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E <br />n <br />U <br />III. GAS FUND <br />(a) Continuing Appropriations <br />The following unencumbered balances in expenditure accounts in the <br />Gas Fund for the fiscal year ending June 30, 1982 shall be permitted to <br />be carried over and expended in the current fiscal year for the purposes <br />for which they were originally appropriated. <br />04-30050 Gas Line Relocation - <br />Charlottesville High and <br />Concord Drive $ 55,000.00 <br />04-30060 City Yard Generator 8,580.00 <br />04-30090 Distribution System Expansion 583,279.85 <br />IV. CAPITAL PROJECTS FUND <br />(a) Supplemental Appropriations <br />The following additional sums are hereby appropriated from the <br />unappropriated balance of the Capital Projects Fund to the respective <br />expenditure accounts listed for additional expenses necessarily incurred <br />in the completion of the projects for which such accounts were originally <br />estimated. <br />05-01050 Telephone System $ 253.84 <br />05-01060 School Bus Purchase 3,167.94 <br />(b) Termination of Appropriation <br />The following appropriation previously made to an expenditure <br />account in the Capital Projects Fund is hereby reduced in the respec- <br />tive amount shown, such amount being no longer needed for the purpose <br />for which it was originally appropriated, with such sum to revert to <br />the unappropriated balance of the Capital Projects Fund. <br />05-01090 <br />Atteste: <br />School Property Improvements, <br />1981-82 $ 3,167.94 <br />Clerk of Council <br />Adopted by Council <br />October 18, 1982 <br />