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1992-01-06
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1992
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1992-01-06
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City Council
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54 <br /> <br />43-187-143128 Druid Avenue Drainage Repairs <br />43-187-143129 Line Shoring Equipment <br /> <br /> 640 <br />13,000 <br /> <br />IV. Gas Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure <br />accounts in the Gas Fund at June 30, 1991, shall be permitted <br />to be carried over and expended in the current fiscal year <br />for the purposes for which they were originally appropriated: <br /> <br />44-188-141211 <br />44-188-141213 <br />44-188-141214 <br />44-188-143210 <br />44-188-143300 <br /> <br />Gas Operations <br />Gas Supply <br />Gas Distribution Lines <br />New Construction Projects <br />Reconstruction Projects <br /> <br />4,010 <br />493 <br />271,408 <br />227,630 <br />314,043 <br /> <br />V. Capital Projects Fund <br /> <br />(a) Appropriation Transfer <br /> <br /> The sum of $127,876 received as interest during <br />fiscal year 1990-91 from various debt issues shall be <br />transferred as of June 30, 1991 to the Debt Service Fund for <br />the purpose of future principal and interest payment. <br /> <br />VI. Equipment Replacement Fund <br /> <br /> The unexpended revenue of $85,164.75 in Fund 07 derived <br />from net proceeds for the City Auction held in June, 1991, <br />shall be permitted to be carried over in the Equipment <br />Replacement Fund and expended in the current fiscal year. <br /> <br />VII. Grants Fund <br /> <br />(a) Continuing Appropriation <br /> <br /> The following expenditure accounts in the Grants <br />Fund at June 30, 1991, shall be permitted to be carried over <br />and expended in the following fiscal year for the purposes <br />for which they were originally appropriated based on <br />estimated revenues to be received: <br /> <br />11-260-042030 <br />11-270-041135 <br />11-042-093020 <br /> <br />Hazardous Materials Grant <br />Anti-Drug Grant <br />Rental Rehabilitation <br /> <br /> 741 <br />57,382 <br /> 6,120 <br /> <br /> The following expenditure accounts in the Grants <br />Fund at June 30, 1991, shall be permitted to be carried over <br />and expended in the following fiscal year for the purposes <br />for which they were originally appropriated from the fund <br />balances maintained for each program: <br /> <br />1i-270-041134 <br />11-260-042020 <br />11-260-042110 <br />11-113-062027 <br />11-041-092080 <br />11-330-091040 <br /> <br />DARE - Drug Abuse Education <br />State Entitlement for Fire Programs <br />Fire Training Center <br />Gas Assistance Program <br />Community Development Publications <br />Charlottesville/Albemarle Visitors <br /> and Convention Bureau <br /> <br /> 196 <br />86,859 <br />11,332 <br />9,550 <br />7,718 <br /> <br />62,504 <br /> <br />VIII.Community Development Block Grant Fund <br /> <br />(a) Continuing Appropriation <br /> <br /> The sum of $1,409,912 in the CDBG Fund at June 30, <br />1991 shall be permitted to be carried over and expended in <br />the following fiscal year for the purposes for which they <br />were originally appropriated based on estimated revenues to <br />be received. <br /> <br />The sum of $69,547 in the CDBG Fund shall be <br /> <br /> <br />
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