Laserfiche WebLink
i~ ORDINANCE NO. 58-73 BY: Messrs. Graber, Magnotto, <br /> · McBride, Sinagra, Usher, <br /> Werner <br /> ~N EMERGENCY ORDINANCE to supplement appropriation Ordinance No. <br />39-73 to provide for an additional appropriation from the Federal Revenue <br />Sharing Fund, said additional appropriatiQn to be used for storm and sanitary <br />sewer projects only. <br /> WHEREAS, pursuant to the State and Local Fiscal Assistance Act <br />it is required that planned use be reported to the Department of the Treasury of <br />the united States on funds allocated for the entitlement period January 1, 1973 <br />to June 30, 1973, and <br /> W~IERF~S, the City's share of the Federal Revenue Sharing Program for <br />said entitlement period is in the estimated amount of $189,434.00, and <br /> WHEREAS, this Council determines it to be in the best interest of the <br /> City that such funds be used for storm and sanitary sewer improvement projects <br /> for the City, and <br /> WHEREAS, an emergency exists to provide for the immediate preservation <br /> of the public property, health and safety and to provide for the usual daily <br /> operation of municipal departments, now, therefore, <br /> BE IT ORDAINED BY THE COUNCIL OF TH~ CITY OF LAKEWOOD, STATE OF OHIO: <br /> Section 1. That this Council ~ereby determines that the City's share <br /> of the Federal Revenue Sharing Program for the entitlement period January 1, 1973 <br /> to June 30, 1973 be used for storm and sanitary sewer improvement projects for <br /> the City of Lakewood. <br /> Section 2. That there by appropriated from the Federal Revenue <br /> Sharing Fund the entire estimated distribution for the aforementioned entitlement <br /> period in the amount of $189,434.00 for storm and sanitary mew~r improvemznt projects <br /> for the City of Lakewood. <br /> Section 3. That the Mayor, in his capacitY as Chief Executive Officer <br /> of the City, be and he is hereby authorized and directed to file with the Department <br /> of the Treasury, Office of Revenue Sharing, the planned use report in accordance <br /> with the provisions of this ordinance as required by law. <br /> Section 4. That the Director of Finance be and he is hereby authorized <br /> t0 draw checks upon the City depositories for the amount appropriated in this <br /> ordinance whenever claims are presented properly apprOVed by the head of the <br /> department for which the indebtedness is incurred. <br /> Section 5. That this ordinance is hereby declared to be an emergency <br /> measure for the reasons stated in the preamble hereof, and provided it receives <br /> the affirmative vote of two-thirds of all members elected by'Council, it shall <br /> take effect and be in force immediately upon its~tion and approval by the <br /> <br /> Approved: ~/~/~ _i ~' <br /> <br /> <br />