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1988_Ordinances
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1988_Ordinances
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• provides that any such sum shall be deemed a continuing <br />appropriation. <br />IX. INTERNAL SERVICES FUND APPROPRIATION <br />BE IT RESOLVED by the Council of the City of Charlottes- <br />ville that the following appropriations are hereby approved <br />for internal services accounted for as separate funds on the <br />books of the City, for their respective programs during the <br />fiscal year beginning July 1, 1988 and ending June 30, 1989; <br />the payments of individual departments and agencies to each <br />such fund having hereinabove been appropriated in the General <br />Fund and other applicable funds: <br />A. There is hereby appropriated from the Data <br />Processing Fund, for the operation of the Department of Data <br />Processing during the fiscal year beginning July 1, 1988, the <br />sum of $528,222, or the amount of revenue actually credited <br />to such fund from other City departments and agencies, <br />whichever shall be the greater amount. <br />B. There is hereby appropriated from the warehouse <br />Fund, for the operation of the Warehouse during such fiscal <br />year, the sum of $189,512, or the amount of revenue actually <br />credited to such fund from other City departments and <br />• agencies, whichever shall be the greater amount. <br />C. There is hereby appropriated from the Fleet <br />Maintenance Fund, for the operation of the Central Garage <br />during such fiscal year, the sum of $894,104, or the amount <br />of revenue actually credited to such fund from other City <br />departments and agencies, whichever shall be the greater <br />amount. <br />D. There is hereby appropriated from the HVAC <br />Maintenance Fund, for the operation of the HVAC Maintenance <br />program during such fiscal year, the sum of $87,502, or the <br />amount of revenue actually credited to such fund from other <br />City departments and agencies, whichever shall be the greater <br />amount. <br />E. There is hereby appropriated from the Copy Center <br />Fund, for the operation of the Copy Center during such fiscal <br />year, the sum of $107,653, or the amount of revenue actually <br />credited to such fund from other City departments and <br />agencies, whichever shall be the greater amount. <br />X. CAPITAL PROJECTS FUND APPROPRIATIONS <br />BE IT RESOLVED by the Council of the City of Charlottes- <br />ville: <br />7 <br />
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