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PLEASE SUBSTITUTE FOR ORDINANCE #14-92
<br />PLACED ON FIRST READING & REFERRED TO
<br />FINANCE COMMITTEE ON 2/3/92 AND
<br />PLACED ON SECOND READING 3/2/92.
<br />
<br />ORDINANCE NO. 14-92 BY:
<br />
<br />Boscia, Gallagher, George,
<br /> Gibbons, Roth, Seelie,
<br /> Smith
<br />
<br />AN EMERGENCY ORDINANCE to make appropriations for current expenses and
<br />other expenditures of the City of Lakewood, State of Ohio, for the
<br />fiscal year ending December 31, 1992 and repealing Ordinance No. 99-91
<br />entitled "AN EMERGENCY ORDINANCE to make temporary appropriations for
<br />current expenses and other expenditures of the City of Lakewood, State
<br />of Ohio, for three months, January 1, 1992 to March 31, 1992, as
<br />provided for by SeCtion 5705.38 of the Revised Code", and adopted by
<br />the Council of the City of Lakewood, December 16, 1991.
<br />
<br />WHEREAS, an emergency exists for the i~nediate preservation of the
<br />public property, health and safetY and to provide for the usual daily
<br />operation of municipal departments; now, therefore:
<br />
<br />BE IT ORDAINED BY THE CITY OF LAKEWOOD, STATE OF OHIO:
<br />
<br />Section 1. That there be appropriated
<br /> from the General Fund:
<br />
<br />$ 24,976,181
<br />
<br />Total General Fund
<br />
<br />$ 24,976,181
<br />
<br />Section 2. That there be appropriated
<br /> from Special Revenue Funds:
<br />
<br />State Highway Fund
<br />Street Const. Maint &
<br /> Repair Fund
<br />Police Pension Fund
<br />Law Enf. Trust Fund
<br />Drug Enf. Trust Fund
<br />Fire Pension Fund
<br />Comm. Dev. Block Grant Fund
<br />Office-on-Aging - IIIB Fund
<br />Office-on-Aging - IIIC Fund
<br />Municipal Energy .Management
<br />Litterless Lakewood Fund
<br />Job Training Grant Fund
<br />Children's Trust Grant Fund
<br />Emer. Shelter Grant
<br /> Program Fund
<br />Community Festival Fund
<br />Recycle Demonstration Fund
<br />
<br />$ 65,000
<br />
<br />Total Special Revenue Fund
<br />
<br />Section 3. That there be appropriated from
<br /> the Debt Service Fund: $
<br />
<br />2,427,225
<br />858,000
<br />29,000
<br />27,000
<br />932,500
<br />2,555,320
<br />1,104,365
<br />331,730
<br />1,270
<br />47,478
<br />11,670
<br />11,200
<br />41',000
<br />
<br />19,275
<br />3,028
<br />
<br />8,582,559
<br />
<br />$ 8,465,061
<br />
<br />Total Debt Service Fund
<br />
<br />$ 8,582,559
<br />
<br />Section 4. That there be appropriated from
<br /> the Capital Projects Fund:
<br />
<br />Capital Improvements Fund
<br />Sewer Wastewater Impr. Fund
<br />Downtown Development Fund
<br />
<br />$ 5,278,000
<br /> 7,612,359
<br /> 3,136,000
<br />
<br />Total Capital Projects Fund $ 16,026,359
<br />
<br />
<br />
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