My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
1988-04-12(II)
Charlottesville
>
City Council
>
Minutes
>
1988
>
1988-04-12(II)
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
8/14/2002 8:07:24 PM
Creation date
12/27/2001 9:42:10 PM
Metadata
Fields
Template:
City Council
Meeting Date
4/12/1988
Doc Type
Minutes
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
7
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
105 <br /> <br />necessary, is hereby appropriated to pay such debt service <br />expenses during the fiscal year beginning July 1, 1988 and <br />ending June 30, 1989. <br /> <br /> C. Appropriations in the Debt Service Fund shall be <br />deemed continuing appropriations, and balances remaining in <br />such fund at the end of each fiscal year shall be carried <br />forward to pay principal and interest due on City obligations <br />and costs associated with the issuance of those obligations <br />in future years. However, this reserve fund has been <br />voluntarily created by City Council and is not required by <br />state statute or by the provisions of any existing bond <br />ordinance, covenant or indenture. Accordingly, <br />appropriations thereto and balances therein may be reduced by <br />future action of this council. <br /> <br /> D. The sum of $220,000 is hereby transferred as a <br />contribution to the Charlottesville Redevelopment and Housing <br />Authority. <br /> <br />VIII. SPECIAL REVENUE FUND APPROPRIATIONS <br /> <br /> BE IT RESOLVED by the Council of the City of Charlottes- <br />ville, that the following appropriations are hereby approved <br />for agency expenditures accounted for as separate funds on <br />the books of the City, for their respective programs during <br />the fiscal year beginning July 1, 1988 and ending June 30, <br />1989) the City contribution to each such fund having <br />hereinabove been appropriated from the General Fund: <br /> <br /> A. There is hereby appropriated from the Thomas <br />Jefferson Visitors Bureau Fund (formerly called the <br />Bicentennial Information Center Fund), for the operation of <br />the Thomas Jefferson Visitors Bureau during such fiscal year, <br />the sum of $206,606, or the amount of revenue actually <br />received by such fund, whichever shall be the lesser amount. <br /> <br /> B. There is hereby appropriated from the School Pupil <br />Transportation Fund, for the operation of public school pupil <br />transportation during such fiscal year, the sum of $991,230, <br />or the amount of revenue actually received by such fund, <br />whichever shall be the lesser amount. From the last <br />mentioned amount, the sum of $184,500 shall be allocated as <br />follows: (1) a sum sufficient to pay the debt service on <br />the lease or purchase of ten school buses shall be <br />transferred to the Debt Service Fund) and (2) the remainder <br />shall be transferred to the Equipment Replacement Fund and <br />reserved for the future replacement of school buses. <br /> <br /> C. There is hereby appropriated from the Community <br />Attention Fund, for the operation of the Community Attention <br />Homes and related programs during such fiscal year, the sum <br />of $931,515, or the amount of revenue actually received by <br />such fund, whichever shall be the lesser amount. <br /> <br /> D. There is hereby appropriated from the Landfill Fund, <br />for the operation of the sanitary landfill during such fiscal <br />year~ the sum of $1,924,368, or the amount of revenue <br />actually received by such fund, whichever shall be the lesser <br />amount. Unexpended amounts in this fund as of June 30, 1989 <br />designated for equipment replacement and cell construction <br />shall be carried over and used in subsequent fiscal years for <br />landfill equipment replacement and landfill expansion. <br /> <br /> E. There is hereby appropriated from the Social <br />Services Fund, for the operation of the Department of Social <br />Services during such fiscal year, the sum of $3,175,779, or <br />the amount of revenue actually received by such fund, <br />whichever shall be the lesser amount. <br /> <br /> Each such special revenue fund appropriation shall be <br />deemed effective July 1, 1988. Except as is otherwise <br />expressly provided herein, the balance of any General Fund <br /> <br /> <br />
The URL can be used to link to this page
Your browser does not support the video tag.