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254 <br /> <br />II. Meadowcreek Golf Course Fund <br /> <br /> The sum of $83,794 shall be transferred from the fund balance of the <br />Meadowcreek Golf Course Fund, as of June 30, 2000, to the Facilities Repair Fund for <br />the purpose of funding future repair costs at the Meadowcreek Golf Course. <br /> <br />IH. Capital Project Fund <br /> <br />(a) Appropriation Transfer <br /> <br /> The sum of $19,536 received as interest during fiscal year 1999-00 t~om various <br />debt issues shall be transferred as of June 30, 2000 to the Debt Service Fund for the <br />purpose of future principal and interest payments. <br /> <br />IV. Equipment Replacement Fund <br /> <br />(a) Continuing Appropriation <br /> <br /> The unexpended revenue of $38,752 derived from net proceeds bom the sale of <br />surplus City property shall be permitted to be carried over in the Equipment Replacement <br />Fund and expended in the current fiscal year. <br /> <br />V. Grants Fund <br /> <br />(a) Continuing Appropriation <br /> <br /> The following expenditure accounts in the Grants Fund at June 30, 2000, shall be <br />permitted to be carried over and expended in the current fiscal year for the purposes for <br />which they were originally appropriated based on estimated revenues to be received: <br /> <br />I 1-042-062570 Down Payment Closing FY 00 $ 40,260 <br />11-042-062571 Choice FY00 $ 66,562 <br />11-042-062572 CHDO FY00 $ 12,500 <br />11-042-041170 Sobriety Checkpoint $ 17,314 <br />11-270-041151 Cops-More $ 134,507 <br />t 1-230-041153 V-Stop Domestic Violence Grant $ 20,798 <br />11-230-032042 Victim Witness $ 82,632 <br />11-270-041160 Cops Universal Hiring $ 109,513 <br />11-042-062108 HOME Fund-FY 99 $ 23,276 <br />11-042-041163 Weed & Seed $ 240,844 <br /> <br /> The following expenditure accounts in the Grants Fund at June 30, 2000, shall be <br />permitted to be carried over and expended in the current fiscal year for the purposes for <br />which they were originally appropriated from the fund balances maintained for each <br />program: <br /> <br />11-260-042020 <br />11-260-042050 <br /> <br />I1-260-042110 <br />11-041-092080 <br />11-330-091040 <br /> <br />State Entitlements for Fire Programs $ <br />State Entitlements for Fire Programs- <br /> Joint Software $ <br />Fire Training Center $ <br />Community Development Publications $ <br />Charlottesville/Albemarle Visitors <br /> and Convention Bureau $ <br /> <br /> 34,669 <br /> <br /> 1,942 <br /> 2,050 <br /> 8,078 <br /> <br />179,598 <br /> <br />VI. Community Development Block Grant Fund <br /> <br />(a) Continuing Appropriation <br /> <br /> The sum of $1,005,378 in the CDBG Fund at June 30, 2000 shall be permitted to <br />be carried over and expended in the current fiscal year for the purposes for which they <br />were originally appropriated based on estimated revenues to be received. <br /> <br /> <br />