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for the fiscal year beginning July 1, 1986; provided that such <br />appropriations shall be deemed to expire at the end of such fiscal <br />year, but shall continue in effect unless altered by further <br />IDaction of City Council. <br />B. That $1,165,248 of the amount to be received from the <br />County of Albemarle under the revenue sharing agreement of May 24, <br />1982 is hereby designated as revenue to the Capital Projects Fund. <br />C. That sums estimated at $653,200 to be hereafter <br />appropriated from the utility funds is also designated as Capital <br />Projects Fund revenues. <br />Buildings and Plant <br />5 978,200 <br />Fire Protection <br />25,000 <br />Streets and Highways <br />100,000 <br />Sanitation <br />148,000 <br />Transportation <br />50,000 <br />Sidewalks <br />130,000 <br />Storm Drainage <br />200,000 <br />Parks <br />712,100 <br />Public Schools <br />299,500 <br />Expenditure Total $2,642,800 <br />• Approved by Council <br />April 15, 1986 <br />1 <br />,�•uncil <br />86-7-13 <br />-7- <br />