My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
1994-01-18
Charlottesville
>
City Council
>
Minutes
>
1994
>
1994-01-18
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
11/16/2001 8:41:42 PM
Creation date
11/16/2001 2:55:51 PM
Metadata
Fields
Template:
City Council
Meeting Date
1/18/1994
Doc Type
Minutes
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
11
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
181 <br /> <br />05-270-041030 <br />05-270-041134 <br />05-240-032060 <br /> <br />(unexpended revenues <br />Police Department - Mounted Patrol 4,372 <br />(unexpended revenues) <br />Police Department - DARE Contributions 31 <br />(unexpended revenues) <br />Courthouse Maintenance Fees 18,392 <br />(unexpended revenues) <br /> <br />II. Risk Management Fund <br /> <br />(a) Equity Transfer <br /> <br /> The sum of $400,000 in the Risk Management Fund <br />shall be transferred to the General Fund at June 30, 1993. <br /> <br />III. Water Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Water Fund at June 30, 1993, shall be <br />permitted to! be carried over and expended in the current <br />fiscal year for the purposeS for which they were originally <br />appropriated.: <br /> <br />42-187-141011 <br />42-187-143013 <br />42-187-143028 <br />42-187-143046 <br />42-187-14-3052 <br /> <br />Water Operations <br />Water System Replacement <br />12" Line - Ridge & Main Street <br />Line Shoring Equipment <br />6" Line'- Goodman Street <br /> <br />IV. Sewer Fund <br /> <br />50,000 <br />56,665 <br />52,970 <br />4,055 <br />7,~59 <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Sewer Fund at june 30, 1993, shall be <br />permitted to be carried over and expended in the current <br />fiscal year for the purposes for Which they were originally <br />appropriated: <br /> <br />43-187-143112 <br />43-187-143113 <br />43-187-143129 <br /> <br />V. Gas Fund <br /> <br />Remap Sewer System <br />Sewer Line Replacement <br />Line Shoring Equipment <br /> <br /> 2,625 <br /> 39,893 <br /> _4,15~ <br />$46,675 <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Gas Fund at June 30, 1993, shall be permitted <br />to be carried over and expended in the Current fiscal year for <br />the purposes for which they were originally appropriated: <br /> <br />44-188-141214 <br />44-113-141230 <br />44-188-142222 <br />44-188-143249 <br />44-188-143250 <br />44-188-143300 <br />44-188-143328 <br />44-188-143329 <br />44-188-143330 <br />44-188-143331 <br />44-188-143332 <br />44-188-143334 <br />44-188-143336 <br />44-188-143337 <br />44-188-143338 <br />44-188-143340 <br />44-188-143341 <br /> <br />Gas Distribution Lines <br />Gas and Water Collections <br />Propane Plant <br />New Business 92/93 <br />New Business 93/94 <br />Gas Reconstruction <br />Grady Avenue <br />Green Street <br />Barracks Road <br />Water Street <br />E. Jefferson Street <br />Alderman Road <br />Hazel Street <br />Lane Road <br />Old Lynchburg Road <br />Wellford Street <br />Meadowbrook Drive <br /> <br /> 22,518 <br /> 2,268 <br /> (53,661) <br /> 813 <br /> 8'1,979 <br />426,251 <br />5,910 <br />276 <br />103 <br />4,917 <br />6,308 <br />2,514 <br />15,269 <br /> 5,373 <br /> 1,704 <br /> 195,405 <br /> 185,684 <br /> <br /> <br />
The URL can be used to link to this page
Your browser does not support the video tag.