ORDINANCE NO. l ~~~' ~~
<br />AN ORDINANCE OF THE COMMON COUNCIL OF THE CITY OF SOUTH BEND,
<br />INDIANA, APPROPRIATING ADDITIONAL FUNDS FOR CERTAIN
<br />DEPARTMENTAL AND CITY SERVICES OPERATIONS IN 2010 INCLUDING
<br />$156,000 FROM RECREATION-NONREVERTING FUND (#203), $22,100 FROM
<br />CENTRAL SERVICES FUND (#222), $170,000 FROM LOSS RECOVERY FUND
<br />(#227), $4,000 FROM EAST RACE WATERWAY FUND (#271), $1,191,779 FROM
<br />EMS/FIRE CAPITAL IMPROVEMENTS FUND (#288), $135,000 FROM
<br />PROFESSIONAL SPORTS DEVELOPMENT FUND (#377), $32,200 FROM
<br />COVELESKI STADIUM CAPITAL FUND (#401), $281,150 FROM PARKS-
<br />NONREVERTING CAPITAL FUND (#405), $32,775 FROM CONSOLIDATED
<br />BUILDING DEPARTMENT FUND (#600), $639,500 FROM WATER WORKS
<br />CAPITAL FUND (#622), $758,950 FROM SEWAGE WORKS CAPITAL FUND
<br />(#642) , $58,200 FROM PROJECT RELEAF FUND (#655), AND $552,450 FROM
<br />CENTURY CENTER FUND (#670)
<br />STATEMENT OF PURPOSE AND INTENT
<br />The Common Council passed the City's 2010 budget on September 28, 2009
<br />which included expenditures for various City operations. It is now necessary to
<br />appropriate additional funds for capital and other non-personnel expenditures necessary
<br />for the City's effective provision of services to its citizens which were not included when
<br />the City's 2010 operating budget was adopted.
<br />NOW, THEREFORE, BE IT ORDAINED by the Common Council of the City of
<br />South Fend, Indiana, as follows:
<br />Section I. The following amounts are hereby appropriated in fiscal year 2010 and
<br />set apart within the following designated funds for expenditures as follows:
<br />Fund Amount
<br />Recreation-Nonreverting (#203) 156,000
<br />~.~entral Services (#222) 22,100
<br />i.oss Recovery (#227) 170,000
<br />East Race Waterway (#271) 4,000
<br />EMS/Fire Capital Improvements (#288) 1,191,779
<br />roi~essional Sports Development (#377) 135,000
<br />Coveleski Stadium Capital (#401) 32,200
<br />Parks-Nonreverting Capital (#405) 281,150
<br />Consolidated Building Department (#600) 32,775
<br />Water Works Capital (#622) 639,500
<br />Sewage Works Capital (#642) 758,950
<br />Project Releaf (#655) 58,200
<br />century Center (#670) 552,450
<br />T ota12010 Additional Appropriation $4.034,104
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