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D. NEW APPROPRIATIONS <br />The following sums are appropriated to expenditure accounts in the <br />Capital Projects Fund for the respective purposes shown: <br />Account Purpose <br />05-00840 <br />Storm Drainage <br />05-00850 <br />Street Improvements <br />05-01150 <br />Community Sidewalks (FY83) <br />05-01160 <br />Fire Truck <br />05-01170 <br />City Property Improvements (FY83) <br />05-01180 <br />School Bus Purchases <br />05-01190 <br />School Maintenance Vehicles <br />05-01200 <br />Health Department Parking Lot <br />05-00990 <br />Airport Improvements - Terminal <br />Bldg. (addition to existing <br />appropriation) <br />Total <br />Amount <br />50,000.00 <br />100,000.00 <br />50,000.00 <br />150,000.00 <br />33,850.00 <br />41,000.00 <br />18,000.00 <br />12,000.00 <br />50,000.00 <br />504,850.00 <br />Capital Project Fund appropriations shall be deemed continuing <br />appropriations, to be carried over from one fiscal year to the next, <br />until the project is completed and the account reduced or terminated by <br />further action of City Council. <br />Adopted by Council <br />October 18, 1982 <br />Atteste: <br />Clerk of Council <br />