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Ord71 1484
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Ord71 1484
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Last modified
12/2/2008 11:59:30 AM
Creation date
11/6/2006 2:58:50 PM
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Template:
CC Index
CC Index - Document Type
Ordinance
Date
2/22/1971
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<br />for other employee costs of the Department of Public Works, Sewage <br /> <br /> <br />Treatment Plant Activity, to provide for city's contribution to <br /> <br /> <br />the employees' retirement plan. Said sums shall be for expendi- <br /> <br /> <br />ture during the fiscal year July 1, 1970-June 30, 1971, and <br /> <br /> <br />shall be in addition to all sums appropriated for such purposes <br /> <br /> <br />during the fiscal year July 1, 1970-June 30, 1971. <br /> <br />SECTION 4. The sum of four hundred dollars ($400) is <br /> <br />hereby appropriated from the unappropriated balance of the <br /> <br />Marina Revenue Fund to the appropriation for direct salaries <br /> <br /> <br />of the Recreation Department, Municipal Marina Activity, to <br />provide for the paYment of salaries, and the sum of thirty-eight <br />dollars ($38) is hereby appropriated from the unappropriated <br />balance of the Marina Revenue Fund to the appropriation for <br />other employee costs of the Recreation Department, Municipal <br />Marina Activity, to provide for City's contribution to the <br />employees' retirement plan. Said sums shall be for e~~enditure <br />during the fiscal year July 1, 1970-June 30, 1971, and shall be <br />in addition to all sums appropriated for such purposes during <br />the fiscal year July 1, 1970-June 30, 1971. <br />SECTION 5. The sum of nine thousand dollars ($9,000) is <br />hereby appropriated from the unappropriated balance of the <br />Library Fund to the appropriation for direct salaries of the <br />Library Department to provide for the payment of salaries. <br />Said sum shall be for expenditure during the fiscal year July 1, <br />1970-June 30, 1971, and shall be in addition to all sums appro- <br />priated for such purposes during the fiscal year July 1, 1970- <br />June 30, 1971. <br />SECTION 6. 1~e sum of one hundred eighty-three dollars <br />($183) is hereby appropriated from the unappropriated balance of <br />the Central Business District Meter Revenue Fund to the appro- <br />priation for di~ect salaries of the Department of the City <br /> <br />- 3 - <br /> <br />r <br />
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