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<br />Of'): t'. . ""fJ <br />'-'1'/ ~ I , tI <br />t l \.t:;', " , <br />JAN 1 7 '72 <br /> <br />forty-eight dollars ($248) to the appropriation for direct salaries~ <br />the sum of forty-four doJlaas ($44) to the appropriation for other <br /> <br />employee costs to provide for insurance premiums; and, the sum <br /> <br />of twenty dollars ($20) to the appropriation for other employee <br /> <br /> <br />costs to provide for City's contribution to t,he employees' retire- <br /> <br /> <br />ment plan. Said sums shall be for expenditure during the fiscal <br /> <br />year LTuly 1, 1971-June 30, 1972, aLd shalJ be in addit,ion to all <br /> <br />sums appropriated for such purposes during the fiscal year <br /> <br />July 1, 1971-June 30, 1972. <br /> <br />SECTION 6. The following sums are hereby appropriated <br /> <br />from the unappropriated balance of the Central Business District <br /> <br />Meter Revenue Fund to the following designated appropriations <br /> <br />for the Department of the City Treasurer, Parking Facilities <br /> <br />Activity: The sum of two hundred four dollars ($204) to the <br /> <br />appropriati.on for direct salaries: the sum of fifty dollars <br /> <br />($50) to the appropriation for other employee costs to provide <br /> <br />for insurance premiums~ and, the sum of seventeen dollars ($17) <br /> <br /> <br />to the appropriatioi for other employee costs to provide for <br /> <br />City's contribution to the empJoyees' retirement plan. Said sums <br /> <br />shall be for expenditure during the fiscal year July 1, 1971- <br /> <br />June 30, 1972, and shall be in addition to all sums appropriated <br /> <br />for such purposes during the fiscal year July 1, 1971-June 30, <br /> <br />1972. <br /> <br />SECTION 7. This ordinance shall be effective 30 days <br /> <br />after its adoption. <br /> <br />* <br /> <br />* <br /> <br />* <br /> <br />- 4 - <br />