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<br />REG.ek 11/17/67 <br /> <br />o R DIN A N C E <br />--------- <br /> <br />N O. <br /> <br />/~~8 <br /> <br />ORDINANCE APPROPRIATING $41,480 FROM BUDGETED RESERVE OF <br />GENERAL FUND, $11,220 FROM WATER FUND, $4,863 FROM SEWER <br />RENTAL FUND, $1,030, $1,430, $465 AND $455 FROM GENERAL <br />IMPROVEMENT DISTRICTS NO. 1-64, NO. 1-65, NO. 2-65 AND <br />NO. 3-65 BOND CONSTRUCTION FUNDS RESPECTIVELY, $134 FROM <br />PARKING DISTRICT NO. 1 REVENUE FUND, $267 FROM CENTRAL <br />BUSINESS DISTRICT METER REVENUE FUND, AND $295 FROM MARINA <br />OPERATING REVENUE FUND: AND, TRANSFERRING $53,425 FROM <br />RESERVE FOR CONTINGENCIES: FOR PURPOSE OF PROVIDING FOR <br />PAYMENT OF SALARIES FOR DESIGNATED CITY DEPARTMENTS AND <br />CITY'S CONTRIBUTION TO STATE EMPLOYEES' RETIREMENT SYSTEM <br /> <br />THE COUNCIL OF REDWOOD CITY DOES ORDAIN AS FOLLOWS: <br /> <br />SECTION 1. (a) The sum of Sixty-one thousand six hundred <br /> <br />thirty-nine dollars ($61,639) is hereby appropriated from the <br /> <br />unappropriated balances of the hereinbelow designated funds in <br /> <br />the amounts set forth: <br /> <br />General Fund, Budgeted Reserve <br /> <br />Sewer Rental Fund <br /> <br />$41,480 <br />$11,220 <br />$4,863 <br /> <br />water Fund <br /> <br />General Improvement District <br />Bond Construction Fund: <br />Reclamation <br />Streets and Highways <br />Sewer <br />Water <br />Park and Recreation <br /> <br />No. 1-64, <br /> <br />$420 <br />370 <br />125 <br />75 <br />40 <br /> <br />$1,030 <br /> <br />General Improvement District No. 1-65, <br />Bond Construction Fund <br /> <br />$1,430 <br /> <br />General Improvement District No. 2-65, <br />Bond Construction Fund <br /> <br />$465 <br /> <br />General Improvement District No. 3-65, <br />Bond Construction Fund <br /> <br />$455 <br /> <br />Parking District No. 1 Revenue Fund <br /> <br />$l34 <br /> <br />Central Business District Meter Revenue <br />Fund <br /> <br />$267 <br />$295 <br /> <br />Marina Operating Revenue Fund <br /> <br />for the purposes and in the amounts set forth in Section 2 hereof. <br /> <br />(b) The sum of fifty-three thousand four hundred twenty-five <br /> <br />dollars ($53,425.00) heretofore appropriated in the municipal budget <br /> <br />for the fiscal year July 1, 1966-June 30, 1967, as a Reserve for <br /> <br />Contingencies, is hereby ordered transferred from the stated <br /> <br />~ <br />\Y) <br />ft) <br />" <br /> <br />T <br />