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ORDINANCE NO. 1-72
<br />
<br />BY: Messrs. Usher, Wendling, Brockman,
<br /> Graber, Kelley, Magnotto, McBride
<br />
<br />AN EMERGENCY ORDINANCE to make temporary appropriations for current expenses and
<br />other expenditures of the City of Lakewood, State of Ohio, for three months,
<br />January 1, 1972 to March 31, 1972, as provided for by Section 5705.38 of the Revised
<br />Code.
<br />
<br />WHEREAS, An emergency exists for the immediate preservation of the public property,
<br />health and safety and to provide for the usual daily operation of municipal
<br />departments; now, therefore:
<br />
<br />BE IT ORDAINED BY THE COUNCIL OF THE CITY OF LAKEWOOD, STATE OF OHIO:
<br />
<br />Section 1. That there be ~ppropriated from the General Fund:
<br />
<br />0190100
<br />0190200
<br />0190400
<br />0190500
<br />0190600
<br />0190700
<br />0190800
<br />0190900
<br />0191000
<br />0191100
<br />0191200
<br />0191300
<br />0191800
<br />0192000
<br />0192300
<br />0193500
<br />0194100
<br />0194400
<br />0195100
<br />0195200
<br />0195300
<br />0195400
<br />0196000.
<br />0196100
<br />0196300
<br />0196400
<br />0199000
<br />0199100
<br />
<br />Council
<br />City Operating Contingency
<br />Mayor's Office
<br />Finance Operating
<br />General Administration
<br />Department of Law
<br />Civil Service
<br />Department of Public Works
<br />Division of Engineering
<br />Plan~ing
<br />Building
<br />Municipal Court
<br />Public Lands & Buildings
<br />Division of Police
<br />Division of Fire
<br />Division of Health
<br />Sewers
<br />Division of Refuse
<br />Sidewalks
<br />Street Lighting
<br />Curb Cutting
<br />Street Signs
<br />Division of Parks
<br />Swimming Pools
<br />Tennis Courts
<br />Trees
<br />Transfers
<br />Refunds
<br />
<br />$ 9,000.00
<br />8,000.00
<br />12,000.00
<br />19,000.00
<br />155,000.00
<br />14,000.00
<br />2,500.00
<br />9,000.00
<br />8,000.00
<br />5,500.00
<br />20,500.00
<br />28,500.00
<br />23,000.00
<br />280,000.00
<br />225,000.00
<br />19,000.00
<br />13,000.00
<br />268,000.00
<br />15,000.00
<br />51,000.00
<br />600.00
<br />600.00
<br />62,000.00
<br />7,000.00
<br />2,000.00
<br />25,000.00
<br />30,000.00
<br />1,000.0~
<br />
<br />Total
<br />
<br />$ 1,313,200.00
<br />
<br />Section 2.
<br />
<br />Section 3.
<br />
<br />Section 4.
<br />
<br />Section' 5.
<br />
<br />Section 6.
<br />
<br />That there be appropriated from the
<br />State Highway Improvement Fund
<br />
<br />That there be appropriated from the
<br />Street Construction, Maintenance and
<br />Repair Fund
<br />
<br />That there be appropriated from the
<br />Equipment Depreciation Fund:
<br />
<br />That there be appropriated from the
<br />Water Fund:
<br />
<br />That there be appropriated from the
<br />Water Capital Outlay and Depreciation
<br />Fund:
<br />
<br />18,000.00
<br />
<br />122,000.00
<br />
<br />120,000.00
<br />
<br />280,000.00
<br />
<br />12,000.00
<br />
<br />
<br />
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