,798
TOTAL RECEIPTS $19,146,253 $1 ,223,648 $20,369,901
TOTAL AVAILABLE FUNDS $23,740,375 $1,223,648 $24,964,023
APPROPRIATIONS:
101.1021 TRAFFIC SIGNALS & SIGNS
101.1021.5701 Reimbursements to Vehicle Maintenance 16 850 3 100 19 950
TOTAL $743,095 $3,100 $746,195
101-3281 PARf.S.S
101-3281-5701 Reimbursements to Vehicle Maintenance 34 600 5 000 39,600
TOTAL $781,787 $5,000 $786,787
101-4381 BUii.DiNG & CQDE ENFORCEMENT
101-4381 -5701 Reimbursements to Vehicle Maintenance 14 550 2 000 16 550
TOTAL $917,314 $2.000 $919,314
101-7682 TREASURER'S OFFICE
101-7682-510 Salaries and Wages $423,100 $15,000 $438,100
TOTAL $776,635 $16,000 $791 ,635
101-7705 PUBLIC SERVICE DIRECTOR
101-7705-521 Employee Benefits 35,655 9 000 44 655
TOTAL $263,653 $9,000 $272,653
101-7721 MUNICIPAL COURT
101-7721-532 Contractual Services 207,000 50,000 257,000
TOTAL $690,896 $50,000 $740,896
101-7771 CIVIi. SERVICE COMMISSIQN
101-7771-533 Materials and Supplies 2 500 500 3,000
TOTAL $116,069 $500 $116,569
101-7782 CITY MAINTENANCE
101-7782-510 Salaries and Wages $318,160 $25,000 $343,160
101-7782-521 Employee Benefits 62 696 4 000 66696
TOTAL $555,556 $29,000 $584,556
101-7862 IT MANAGEMENT
101-7862-532 Contractual Services 190,000 75,000 265,000
TOTAL $532,515 $75,000 $607,515
Page 1 of7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 -12/31/2024
ORDINANCE #2024-141 {Exhibit #1)
Amended Amending Amended
Bud9et Amount Budget
101-7921 TRANSFERS
101-7921-55202 Transfer to Auto Gas Fund 1,314,400 30,000 1,344,400
101-7921-55260 Transfer to Jail Reduction Fund 45,107 117,020 162,127
101-7921-55270 Transfer to Fire Operating Fund 5,276,922 200,000 5,476,922
101-7921-55304 Transfer to Community Dev. Adrnin . Fund 802,397 50,000 852,387
101-7921-55620 Transfer to Auditorium Operating Fund 165,250 200,000 365,250
101-7921-55700 Transfer to Vehicle Maintenance Fund 421,182 40 000 461, 1~2
TOTAL $11,876,899 $637,020 $12,513,919
101-7951 OTHER DISBURSEMENTS
101-7951-53434 Contingencies 746 743 398,027 1 144,770
TOTAL $1 ,111,743 $398,027 $1,509,770
TOTAL APPROPRIATION $23,740,376 $1 ,223,647 $24,964,023
~~~to(21~B::>C'l~~~~~~
201 POLICE FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $808,710 $808,710
REVENUES:
201-48211 Transfer from Income Tax Fund--.5% 5,340,930 250,000 5,590,930
TOTAL RECEIPTS $8,873,790 $250,000 $9,123,780
TOTAL AVAILABLE FUNDS $9,682,500 $250,000 $9,932,500
APPROPRIATIONS:
201-1311 EMPLOYEE BENEFITS
201-1311-57020 Reimbursement to Self Insurance Fund 1,250,000 250,000 1,soo,000
TOTAL $2,555,454 $250,000 $2,805,454
TOTAL APPROPRIATION $9,682,500 $250,000 $9,932,500
~l!QOS~~~~~W(o;lto(:S~~~~ll008ll!)
202 AUTO GAS FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $304,451 $304.451
REVENUES:
202-48101 Transfer from General Fund 1,314,400 30,000 1 344 400
TOTAL RECEIPTS $2,886,100 $30,000 $2,916,100
TOTAL AVAILABLE FUNDS $3,190,551 $30,000 $3,220,551
APPROPRIATIONS:
202-6541 STREET OPERATIONS
202-6541-544 Capital Outlay 675,000 30,000 705,000
TOTAL $2,601,457 $30,000 $2,631.457
TOTAL APPROPRIATION $3,190,551 $30,000 $3,220,551
Page 2 of 7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 · 12131/2024
ORDINANCE #2024-141 (Exhibit #1)
Amended Amending Amended
Budget Amount Budget
203 PERMISSIVE LICENSE TAX FUND
BALANCE AVAILABLE $65,211 $65,211
REVENUES:
203-42112 Motor Vehicle Permissive Tax $120,000 $17,000 $137,000
TOTAL RECEIPTS $120,000 $17,000 $137,000
TOTAL AVAILABLE FUNDS $185,211 $17,000 $202,211
APPROPRIATIONS:
203-6531 STREET CONSTRUCTION
203-6531-54426 Resurfacing Streets 146,623 17,000 163,623
TOTAL APPROPRIATION $185,211 $17,000 $202,211
~b008~WO!lll'>Wl!>X•n~x,!wun1oonoo1n:<><>!f11001J ~~~~llOOtru,)
205 INCOME TAX FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $57,554 $57,554
REVENUES:
205-41111 Income Tax .2%--Flre $2,211 ,300 $289,575 $2,500,875
205-41112 Income Tax .2%-Jail 2,211,300 289,575 2,500,875
205-41113 Income Tax .5%--Police 5,525,100 723,525 6,248,625
205-41114 Income Tax 1% 11,052,300 1,447,325 12,499,625
TOTAL RECEIPTS $21,000,000 $2,750,000 $23,750,000
TOTAL AVAILABLE FUNDS $21 ,057,554 $2,750,000 $23,807,554
APPROPRIATIONS:
205-7683 CITY INCOME TAX
205-7683-53404 Income Tax Refunds $757,554 $225,000 $982,554
205•7683-53423 Revenue Sharing 0
205-7683-55101 Transfer to General Fund 10,683,890 1,328,908 12,012,798
205-7683-55211 Transfer to Police Fund (.5%) 5,340,930 664,328 6,005,258
205-7683-55250 Transfer to Jail Operating Fund 2,137,590 265,882 2,403,472
205-7683-55270 Transfer to Fire Operating Fund 2,137,590 265,882 2,403,472
TOTAL APPROPRIATION $21,057,554 $2,750,000 $23,807,554
Page 3 of 7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 • 12(31(2024
ORDINANCE #2024-141 (Exhlbit#1)
Amended Amending Amended
Budget Amount Budget
260 JAIL REDUCTION FUND
BALANCE AVAILABLE $89,483 $89.483
REVENUES:
260-0000-48101 Transfer from General Fund 45,107 117,020 162,127
260-0000-49196 State Grants 67,020 (67,020~ 0
TOTAL RECEIPTS $152,127 $50,000 $202, 1~7
TOTAL AVAILABLE FUNDS $241,610 $50,000 $291,610
APPROPRIATIONS:
260-1311 EMPLOYEE BENEFITS
260-1311-57020 Reimbursement to Self Insurance Fund 50000 50,000 100.000
TOTAL $73,880 $50,000 $123,880
TOTAL APPROPRIATION $241,610 $50,000 $291,610
C,;Jl!O~~~~l'!IX!S~~~~8:)<,6=
270 FIRE OPERATING FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $417,132 $417,132
REVENUES:
270-48101 Transfer from General Fund 5,276,922 200,000 5,476,922
TOTAL RECEIPTS $7,855,372 $200,000 $8,055,372
TOTAL AVAILABLE FUNDS $8,272,504 $200,000 $8,472,504
APPROPRIATIONS:
270-1041 FIRE DEPARTMENT
270-1041-510 Salaries and Wages $5,000,000 $30,000 $5,030,000
TOTAL $6,002,010 $30,000 $6,032,010
270-1311 EMPLOYEE BENEFITS
270-1311-521 Employee Benefits $1,220,494 $20,000 $1 ,240,494
270-1311-57020 Reimbursement to Self Insurance Fund 1,050,000 180,000 1,230,000
TOTAL $2,270,494 $200,000 $2,470,494
TOTAL APPROPRIATION $8,272,504 $200,000 $8,472,504
Page 4 of 7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 -12/31/2024
ORDINANCE #2024-141 (Exhibit #1)
Amended Amending Amendeq
Budget Amount Budget
304 COMMUNITY DEVELOPMENT
ADMINISTRATIVE FUND
BALANCE AVAILABLE $9,593 $9,593
REVENUES:
TRANSFERS:
304-48101 Transfer from General Fund $8021397 $50,000 $852,387
TOTAL RECEIPTS $849,047 $50,000 $899,047
TOTAL AVAILABLE FUNDS $858,640 $50,000 $908,640
APPROPRIATIONS:
304-4311 EMPLOYEE BENEFITS
304-4311 -57020 Reimbursement to Self Insurance Fund 350 000 50,000 400,000
TOTAL $425,220 $50,000 $475,220
TOTAL APPROPRIATION $858,640 $50,000 $908,640
C6W<:81!>X:4~~~ll!)Clf~~~~e,x:s~~~~~
603 WATER OPERATING FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $1 ,818,359 $1,818,359
REVENUES:
603-46121 Water Charges 7,000,000 200,000 7,200,000
TOTAL RECEIPTS $7,794,800 $200,000 $7,994,8()0
TOTAL AVAILABLE FUNDS $9,613,159 $200,000 $9,813,159
APPROPRIATIONS:
603-5311 EMPLOYEE BENEFITS
603-5311-521 Employee Benefits $381,293 $8,000 $389,293
TOTAL $1,476,293 $8,000 $1,484,283
603-5470 WATER OPERATIONS
603•5470-532 Contractual Services 1,286,260 60,000 1,346,260
603-5470-53403 Interest Note Payment 264,000 5,000 269,000
603-5470-53434 Contingencies 196,321 (83,000) 113,321
603-5470-55611 Trf to Municipal Water Improvement Fund 800,000 200,000 1,000,000
TOTAL $7,454,379 $182,000 $7,636,379
603-5471 UTILITY BILLING & ACCOUNTING
603-5471-532 Contractual Services 255,000 10,000 265.0QQ
TOTAL $682,487 $10,000 $692,487
TOTAL APPROPRIATION $9,613,159 $200,000 $9,813,159
c,:ra,x,iJ8lXlSroOJ~~~~~~WCS'&,X,s~~~8'X'-l~~~
604 SEWER OPERATING FUND Amended Amendino Amended
Budget Amount Budget
APPROPRIATIONS:
604-5450 SEWER OPERATIONS
604-5450-532 Contractual Services 2,233,985 12,000 2,245,985
604-5450-53434 Contingencies 1,800,350 (12,000) 1,788,350
TOTAL $~.655,385 $0 $9,655,385
TOTAL APPROPRIATION $11 ,065,024 $0 $11,065,024
Page 5 of7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 - 12/31/2024
ORDINANCE #2024-141 (Exhibit #1)
Amended Amending Amended
Budget Amount Budget
611 MUNICIPAL WATER
IMPROVEMENT FUND
BALANCE AVAILABLE $197,813 $197,813
REVENUES:
611-48603 Transfer from Water Fund $800,000 $200,000 $1 ,000,000
TOTAL RECEIPTS $10,500,000 $200,000 $10,700,000
TOTAL AVAILABLE FUNDS $10,697,813 $200,000 $10,897,813
APPROPRIATIONS:
611-5473-53225 Engineering Fees $150,000 $10,000 $160,000
611 -5473-54457 Water Main Replacements 175,000 15,000 190,000
611-5473-54458 Water System Improvements 10,132,813 175,000 10,307,813
TOTAL APPROPRIATION $10,697,813 $200,000 $10,897,813
C:8~~rocs~~~~l!!:X:6~~~~tl:)(l8~
613 COMBINEP SEWER Amended AmendinQ Amended
OVERFLOW FUND Budget Amount Budget
APPROPRIATIONS:
613-5453-53402 Note Principal Payment 260,475 (72,000) 188,475
613-5453-53403 Note Interest Payment 200 72,000 72,200
TOTAL APPROPRIATION $11 ,456,426 $0 $11,456,4,!6
~~~eoos·~~~~
620 AUDITORIUM OPERATING FUND Amended Amending AmendeCl
Budget Amount Budget
BALANCE AVAILABLE $99,859 $99,859
REVENUES:
620-46106 Auditorium Charges $175,000 $200,000 $375,000
620-46138 Ticket Sales-Reimbursable 337,500 (200,000) 137,500
620-49199 Miscellaneous Revenues 41,500 10,000 51 ,500
TOTAL RECEIPTS $722,500 $10,000 $732,500
TOTAL AVAILABLE FUNDS $822,359 $10,000 $832,359
APPROPRIATIONS:
620-3261 AUOITORIUM OPERATIONS
620-3261-544 Capital Outlay 25,000 10,000 35,000
TOTAL $704,415 $10,000 $714,415
TOTAL APPROPRIATION $822,359 $10,000 $832,359
Page 6 of 7
THE CITY OF ZANESVILLE
WORKING BUDGET 01/01/2024 -12/31/2024
ORDINANCE #2024-141 (Exhibit #1)
Amended Amending Amended
Budget Amount Budget
650 SANITATION OPERATING FUND
APPROPRIATIONS:
650-5311 EMPLOYEE BENEFITS
650-5311-57020 Reimbursement to Self Insurance Fund 300,000 60,000 360,000
TOTAL $484,139 $60,000 $544,139
650-5481 SANITATION OPERATIONS
650-5481-53434 Contingencies 256,288 (60,000) 196,288
TOTAL $3,150,641 (S60.000) $3,090,641
TOTAL APPROPRIATION $3,634,780 $0 $3,634,780
(!8~l!OCl!Jto<!tJB!X'8~~~8'X:6~~~~~i,,x,s~8l)
700 VEHICLE & EQUIPMENT Amended Amending Amended
MAINTENANCE FUND Budget Amount Budget
BALANCE AVAILABLE $50,735 $50,735
REVENUES:
700-46139 Labor Charges 527,945 40,000 567,945
700-48101 Transfer from General Fund $421,182 $40,000 $461 ,182
700-49199 Miscellaneous Revenues 15,000 10,000 25,000
TOTAL RECEIPTS $2,186,182 $90,000 $2,276,182
TOTAL AVAILABLE FUNDS $2,236,917 $90,000 $2,326,917
APPROPRIATIONS:
700-7311 EMPLOYEE BENEFITS
700-7311-57020 Reimbursement to Self Insurance Fund 275,000 20,000 295,000
TOTAL $386,894 $20,000 $406,894
700-7631 VEHICLE & EQUIPMENT MAINTENANCE
700-7631-510 Salaries and Wages $491,700 $15,000 $506,700
700-7631-533 Materials and Supplies 1,133,873 55,000 1,188,873
TOTAL $1,850,023 $70,000 $1 ,920,023
TOTAL APPROPRIATION $2,236,917 $90,000 $2,326,917
c,swcs~~~~~~~
836 NEWTON JEDD FUND Amended Amending Amended
Budget Amount Budget
BALANCE AVAILABLE $26,935 $26,935
REVENUES:
836-41122 JEDD Income Tax - Newton Township $200,000 $30,000 $230,000
TOTAL RECEIPTS $200,000 $30,000 $230,000
TOTAL AVAILABLE FUNDS $226,935 $30,000 $256,935
APPROPRIATIONS:
836-7833-534 Revenue Sharing - Newton Township 226,935 30,000 256,935
TOTAL APPROPRIATION $226,935 30,000 $256,935
Page 7 of 7
Prepared by
Kade Haddox
Director of Public Safety
OFFICE OF PUBLIC SAFETY
CITY OF ZANESVILLE, OHIO
DIVISION OF TRAFFIC ENGINEERING
Traffic Order 24-07 November 21, 2024
SECTION ONE: There is hereby established a Forty-Five (45) mile per hour speed limit on Northpoint Drive
from Fairview Road, north to the end of the City limits.
SECTION TWO : The appropriate signs shall be installed in accordance with O.R.C.451 t,07.
KADE HADDOX,
Director of Public Safety
November 27, 2024
Billie Corns
Clerk of Council
Date Work Completed
(signed)
TO: Traffic File
Service Departrnent/Street Division
Municipal Cowt
Police Department
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