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• VII. Utilities Funds <br />The following unexpended balances in the Utilities Fund at June 30, 2003 shall be permitted to be <br />carried over and expended in the current fiscal year for the purposes for which they were originally <br />appropriated based on estimated revenues to be received. <br />42-187-141011 Water Operating Fund $ 40,000 <br />43-187-141111 Sewer Operating Fund $ 160,000 <br />44-188-141214 Gas Distribution Lines $ 165,000 <br />44-188-141220 City Yard Evaluation $ 40,000 <br />44-188-141221 Environmental Administration $ 13,000 <br />VIII. Charlottesville/Albemarle Visitors and Convention Bureau <br />The sum of $145,362 in the Charlottesville/Albemarle Visitors and Convention Bureau Fund at <br />June 30, 2003, shall be permitted to be carried over and expended in the current fiscal year for the purposes <br />for which they were originally appropriated from the fund balances maintained. <br />Approved by Council <br />December 1, 2003 <br />• C e c of City Council <br />