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99 <br /> <br />II. Water Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following Unexpended balances in expenditure accounts in the <br />Water Fund at June 30, 1990, shall be permitted to be carried over and <br />expended in the current fiscal year for the purposes for which they <br />were originally 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 />42-187-143036 <br />42-187-143038 <br />42-187-143039 <br />42-187-143040 <br />42-187-143041 <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 /> Water Lines - McIntire Park <br /> Parkside Sub-division <br /> Water Laterals on CSX Property <br /> Water Line - Linden Avenue <br /> <br />5,056 <br />66,571 <br />54,028 <br />27,152 <br />16,608 <br />1,087 <br />11,376 <br />3,210 <br />4,103 <br />30,000 <br />5,830 <br />2,668 <br />3,940 <br /> <br />III. Sewer Fund <br /> <br />(a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure accounts in the <br />Sewer Fund at June 30, 1990, shall be permitted to be carried over and <br />expanded in the current fiscal year for the purposes for which they <br />were originally appropriated: <br /> <br />43-187-141111 <br />43-187-143112 <br />43-187-143113 <br />43-187-143114 <br />43-187-143115 <br />43-187-143123 <br />43-187-143125 <br />43-187-143126 <br />43-187-143127 <br /> <br />Wastewater Operations <br />Remap Sewer System <br />Sewer Line~Replacement <br />Sewer Line - Sheridan Avenue <br />8" Sewer Line - University Avenue <br />8" Sewer Line - Carrollton Terrace <br />8" Sewer Line - Palatine Avenue <br />Sewer Line - Parkside Sub-division <br />Sewer Line - Linden Avenue <br /> <br />6,245 <br />2,625 <br />65,775 <br />15,000 <br />57,954 <br />11,600 <br />2,826 <br />12,425 <br />5,583 <br /> <br />IV. Gas Fund <br /> <br /> (a) Continuing Appropriations <br /> <br /> The following unexpended balances in expenditure accounts in the <br />Gas Fund at June 30, 1990, shall be permitted to be carried over and <br />expended in the current fiscal year for the purposes for which they <br />were originally appropriated: <br /> <br />44-188-141211 <br />44-188-141214 <br />44-188-141230 <br />44-188-143210 <br />44-188-143300 <br />44-188-142222 <br /> <br />Gas Operations <br />Gas Distributin Lines <br />Gas and Water Collections <br />New Construction Projects <br />Reconstruction Projects <br />Propane Plant <br /> <br />6,700 <br />45,923 <br />7,555 <br />219,019 <br />648,007 <br />44,459 <br /> <br />V. Capital Projects Fund <br /> <br />(a) Appropriation Transfer <br /> <br /> The sum of $207,386 received as interest during fiscal year <br />1989-90 from various debt issues shall be transferred as of Juen 30, <br />1990 to the Debt Service Fund for the purpose of future principal and <br />interest payments. <br /> <br /> The sum of $7,265i received from property owners for their share <br />of completed Neighborhood Drainage projects for 1989-90, shall be <br />appropriated to account code 26-181-051350. <br /> <br /> <br />