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<br />~, ~] " (". ,~ r,o ~ f"l.. L <br />UHn':li i-.;:,i <br />JAJ/ 17 72 <br /> <br />SECTION 3. The following sums are hereby appropriated <br /> <br />from the unappropriated balance of the Sewer Fund to the <br /> <br />following designated appropriations for the Department of <br /> <br />Public Works, Sanitary Sewers Activity: The sum of three <br /> <br />thousand five hundred forty-nine dollars ($3,549) to the appro- <br /> <br />priation for direct sa1aries~ the sum of six hundred ninety-six <br /> <br />dollars ($696) to the appropriation for other employee costs <br /> <br />to provide for insurance premiums: and, the sum of two hundred <br /> <br />seventy-.eight dollars ($278) to the appropriation for other <br /> <br />employee costs to provide for City's contribution to the employees' <br /> <br />retirement plan. Said sums shall be for expenditure during the <br /> <br />fiscal year July 1, 1971-June 30, 1972, and shall be in addition <br /> <br />to all sums appropriated for such purposes during the fiscal <br /> <br />year July 1, 1971-June 30, 1972. <br /> <br />SECTION 4. The following sums are hereby appropriated <br /> <br />from the unappropriated balance of the Library Fund to the <br />following designated appropriations for the Library Department: <br /> <br />The sum of five thousand one hundred eleven dollars ($5,111) <br /> <br />to the appropriation for direct salaries; the sum of nine hundred <br /> <br />seventy-five dollars. ($975) to the appropriation for other <br /> <br />employee costs to provide for insurance premiums: and, the sum <br /> <br />of four hundred thirty-three dollars ($433) to the appropriation <br /> <br />for other employee costs to provide for City's contribution to <br /> <br />the employees' retirement plan. Said sums shall be for expendi- <br /> <br />ture during the fiscal year July 1, 1971-June 30, 1972, and shall <br /> <br />be in addition to all sums appropriated for such purposes during <br /> <br />the fiscal year July 1, 1971-June 30, 1972. <br /> <br />SECTION 5. The following sums are hereby appropriated <br /> <br />from the unappropriated balance of the Harina Revenue F'llnd to <br /> <br />the foll owing designated appropriations for the Recreation <br /> <br />Department, Municipal Marina Activity: The sum of two h\mdred <br /> <br />- 3 - <br /> <br />r <br />