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VIII. Utilities Funds <br />• The following unexpended balances in the Utilities Fund at June 30, 2002 shall be permitted to be carried <br />over and expended in the current fiscal year for the purposes for which they were originally appropriated <br />based on estimated revenues to be received. <br />44-188-141215 Gas Operating Fund $ 65,000 <br />44-188-141211 Gas Operating Fund $ 19,000 <br />42-187-141011 Water Operating Fund $ 45,000 <br />43-187-141111 Sewer Operating Fund $ 50,000 <br />IX. Other Funds - Gainsharing <br />The following unexpended balances in the funds listed below shall be permitted to be carried over <br />and expended under the City's gainsharing guidelines. These amounts shall not be deemed to expire at the <br />end of the fiscal year, but shall continue in effect unless altered by future action of the Council. <br />66-112-151250 <br />Warehouse Fund <br />44-113-141230 <br />Utility Billing Office <br />53-189-151081 <br />Fleet Fund <br />12-161-62200 <br />Social Services <br />• <br />11 <br />Approved by Council <br />December 16,2002 <br />Aa �A� N-1 <br />k of City Council <br />10,277 <br />13,594 <br />3,294 <br />68,230 <br />