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<br />07/10/2006 <br /> <br />insurrection, or for the immediate preservation of public order, peace, health or safety, <br /> <br />or for the restoration to a condition of usefulness of any public property, the usefulness <br />of which has been destroyed by accident or Act of God, or for the relief of an area <br /> <br />stricken by calamity, or to meet monetary expenditure required by law, the Council may, <br /> <br />upon 2/3rds vote of the members present at any regular, adjourned or special meeting, <br /> <br />adopt a resolution stating the facts constituting the emergency, thereby making the <br /> <br />expenditure necessary to meet such emergency. All emergency expenditures shall be <br /> <br />paid by warrant or check from any fund properly chargeable therewith and the Director <br /> <br />of Finance is hereby authorized and directed to pay such warrants. <br /> <br />SECTION 6. Budget for General Improvement District No. 1-64. The budget <br /> <br />designated as the budget for General Improvement District No. 1-64, for the Fiscal Year <br /> <br />July 1, 2006 - June 30, 2007, in the Annual Budget referenced in Section 1 hereof, is <br /> <br />hereby adopted. <br /> <br />SECTION 7. <br /> <br />Provision for Interim Expenditures as of July 1, 2006; <br /> <br />Reappropriations. All unencumbered General Fund balances remaining at the close <br /> <br />of the Fiscal Year June 30, 2006, except for those amounts otherwise legally disposed <br /> <br />of, are hereby appropriated to the General Fund program "Resources Held in Reserve." <br /> <br />The Director of Finance is hereby authorized to transfer monies hereby appropriated to <br /> <br />the program resources held in reserve from said program to any other program or <br /> <br />budget item established by Annual Budget referenced in Section 1 hereof, or by this <br /> <br />2006/07 Fiscal Year Budget resolution, for expenditure from such other program or <br /> <br />budget item, without further Council approval for such transfer; provided, however, that <br /> <br />the sum of all expenditures of General Fund monies during Fiscal Year July 1, 2006 - <br /> <br />Atty/Reso/Reso.1632 <br />062806 <br /> <br />14721 <br />Muff # 501 <br /> <br />4 <br />