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<br />SECTION 3. <br /> <br />The sum of Fourteen Thousand Forty-Two Dollars <br /> <br />($14,042.00) is hereby appropriated from the unappropriated <br /> <br />balance of the Water Fund to: <br /> <br />(a) <br /> <br />Appropriation for direct salaries, Water <br />System, Department of Public Works <br /> <br />$12,090.00 <br /> <br />(b) <br /> <br />Appropriation for other employee costs, <br />Water System, Department Of Public Works <br /> <br />$ 1,952.00 <br /> <br />Said sum shall be for expenditure during the fiscal year <br /> <br />July 1,1976 - June 30, 1977, and shall be in addition to all <br /> <br />sums appropriated for such purposes during the fiscal year <br /> <br />July 1, 1976 - June 30, 1977. <br /> <br />SECTION 4. <br /> <br />The sum of Three Thousand Six Hundred Eleven <br /> <br />Dollars ($3,611.00) is hereby appropriated from the unappropriated <br /> <br />balance of the Equipment Services Fund to: <br /> <br />(a) <br /> <br />Appropriation for direct salaries, Equip- <br />ment Services, Department of Building <br />and Transportation <br /> <br />$ 3,120.00 <br /> <br />(b) <br /> <br />Appropriation for other employee costs, <br />Equipment Services, Department of <br />Building and Transportation <br /> <br />$ <br /> <br />491.00 <br /> <br />Said sum shall be for expenditure during the fiscal year <br /> <br />July 1, 1976 - June 30, 1977, and shall be in addition to all <br /> <br />sums appropriated for such purposes during the fiscal year <br /> <br />July 1, 1976 - June 30, 1977. <br /> <br />SECTION 5. <br /> <br />The sum of Four Thousand Four Hundred Dollars <br /> <br />($4,400.00) is hereby appropriated from the unappropriated balance <br /> <br />of the Capital Outlay Fund to the appropriation for supplies and <br /> <br />other services, Library Fund, Library. <br /> <br />Said sum shall be for <br /> <br />expenditure during the fiscal year July 1, 1976 - June 30, 1977, <br /> <br />and shall be in addition to all sums appropriated for such <br /> <br />purposes during the fiscal year July 1,1976 - June 30,1977, <br /> <br />SECTION 6. <br /> <br />This ordinance shall be effective 30 days <br /> <br />after its adoption. <br /> <br />* <br /> <br />* <br /> <br />* <br /> <br />-2- <br /> <br />1703 <br />