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94-88 Additional Appropriations
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94-88 Additional Appropriations
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Last modified
5/14/2013 3:06:49 PM
Creation date
9/8/2003 5:55:00 AM
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Office Of Council
Document Type
Ordinances
Date
9/8/2003
Date Adopted
1/16/1989
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Amended <br />~.,Rep]~a.¢e ~Ord. #94~88 <br />1 S~' Readi ng'.!2/19/88 <br />2nd .Reading 1/3/89 <br /> <br />ORDINANCE NO. 94-88 <br /> <br />BY:. Brown, Chinnock, Gallagher, Gazzana, <br /> George, Graham, Wendling <br /> <br />AN EMERGENCY ORDINANCE to.make additional appropriations for expenditures <br />of the City of Lakewood, State of Ohio, for the fiscal year ending <br />December 31, 1988. <br /> <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 <br />daily 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 from the General Fund: <br /> <br /> General Fund $ 1,267,350 <br />Section 2. That there be appropriated from Special ReVenue Funds: <br /> <br />Street Constr. Maint. & Repair Fund <br />Office-on-Aging - Title IIIB Fund <br />Office-on-Aging - Title IIIC Fund <br />Self-Insurance General Liability Fund <br />Municipal Energy Mgt. Grant Fund <br />Fire Pension Fund <br /> <br />$ 267,985 <br />39,815 <br />5,925 <br />700 <br />3,865 <br />42,030 <br /> <br />Section 3. That there be appropirated from the Debt Service Fund: <br /> <br /> Debt Service Fund $ 5,500 <br />Section 4. That there be appropriated from the Capital Projects Funds: <br /> <br /> Sewer Wastewater Impr. Fund $ 45,250 <br />Section 5. That there be appropriated from the Enterprise Funds: <br /> <br /> Water Fund $ 213,450 <br /> Wastewater Operating Fund '300,300 <br /> Parking Facilities Fund 30,380 <br /> <br />Section 6. That there be appropriated from the Special Assessment Funds: <br /> <br /> Sidewalk Impr. Fund $ 300,000 <br />Section 7. That there be appropriated from the Internal Service Funds: <br /> <br />Hospitalization Insurance Fund <br /> <br />$ 323,785 <br /> <br />Section 8. That the Director of Finance be and he is hereby authorized <br />to draw checks upon the City depositories for the amounts appropriated <br />in this ordinance whenever claims are presented properly approved by <br />the head of the department for which the indebtedness is incurred, <br />providing the President of Council shall approve all claims of the City <br />Council. <br /> <br />Section 9. It is found 'and determined that all formal aCtions of this <br />Council concerning and relating to the passage of this ordinance were <br />adopted in an open meeting of the Council~ and that all such <br />deliberations of this Council and of any of its committees that <br />resulted in such formal action were in meetings open to the public in <br />compliance with all legal requirements. <br /> <br /> <br />
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