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DES:dft 6/17/94 (003/12) <br /> --~ /21/94R <br /> ~/27/94R <br /> <br />g. Unappropriated Balance, Capital Expenditures (Redwood <br /> Capital Outlay Fund Shores Community Center) 800,000.00 <br /> <br />h. Unappropriated Balance, Capital Expenditures <br /> Capital Outlay Fund (Red Morton Center) 500,000.00 <br /> <br />i. Unappropriated Balance, Capital Expenditures (Storm <br /> General Improvement District, Drainage Projects) 43,000.00 <br /> 1-65 Construction Fund <br /> <br />j. Unappropriated Balance, Capital Expenditures <br /> General Fund (Canyon Road Renovation <br /> Project) 147,000.00 <br /> <br />k. Unappropriated Balance, Maintenance/Operation Seaport Centre Maintenance expenditures for levee <br /> District Fund repairs and rehabilitation 160,000.00 <br /> <br /> $2,024,000.00 <br /> <br /> SECTION 2. The foregoing sums transferred or appropriated <br /> for the purposes hereinabove specified are for expenditure during <br /> the fiscal year July 1, 1993 - June 30, 1994, and shall be in <br /> addition to all sums appropriated for such purposes during such <br /> fiscal year. <br /> <br /> SECTION 3. This ordinance shall be effective thirty (30) <br /> days after its adoption; provided, that it shall be operative <br /> retroactively from and after its date of adoption. <br /> <br /> <br />