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.1� <br />• <br />r�L <br />CAPITAL IMPROVEMENTS FUND EXPENDITURES <br />Bridge Repair <br />Fire Equipment <br />Sanitary Landfill (Road) <br />Urban Renewal <br />TOTAL CAPITAL IMPROVEMENTS FUND <br />UTILITY FUNDS EXPENDITURES <br />Gas Utility <br />water Utility <br />Sewer Utility <br />TOTAL UTILITY FUNDS <br />$100,000 <br />150,000 <br />200,000 <br />46,650 <br />$496,650 <br />$4,352,000 <br />1,400,939 <br />1,232,231 <br />$6,985,170 <br />AND BE IT FURTHER RESOLVED that the sums hereinabove set forth as <br />expenditures for the General Fund are hereby appropriated from such fund for the <br />City Departments, other agencies and non -departmental accounts so set forth, <br />effective July 1, 1976, provided, however, that the sums thus appropriated <br />for Contingency Accounts shall not be expended for any such contingencies <br />without further authorization from this Council and provided further that the <br />sum appropriated for OAR and $5,000 of the sum appropriated for Madison House <br />shall not be further authorized from this Council; and <br />BE IT FURTHER RESOLVED that the sums hereinabove set forth as <br />expenditures for the Capital Improvements Fund are hereby appropriated from <br />such fund for the projects so set forth, effective July 1, 1976; and <br />BE IT FINALLY RESOLVED, that the amounts hereinabove set forth as <br />expenditures for the Gas, Water and Sewer Fund are hereby appropriated from such <br />funds for the respective purposes of such utilities, effective July 1, 1976. <br />Copy Teste: <br />Clerk <br />Adopted by the Council <br />April 12, 1976 <br />