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• A RESOLUTION <br />MAKING ADJUSTMENTS TO CERTAIN ACCOUNTS OF <br />THE CITY FOR THE FISCAL YEAR ENDED <br />JUNE 30, 1982 <br />BE IT RESOLVED by the Council of the City of Charlottesville, <br />Virginia, that the actions hereinafter set forth are hereby authorized <br />with respect to the accounts of the City herein listed, for the fiscal <br />year ended June 30, 1982. <br />I. GENERAL FUND <br />(a) Supplemental Appropriations <br />The sums hereinafter set forth are hereby appropriated from the <br />unappropriated balance of the General Fund to the respective expendi- <br />ture accounts listed, to fund additional expenditures necessary in <br />connection with the project or program for which such accounts were <br />originally established. <br />01-12040 Commonwealth's Attorney $ 2,816.00 <br />01-41030 Society for the Prevention of <br />Cruelty to Animals 164.00 <br />• 01-51080 Municipal Band 3.00 <br />01-51240 Department of Parks & Recreation <br />(fee based programs) 36,015.00 <br />(b) Continuing Appropriations <br />The following unexpended balances in expenditure appropriations <br />in the General Fund for the fiscal year ending June 30, 1982 shall be <br />permitted to be carried over and expended in the following fiscal year <br />for the purposes for which they were originally appropriated. <br />01-12060 Joint Security Complex (fence) $ 2,000.00 <br />01-92280 Albemarle Street Improvement 22,876.43 <br />II. SEWER FUND <br />(a) Continuing Appropriations <br />The following unencumbered balances in expenditure accounts in <br />the Sewer Fund for the fiscal year ending June 30, 1982 shall be <br />permitted to be carried over and expended in the current fiscal year <br />for the purposes for which they were originally appropriated. <br />03-30080 Caroline and Fairway Avenue <br />Installation $ 39,880.00 <br />. 03-30090 Line Replacements 217,600.00 <br />O <br />A <br />