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ORDINANCE N0.20-83 <br /> <br />BY: Brown, Chinnock, Gallagher, Graham, <br /> McBride, Salmon, Wendling <br /> <br />AN EMERGENCY ORDINANCE to make appropriations for ~urrent expenses and other <br />expenditures of the City of Lakewood, State of Ohio, for the fiscal year <br />ending December 31, 1983, and repealing Ordinance No. 103-82 entitled "AN <br />EMERGENCY ORDINANCE to make temporary appropriations for current expenses <br />and other expenditures of the City of Lakewood, State of Ohio, for three <br />months, January l, 1983 to March 31, 1983 as provided for by Section <br />5705.38 of the Revised Code", adopted by the Council of the City of Lakewood, <br />December 20, 1982. <br /> <br />WHEREAS, an emergency exists for the immediate preservation of the public <br />property, health and safety and to provide for the usual daily operation of <br />municipal 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 appropriated from <br /> General Fund <br /> <br />15,320,000 <br /> <br />Section 2. That there be appropriated from <br /> Special Revenue Funds: <br /> <br />State Highway Fund 50,000 <br />Street Construction, Maint. & Repair 1,364,800 <br />Police Pension Fund 580,706 <br />Fire Pension Fund 608,759 <br />Comm. Dev. Block Grant 2,298,243.87 <br />General Revenue Sharing 425,800 <br />Office on Aging - IIIB 521,048 <br />Office on Aging - IIIC 69,640 <br />Litterless Lakewood 66,235 <br /> <br />Total Special Revenue Funds <br /> <br />5,985,231.87 <br /> <br />Section 3. That there be appropriated from <br /> the Debt Service Fund: <br /> <br />Debt Service Fund <br /> <br />3,031,010 <br /> <br />3,031,010 <br /> <br />Section 4. That there be appropriated from <br /> the Capital Projects Fund: <br /> <br />Capital Improvements Fund <br />Incinerator Site Imp. Fund <br />Fire Equipment Imp. Fund <br />Traffic Signalization Imp. Fund <br />Recreational Imp. Fund <br />Lakewood Park Breakwall <br /> <br />620,500 <br /> 30,265.74 <br /> 38,732 <br />578,000 <br />245,000 <br />726,000 <br /> <br />Total Capital Projects Fund <br /> <br />2,238,497.74 <br /> <br />Section 5. That there be appropriated from <br /> the Enterprise Funds: <br /> <br />Hospital Operating Fund <br />Water Fund <br />Wastewater Treatment Fund <br />Sewer & Wastewater Treatment <br /> Plant Improvement Fund <br />Parking Funds <br />Congregate Living Facility <br /> <br />60,563,000 <br /> 3,562,736 <br /> 2,785,838 <br /> <br />5,474,840 <br />1,683,249 <br /> 5,660 <br /> <br />Total Enterprise Funds <br /> <br />74,075,323 <br /> <br /> <br />