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-3- <br />Supplies 1,000.00 <br />Recreation Fund Transfer 4,000.00 <br />? Building Equipment & Maintenance Transfer 25,000.00 <br />v Street Construction M& R Fund Transfer 20,000.00 <br />Contingencies 2,394.00 <br />Total (General Administration) $165,233.00 <br />GRAND TOTAL - GENERAL FUND $742,000.00 <br />Section 1.(a) There shall be and hereby is appropriated <br />£rom the Permanent Police Personnel Fund £or the year 1978 the <br />following: <br />Compensation of Regular Policeman $ 54,900.00 <br />Section 1. (b) There shall be and hereby is appropriated £or <br />the year 1978 from the Federal General Revenue Sharing Trust Fund <br />an amount not to exceed the sum o£: <br />Police Salaries $ 15,000.00 <br />Section 2. There shall be and hereby is appropriated £rom <br />the Gasoline and Street Maintenance and Repair Fund, for the year <br />1978 the £ollowing: <br />Personal Service $ 16,240.00 <br />Public Employees Retirement (PERS) 2,265.48 <br />Hospitalization 1,263.84 <br />Supplies & Materials 1,030.68 <br />Contractual Services 10,000.00 <br />Total $ 30,800.00 <br />Section 2. (b) There shall be and hereby is appropriated from <br />the State Highway Fund £or the year 1978 the £ollowing: <br />Supplies and Materials <br />Contractual Services <br />Total <br />$ 2,000.00 <br />2.000.00 <br />4.000.00 <br />Section 3. There shall be and hereby is appropriated for the <br />year 1978 £rom the Special Assessment Lighting Fund the sum of: <br />$ 40,000.00 <br />Section 4. There is hereby appropriated from the Recreation <br />Fund £or the year 1978, the following: <br />Personal Service <br />Other Expenses <br />Total <br />$ 2,500.00 <br />6,500.00 <br />$ 9,000.00