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1989_Appropriations
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1989_Appropriations
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-2- <br />(Unexpended revenues $2,000) <br />• 05-191-081020 School Pupil Transportation <br />(Unexpended revenues) <br />05- 186 - 051080 Public Works /Street Lighting <br />(Unexpended appropriation) <br />05- 302 - 131240 Transfer to Facility Repair Fund <br />(Unexpended revenues from Parking Garage - <br />Sub.ject to Council approval prior to <br />commitment of funds) <br />05- 041 - 092010 Community Development <br />(Unexpended appropriation) <br />05- 100 -35010 Commissioner of Revenue <br />(Unexpended appropriation) <br />(b) Other Appropriation <br />66,660 <br />5. 500 <br />103, 609 <br />650 <br />3, 720 <br />The sums set forth herein are hereby appropriated in fiscal year <br />1989 -90 from the unappropriated balance of the General Fund to the funds <br />listed below: <br />05 -302- 131210 Transfer to Debt Service Fund <br />(For future debt service) <br />05- 302 - 131220 Transfer to Capital Projects Fund <br />(Unexpended revenues from Pen Park <br />Clubhouse Operations designated for <br />Pen Park Golf Course Feasibility/ <br />Design Study) <br />• 05- 302 - 131X0 Transfer to Capital Projects Fund <br />(Unexpended appropriation for Rivanna <br />Park Operations) <br />II. Water Fund <br />(a) Continuing Appropriations <br />400,000 <br />25,261 <br />41,553 <br />The following unexpended balances in expenditure accounts in the Water <br />Fund at June 30, 1989, shall be permitted to be carried over and expended <br />in the current fiscal year for the purposes for which they were originally <br />appropriated: <br />42- 187 - 143013 <br />42- 187 - 143027 <br />42- 187 - 143028 <br />42- 187 - 143031 <br />42- 187 - 143032 <br />42- 187 - 143033 <br />III. Sewer Fund <br />Water Line Replacements <br />Alderman Road Improvements <br />12" Line - Ridge & Main Street <br />6" Line - Old Farm Road <br />8" Line - Madison Lame <br />2" Line - Bypass Ramp <br />(a) Continuing Appropriations <br />$ 142,356 <br />75, 000 <br />54, 028 <br />33, 101 <br />16, 608 <br />1,087 <br />The following unexpended balances in expenditure accounts in the Sewer <br />Fund at June 30, 1989, shall be permitted to be carried over and expended in <br />Ilkhe current fiscal year for the purposes for which they were originally <br />ppropriated: <br />43 -187 - 143112 Remap Sewer System 2,625 <br />
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