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- 2 ~ <br /> <br /> Section 2. That:there be appropriated <br />from the Poor Relief Fungi <br /> <br />$ 1,004.07 <br /> <br /> Section 3. That there be appropriated <br />from the State HighWay Improgement Fund: <br /> <br />$ 33,45~.00 <br /> <br /> Section 4. That there be appropriated <br />from the Street ConStruction, Maintenance and <br />Repair Fund: <br /> <br />$ 340,760.00 <br /> <br /> Section 5. That there be appropriated <br />from the Civil Defense Fund: <br /> <br />$ 173.01 <br /> <br /> Section 6. That there be appropriated <br />from the Equipment Depreciation Fund: <br /> <br />$ 30,07M.00 <br /> <br /> Section 7. That there be appropriated <br />from the Lakefronr & Road Improvement Fund: <br /> <br />$ 2,979.61 <br /> <br /> Section 8. That there be appropriated <br />from the Water Fund: <br /> <br />$ 666,463.00 <br /> <br /> Section 9. That there be appropriated <br />from the Water Capital Outlay and Depreciation <br />Fund: $ 65~000.00 <br /> <br /> Section 10. That there be appropriated <br />from the Sewage Disposal Operating Fund: <br /> <br />$ 214,400.00 <br /> <br /> Section 11. That there be appropriated <br />from the Sewage Disposal Capital Fund <br /> <br />$ 800,000.00 <br /> <br /> Section 12. That there be appropriated <br />from the Parking Meter Fund: <br /> <br />$ lO0,000.O0 <br /> <br /> Section 13. That there be appropriated <br />from the Winterhurst Skating Rink Fund: <br /> <br />$ 34,725.00 <br /> <br /> Section 14. That there be appropriated <br />from the Hospital Fund: $ 5,558,906~00 <br /> <br /> Section 15. That there be appropriated <br />from the Hospital Capital Outlay & Depreciation <br />Fund: $ 250,000.00 <br /> <br /> Section 16. That to provide for the redemption <br />of bonds, interest on outstanding bonds and other <br />expenditures, the following sums are hereby appropriated <br />from the Bond Retirement Fund: <br /> <br />General Bonds <br />Special Assessment Bonds <br /> <br />$ 1,100,000.00 <br /> 55,000.00 <br /> <br /> Section 17. That the Director of Finance be and is hereby <br />authorized to draw checks upon the City depositories for the amounts <br />appropriated in this ordinance whenever claims are presented properly <br />approved by the head of the department for which the indebtedness is <br />incurred, provided the President of Council shall approve all claims <br />of the City Council. <br /> <br /> <br />