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1998_Appropriations
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1998_Appropriations
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• The following expenditure accounts in the Grant Fund at June 30, 1998, shall be <br />permitted to be carried over and expended in the current fiscal year for the purposes for <br />which they were originally appropriated from the fund balances maintained for each <br />program: <br />11-260-042020 State Entitlements for Fire Programs $ 12,809 <br />11-260-042050 State Entitlements for Fire Programs - <br />Joint Software $ 1,942 <br />11-260-042110 Fire Training Center $ 2,050 <br />11-041-092080 Community Development Publications $ 7,250 <br />11-330-091040 Charlottesville/Albemarle Visitors <br />and Convention Bureau $ 314,362 <br />VI. Community Development Block Grant Fund <br />(a) Continuing Appropriation <br />The sum of $584,495 in the CDBG Fund at June 30, 1998 shall be permitted to be <br />carried over and expended in the current fiscal year for the purposes for which they were <br />originally appropriated based on estimated revenues to be received. <br />• VII. Other Funds <br />(a) Continuing Appropriations — Gainsharing Accounts <br />The following unexpended balances in the funds listed below shall be permitted to <br />be carried over and expended under the City's gainsharing guidelines. These amounts <br />shall not be deemed to expire at the end for the fiscal year, but shall continue in effect <br />unless altered by future action of the Council. <br />42-187-141014 <br />Water Fund <br />$ <br />39,975 <br />44-188-141216 <br />Gas Fund— Utilities Division <br />$ <br />88,762 <br />44-113-141232 <br />Gas Fund — Utility Billing Office <br />$ <br />22,753 <br />65-050-151211 <br />Information Services Fund <br />$ <br />21,608 <br />66-112-151251 <br />Warehouse Fund <br />$ <br />10,883 <br />Approved by Council <br />December 7, 1998 <br />C e k of City Council <br />0 <br />
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