ORDINANCE NO ~~ Page - 4
<br />Section 8. That there be appropriated from the MUNICIPAL
<br />BUS FUND the Fol leering;
<br />Employees ..........................245,000.00
<br />Buses .............................. 500.00
<br />insurance .......................... 29,000,00
<br />Equipment .......................... 5,000.00
<br />Gas & Oii... ....................... 40,000.00
<br />Repairs ............................ 38,000.00
<br />Tires .............................. 9,000.00
<br />Printing ........................... 2,000.00
<br />Terminal Rent.......,.. ............. 4,000,00
<br />Bus Garage/~Exppans~ ................. 5,000.00
<br />legal E~tpe.•sG,f,,,,,,,,,,,,,,r,...• 500,E
<br />legal Advertising .................. 500.00
<br />Misceilarteous ...................... 2,000.00
<br />Licenses,...,........,,............ 3,000.00
<br />P.E. R.S .........................,,. 15,000.00
<br />Bond Retirement .................... 40,Q00.00
<br />Workr+~ens Compensation .............. 5,000.Qt1
<br />Uniforms ........................... 2,500.00
<br />Utilities .......... ................ 4.800,00
<br />Total .............$450,8fM?.00
<br />Section 9, That there be appropriated from the
<br />BOND RETIREMENT FUND ...................................... 127,704.9b
<br />Section 10. That there be appropriated from the
<br />RECREATION FUND ........................................... 26,i76.8b
<br />Section 11. That there be appropriated from the
<br />STREET OPENING FUND ....................................... 22,b44.30
<br />Section i2, That Chere be appropriated from the
<br />POLICE RELIEF AND PENSION FUND....... ..................... '07,07.13
<br />Section 13. That there be appropriated from the
<br />FIREMEN'S RELIEF ANO PENSION FUNA......................... 104,0$6.44
<br />Section 14, That there be appropriated from the
<br />TRUST FUND................,... . ............................ 6,462.85
<br />Section 15. That there be appropriated from the
<br />FIRE HYDRANTS FUND ........................................ 1!t5,00
<br />Section ib. That there be appropriated from the
<br />STREET INSPECTION FUND.....,..... .......................... 5,000.00
<br />Section 17. That there be appropriated from the
<br />SEWER IMPROVEMENT FUND ....................................1,693,625.11
<br />Section 18. That there be appropriated from the
<br />SIDEWALK CONSTRUCTION PRIVATE FUND ......................... 202.5$
<br />Section 19. That the Finance Director is hereby authorized
<br />to draw his warrants on the City Treasurer for payments fro~- any of
<br />the foregoing appropriations upon receiving proper certificates anc
<br />vouchers therefor, approved by the Board of Gfficers authorized by law to
<br />approve same, or an Ordinance or Resolution of Council to make the
<br />expenditures; provided that no warrants sha11 be drawn or pvid for
<br />salaries or wages except to persons employed by authority of and in
<br />accordance with law or ordinance. Provided further, that the
<br />appropriations for contingencies can only be expended upon approval of
<br />two-thirds vote of Council for items of expanse constituting a regal
<br />obligation against the City and for purposes ether than those covered
<br />by the specific appropriations herein made.
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