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Ord96 2107
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Ord96 2107
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Last modified
10/11/2019 3:06:46 PM
Creation date
10/11/2019 3:06:46 PM
Metadata
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Template:
CC Index
CC Index - Document Type
Ordinance
Agency Type
City Council
Date
6/3/1996
Description
2107 ORDINANCE APPROPRIATING AMOUNTS FROM UNAPPROPRIATED BALANCES OF CERTAIN SPECIFIED FUNDS TO CERTAIN SPECIFIED APPROPRIATIONS FOR FISCAL YEAR JULY 1, 1995 - JUNE 30, 1996 THE COUNCIL OF REDWOOD CITY DOES ORDAIN AS FOLLOWS: SECTION 1. The following stated amounts are hereby appropriated from the unappropriated balances of the General Fund, Federal Revenue Sharing Fund, Capital Outlay Fund, and Sewer Fund, to the corresponding appropriations hereinafter set forth: From: To Appropriation for: Amount
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DES:dj'' 05/15/96 (036/9) <br /> _ DES: d__ 06/03/96R <br /> <br /> Supplies and Services, Program <br /> for Administrative Support <br /> Services (Finance Department) 25,300.00 <br /> <br /> Employee Costs, Program <br /> for Administrative Support <br /> Services (Finance Department) 53,337.00 <br /> <br /> Supplies and Services, Program <br /> for Law Enforcement, Sub- <br /> program - Administration <br /> (Police Department) 25,000.00 <br /> <br /> Supplies and Services, Program <br /> for Engineering Services, Sub- <br /> program - Subdivision Engineering <br /> (Community Development <br /> Department) 60,000.00 <br /> <br /> Capital Expenditures, <br /> Appropriation for New <br /> City Hall Project 600,000.00 <br /> <br />Unappropriated balance, Capital Expenditures, <br />Internal Services Fund Appropriation for New <br /> City Hall Project 542,000.00 <br /> <br />Unappropriated balance, Housing Rehabilitation <br />Federal Revenue Sharing Loan Program Administration <br />Fund (Community Development <br /> Department) 161,895.00 <br /> <br />Unappropriated balance, Capital Expenditures, <br />Capital Outlay Fund Appropriation for Shannon <br /> Way Park Improvements 125,000.00 <br /> <br />Unappropriated balance, Capital Expenditures, <br />Sewer Fund Program for Utilities <br /> Operation and Maintenance, <br /> Subprogram - Sanitary <br /> Sewer Maintenance (Public <br /> Works Services Department) 850,000.00 <br /> <br /> TOTAL APPROPRIATED: $3,014,965.00 <br /> <br /> <br />
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