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<br />the expenses described above, and in accordance with the detail
<br />attached as Exhibit A.
<br />SECTION II. That the amount of $1,300,639 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Parks and Recreation Fund (Fund No.201), as set forth below, for
<br />the payment of the expenses described above, and in accordance with
<br />the detail attached as Exhibit A.
<br />SECTION III. That the amount of $700,000 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Cumulative Capital Development Fund (Fund No. 201), as set forth
<br />below, for the payment of the expenses described above, and in
<br />accordance with the detail attached as Exhibit A.
<br />SECTION IV. That the amount of $135,000 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Cumulative Capital Improvement Fund (Fund No.: 407), as set forth
<br />below, for the payment of the expenses described above, and in
<br />accordance with the detail attached as Exhibit A.
<br />SECTION V. That the amount of $280,591 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Emergency Medical Services Capital Fund (Fund No.: 288), as set
<br />forth below, for the payment of the expenses described above, and
<br />in accordance with the detail attached as Exhibit A.
<br />SECTION VI. That the amount of $60,000 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Building Department Fund (Fund No. 600), as set forth below, for
<br />the payment of the expenses described above, and in accordance with
<br />the detail attached as Exhibit A.
<br />SECTION VII. That the amount of $155,500 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Solid Waste Depreciation Fund (Fund No. 611), as set forth below,
<br />for the payment of the expenses described above, as in accorance
<br />with the detail attached as Exhibit A.
<br />SECTION VIII. That the amount of $1,732,500 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Water Works Depreciation Fund (Fund No. 622), as set forth below,
<br />for the payment of the expenses described above, and in accordance
<br />with the detail attached as Exhibit A.
<br />SECTION IX. That the amount of $7,626,714 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Sewage Works Depreciation Fund (Fund No. 642), as set forth below,
<br />for the payment of the expenses described above, and in accordance
<br />with the detail attached as Exhibit A.
<br />SECTION X. That the amount of $1,587,000 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Local Roads and Street Fund (Fund No. 251) , as set forth below, for
<br />the payment of the expenses described above, and in accordance with
<br />the detail attached as Exhibit A.
<br />SECTION XI. That the amount of $1,057,240 shall be and
<br />hereby is appropriated in 1997 and ordered set apart within the
<br />Economic Development Income Tax Fund (Fund No. 408), as set forth
<br />below, for the payment of the expenses described above, and in
<br />accordance with the detail attached as Exhibit A.
<br />SECTION XII. If any one or more of the provisions
<br />contained in this ordinance shall for any reason be held to be
<br />invalid, illegal, or unenforceable in any respect, such invalidity,
<br />illegality or unenforceability shall not affect any other provision
<br />hereof', and this ordinance shall be construed as if such invalid,
<br />illegal or unenforceable provision was not contained therein.
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