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(2) Increase Sales Tax Capital Outlay Fund unencumbered <br /> balance as of June 30, 1963, from $1,060,000 to $1,078, 333. <br /> (3) Increase Sales Tax Capital Expenditure Fund un- <br /> encumbered balance as of June 30, 1963, from $53,000 to $59, 588. <br /> (4) Increase Sewer Rental Fund unencumbered balance as <br /> of June 30, 1963, from $15, 000 to $19,456. <br /> B. APPROPRIATIONS <br /> (1) The appropriation from the �eneral Fund for unbudgeted <br /> contingent reserve is hereby increased from $40,000 to $50, 000. <br /> (2) The appropriations for salaries of municipal employees <br /> from the following designated funds to the following designated <br /> departments or accounts are hereby increased in the following <br /> amounts : <br /> Fund Department or Account Amount <br /> General Fund ( Manager $145 <br /> ( Purchasing 93 <br /> ( Engineering 918 <br /> ( Attorney 242 <br /> ( Municipal Buildings 124 <br /> ( Police 5,748 <br /> ( Fire 5, 584 <br /> ( Central Services 120 <br /> ( Building Inspector 275 <br /> ( Street Maintenance 2,260 <br /> ( Electrical 196 <br /> ( Park 1,463 <br /> ( Recreation 912 <br /> ( Corporation Yard 154 <br /> ( Paint 298 <br /> ( Shop 227 <br /> ( Veterans Memorial 91 <br /> ( Auditor 2q.g <br /> Total $19,099 <br /> Marina Fund Marina $135 <br /> Sewer Rental Fund ( Sewer Maintenance $650 <br /> ( Sewage Treatment P1ant $1,197 <br /> Water Fund water $Z,gpg <br /> Parking District No. 1 Parking District No. 1 $23 <br /> Meter Revenue Fund <br /> Central Business District <br /> Meter Revenue Fund C�,r��t:�.�l; g���� D�Str,ict $45 <br /> - 2 - <br /> I ' <br />