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1983_Appropriations
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1983_Appropriations
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Atteste: Adopted by Council <br />February 22, 1983 <br />Clk r k—o—f Council <br />APPROPRIATION <br />PUBLIC IMPROVEMENTS - SEMINOLE SQUARE <br />BE IT RESOLVED by the Council of the City of Charlottesville, <br />Virginia, that the following sums are hereby appropriated and <br />authorized to be expended for the City's required share of public <br />improvements in the Seminole Square subdivision, as set forth in <br />the city subdivision ordinance: <br />(a) Street Paving. The sum of $384,376.68 is hereby <br />appropriated from the unappropriated balance of <br />the Capital Projects Fund to expenditure account <br />05-01230 for asphalt paving of the streets in <br />Seminole Square. This appropriation shall be <br />offset by revenues to the Capital Projects Fund <br />of $118,865.07 to be received from a Virginia <br />Department of Highways and Transportation <br />Industrial Access Grant for Project #9999-104-206, <br />C 501, and $212,058.16 to be received pursuant to <br />a contract with the developers of Seminole Square, <br />making the city's net share of such paving <br />$53,452.45. The City Manager is authorized to <br />expend a larger amount in the event changes in <br />• the subdivision plat are approved by the Planning <br />Commission resulting in an increase in the area <br />to be paved, or in the event the developers pay <br />a larger amount pursuant to their contract. <br />(b) Street Lighting. The sum of $30,000.00 is hereby <br />appropriated from the unappropriated balance of <br />the Capital Projects Fund to expenditure account <br />05-01240 for the installation of street lighting <br />in the subdivision. <br />• <br />(c) Water Lines. The sum of $59,735.00, previously <br />appropriated to expenditure account 02-10011 in <br />the Water Fund for line extensions and replace - <br />mentions, is authorized to be expended as the <br />city's fifty percent share of the cost of water <br />mains to be installed in the subdivision. <br />(d) Sewer Lines. The sum of $21,735.00, previously <br />appropriated to expenditure account 03-30090 in <br />the Wastewater Fund for line extensions and <br />replacements, is hereby authorized to be expended <br />as the city's fifty percent share of the cost of <br />sewer mains to be installed in the subdivision. <br />83-4-8 <br />
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