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ORDINANCE NO, 115-81 <br /> <br />BY: Brown, Chinnock, Galta§her, Graham, <br /> McBride, Salmon, Wendling <br /> <br />AN EMERGENCY ORDINANCE to make temporary appropriatons for current expenses <br />and other expenditures of the City of Lakewood, State of Ohio, for three <br />months, January 1, 1982 to March 31, 1982, as provided for by Section 5705.38 <br />of the Revised Code. <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 the General Fund: <br /> General Fund <br /> <br />$3,000,000 <br /> <br />Section 2. <br /> <br />That there be appropriated from Special Revenue <br />Funds: <br /> State Highway Improvement Fund <br /> Street Construction, Maintenance &Repair Fund <br /> Office on Aging Fund, Title III B <br /> Office on Aging Fund, Title III C <br /> Police Pension Transfer <br /> Fire Pension Transfer <br /> Community Development Block Grant Fun~ <br /> Federal Revenue Sharing <br /> <br />15,000 <br />250,O00 <br />lO0,O00 <br />15,000 <br />125,000 <br />125,000 <br />500,000 <br />lO0,O00 <br /> <br />Section 3. <br /> <br />That there be appropriated from Debt Service Funds: <br /> Bond Retirement General Obligation <br /> Bond Retirement Special Assessment <br /> <br />500,000 <br />5,000 <br /> <br />Section 4. <br /> <br />That there be appropriated from the Capital Projects <br />Funds: <br /> Telephone Improvement <br /> Refuse Equipment Improvement <br /> Incinerator Improvement <br /> Police Remodeling <br /> <br /> 8,000 <br />220,000 <br />53,000 <br />178,000 <br /> <br />Section 5. <br /> <br />That there be appropriated from the Special Assessment <br />Funds: <br /> Local Street Improvement <br /> Breakwall Improvement <br /> <br />380,000 <br />34,000 <br /> <br />Section 6. <br /> <br />That there be appropriated from the Enterprise Funds: <br /> Hospital Fund <br /> Water Fund <br /> Waste Water Sewer Facilities Fund <br /> Parking Facilities Fund <br /> <br />11,000,000 <br /> 500,000 <br /> 450,000 <br /> 250,000 <br /> <br />Section 7. That the Director of Finance be and he is hereby authorized to <br />draw checks upon the City depositories for the amounts appropriated in this <br />ordinance whenever claims are presented properly approved by the head of <br />the department for which the indebtedness is incurred, provided the President <br />of Council shall approve all claims of the City Council. <br /> <br /> <br />