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<br /> Juvenile Acct. Incentive Block Grant Fund 18.391
<br /> Byrne Metnorial Grant Fund 37,901
<br /> Help To Others Fund 34,700
<br /> Lead Safe Cuyahoga Lead~Based Paint Hazard
<br /> Control Program 250,000
<br /> Total Special Revenue Funds $ 16,057,670
<br />Section 3 That there be appropriated rrom the Debt Service Fund:
<br /> Bond Retirement Fund $ 5,402,863
<br />Section 4 That there be appropriated rrorn Capital Projects Funds:
<br /> Permanent Capital Improvement Fund $ 5,607,769
<br /> Lakehouse Breakwa11 Fund 46,180
<br /> Land Acquisition Fund 0
<br /> City Park Improvement Fund 10,000
<br /> Total Capital Projects Funds $ 5,663,949
<br />Section 5 That there be appropriated rrom Enterprise Funds.~
<br /> Water Fund $ 12,365,073
<br /> Wastewater Collection System Fund 1,280,599
<br /> Wastewater Treatment Fund 4,253,897
<br /> Wastewater Improvement Fund 5,609,443
<br /> Parking Facilities Fund 329,292
<br /> Winterhurst Ice Rink Fund 968,083
<br /> Congregate Living Facility Fund 21,997
<br /> Total Enterprise Funds $ 24,828,384
<br />Section 6 Thatthere be appropriated from Internal Service Funds:
<br /> Hospitalization Fund $ 3,062,599
<br /> Workers' Compensation Fund 732,715
<br /> General Liab. Self Insurance Fund 320,864
<br /> Total Internal Service Foods $ 4,116,178
<br />
<br />Section 7. That the following sumniary of appropriations shall govern expenditures of the City of
<br />Lakewood for fiscal year 2002 subject to any additions and/or changes:
<br />
<br />SUMMARY OF APPROPRlATJONS
<br />
<br />General Fund
<br />Special Revenue Funds
<br />Debt Service Fund
<br />Capital Projects Funds
<br />Enterprise Funds
<br />Internal Service Funds
<br />
<br />Total Appropriations
<br />
<br />$ 35,196,899
<br />15,807,670
<br />5,402,863
<br />5,663,949
<br />24,828,384
<br />4,116,178
<br />$ 91,265,943
<br />
<br />Section 8 All encumbrances from the prior fiscal year shall be carried forward.
<br />
<br />Section 9 All revenues projected and budgeted are-reflected in the proposed budget document
<br />
<br />Section 10. That the DireCtor of Finance is hereby authorized to draw checks upon the City depositories
<br />for the amounts appropriated in thís,ordinance whenever claims are presented, properly approved by the
<br />head of the department for which the indebtedness is incurred, providing the President of Council or
<br />hislher designees shall approve all claims of the City Council<
<br />
<br />Section 11. In accordance with ArtiCle III, Section 12, of the Charter of the City of Lakewciod, Council
<br />hereby determines that the manner of giving notice of the passage of this ordinance is to be by posting
<br />copies hereof fora period of not less than fifteen (15) days in not less than five (5) of the most public
<br />places in the City, which places have been determined by Council in Ordinance No, 55-59
<br />
<br />Section 2, It is found and deterIilined that all formal actions of this Council concerning and relating to the passage
<br />of this ordinance were adopted in an open meeting of this Council and of any of its committees, that resulted in
<br />such formal actions, were in meetings open to the public in compliance with all legal requirements
<br />
<br />Section 3. That this ordinance is hereby declared to be an emergencyineasure necessary for the immediate
<br />preservation of the public peace, property, health, safety and welfare in the City and for the usual daily operation of
<br />the City forthe reasons set forth and defined in the preamble to this ordinance, and provided it receiveS the
<br />affirmative vote of at least five (5) of itS members elected to Council, this ordii1ance shall take effect and be in force
<br />
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