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53 <br /> <br /> The following unexpended balances in expenditure <br />accounts in the General Fund at June 30, 1991, shall be <br />permitted to be carried over and expended in the following <br />fiscal year for the purposes for which they were originally <br />appropriated: <br /> <br />05-041-045030 <br />05-270-041110 <br />05-191-081020 <br />05-171-072092 <br />05-260-042016 <br />05-020-091024 <br />05-301-093010 <br /> <br />Bicycle Safety Program <br /> (Unexpended revenues) <br />Police Department - Drug Seizures <br /> (Unexpended revenues) <br />School Pupil Transportation <br /> (Unexpended revenues) <br />Parks and Recreation Gift Catalog <br /> (Unexpended revenues) <br />Fire Department - $2 for Life <br />(Unexpended revenues) <br />Charlottesville Downtown Foundation <br /> (Unexpended appropriation) <br /> Charlottesville Housing Improvement <br /> Program - CHIP <br /> (Unexpended appropriation) <br /> <br /> 2,474 <br />14,810 <br />93,510 <br />12,016 <br /> <br /> 3,518 <br />64,766 <br />8,881 <br /> <br /> The balance of $93,510 for School Pupil Transportation <br />shall be transferred to the Equipment Replacement Fund for <br />future use in purchasing replacement school buses. <br /> <br />(c) Other Appropriations <br /> <br />05-302-131210 <br /> <br />Transfer to Debt Service Fund <br /> (For future debt service) <br /> <br />450,000 <br /> <br />II. Water Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Water Fund at June 30, 1991, 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 />42-187-143031 <br />42-187-143032 <br />42-187-143033 <br />42-187-143034 <br />42-187-143035 <br />420187-143036 <br />42-187-143039 <br />42-187-143040 <br />42-187-143044 <br />42-187-143046 <br /> <br />Water Operations <br />Water Line Replacements <br />12" Line - Ridge & Main Street <br />6" Line - Old Farm Road <br />8" Line - Madison Lane <br />2" Line - Bypass Ramp <br />8" Line - Gillespie Avenue <br />8" Line - Smith Avenue <br />6" Line- River Road <br />Parkside Sub-division <br />Water Laterals on CSX Property <br />Lyons Court Lane <br />Line Shoring Equipment <br /> <br /> 20 <br />36,074 <br />54,028 <br />27,151 <br />16,608 <br />1,087 <br />5,292 <br />2,786 <br />1,336 <br />5,830 <br />2,668 <br />4,437 <br />13,000 <br /> <br />III. Sewer Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Sewer Fund at June 30, 1991, 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 />43-187-141111 Wastewater Operations <br />43-187-143112 Remap Sewer System <br />43-187-143113 Sewer Line Replacement <br />43-187-143114 Sewer Line - Sheridan Avenue <br />43-187-143115 8" Sewer Line - University Way <br />43-187-143123 8" Sewer Line - Carrollton Terrace <br />43-187-143125 8" Sewer Line - Palatine Avenue <br /> <br />820 <br />2,625 <br />47,976 <br />15,000 <br />2,315 <br />11,600 <br />2,826 <br /> <br /> <br />