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PLEASE SUBSTITUTE FOR ORDINANCE 3-89
<br /> PLACED ON FIRST READING ON 2-6-89
<br /> PLACED ON SECOND READING ON 2-2?-89
<br />
<br />ORDINANCE NO. 3-89
<br />
<br />BY: Brown, Chinnock, Gallagher, Gazzana,
<br /> George, Graham, Wendling
<br />
<br /> make appropriations for current expenses and other
<br /> EMERGENCY ORDINANCE tR . _ · . for the fiscal year ending
<br />~-~-a(+-~o~ f the City of Lakewood, State of Ohio... t~tled "AN EMERGENCY
<br />~;~;;~;~ 31, °19~9 ~nd r~al;;~ro~;~:~: ~:;8:u~e~' expens~)_an~a~:~[
<br />ORDINANCE to make :~m~ora ) e of Ohio, for three mo~s, . y
<br /> · ': of Lakewood, Stat . ~ the Rewsed
<br />expenditures of the_? Y -,,-~, for by Section 5705.3B o
<br /> to March 31, 19~, ~s.v-~-;-?_. ,.b~ ..... a Nnvember 21, 1988.
<br />1, 1989 - ~t u. ~a~c-~, ....
<br /> Code", adopted by the Counc~I. ox the C y
<br /> WHEREAS, an emergency exists for the in~nediate preservation of the public
<br /> property, health and safety and to provide for the usual daily operation of
<br /> municipal departments; now, therefore:
<br /> BE IT ORDAINED BY THE CITY OF LAKEWOOD, STAT£ OF OHIO:
<br /> Section 1. That there be appropriated from
<br /> General Fund $ 21,358,17~
<br />
<br />Section 2.
<br />
<br />Total General Fund
<br />That there be appropriated from
<br />Special-Revenue Funds:
<br />
<br />State Highway ~und
<br />Street Const. Maint. & Repair Fund
<br />Police Pension Fund
<br /> Fire Pension Fund
<br /> Comm. Dev. Block Grant Fund
<br /> Federal Revenue Sharing Fund
<br /> Office-on-Aging - IIIB Fund
<br /> Office-on-Aging - IIIC Fund
<br /> Litterless Lakewood Fund
<br /> Job Training Grant Fund
<br /> Municipal Energy Management Fund
<br /> Children's Trust Grant Fund
<br /> Gen. Liab. Self-Insurance Fund
<br /> Law Enforcement Trust Fund
<br /> Drug Enforcement Trust Fund
<br /> Emer. Shelter Grant Program Fund
<br /> Community Festival Fund
<br />
<br />83,000
<br />1,519,520
<br />737,378
<br />852,146
<br />3,345,340
<br />28,050
<br />862,115
<br />253,580
<br />50,328 ....
<br />24,875
<br />8,629
<br />6,115
<br />~' 1,000
<br />22,000
<br />45,900
<br />61,467
<br />54 ~650
<br />
<br />Section 3.
<br />
<br />Total Special Revenue Funds
<br />That there be appropriated from
<br />the Debt Service Fund
<br />
<br />$ 3,682,000,
<br />
<br />Total Debt Service Fund
<br />
<br />Section 4.
<br />
<br />That there be appropriated from
<br />the Capital Projects Fund:
<br />
<br />Capital Improvements Fund
<br />Sewer WaStewater Impr. Fund
<br />Recreation Improvement Fund
<br />
<br />$ 1,290,200
<br /> 3,119,440
<br /> 40,000
<br />
<br />Total Capital Projects Fund
<br />
<br />$ 21,358,178
<br />
<br />$ 7,956,093
<br />
<br />$ 3,682,000
<br />
<br />$ 4,449,640
<br />
<br />
<br />
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