Laserfiche WebLink
• <br />• <br />The following appropriations shall be reallocated in the General Fund for the <br />year ended June 30, 2000. <br />05 -010- 031010 Mayor and Council $ 2,517 <br />05 -200- 032010 Circuit Court $ 5,945 <br />05- 250- 032030 Juvenile and Domestic Relations Court $ 834 <br />05- 210- 032050 Office of the City Sheriff $ 10,968 <br />05- 020 - 033010 Office of the City Manager $ 3,076 <br />05- 030 - 034010 Office of the City Attorney $ 16,840 <br />05- 100 - 035010 Commissioner of Revenue $ 14,161 <br />05 -100- 035020 Real Estate Assessor $ 3,959 <br />05 -130- 035030 City Treasurer $ 7,451 <br />05- 112 - 035050 Purchasing $ 2,068 <br />05- 060 - 037010 Registrar $ 1,391 <br />05 -181- 038010 Public Works Department $ 134,936 <br />05 -270- 041010 Police Department $ 172,578 <br />05 -260- 042010 Fire Department $ 132,102 <br />05- 020 - 091021 Office of Economic Development $ 6,218 <br />05- 280 - 092200 Neighborhood Planning $ 26,261 <br />05- 010 - 032021 Fire Department Reserve $ (541,305) <br />$ -0- <br />II. Meadowcreek Golf Course Fund <br />The sum of $83,794 shall be carried over and reserved in the fund balance of the <br />Meadowcreek Golf Course Fund, as of June 30, 2000, for the purpose of funding future <br />repair costs at the Meadowcreek Golf Course. <br />III. Capital Project Fund <br />(a) Appropriation Transfer <br />The sum of $19,536 received as interest during fiscal year 1999 -00 from various <br />debt issues shall be transferred as of June 30, 2000 to the Debt Service Fund for the purpose <br />of paying future principal and interest. <br />IV. Equipment Replacement Fund <br />(a) Continuing Appropriation <br />The unexpended revenue of $38,752 derived from net proceeds from the sale of <br />surplus City property shall be permitted to be carried over in the Equipment Replacement <br />Fund and expended in the current fiscal year. <br />