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ORDINANCE NO. <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 2018 OF $269,500 <br /> FROM THE GENERAL FUND (#101), $850,000 FROM RECREATION <br /> NONREVERTING (#203), $50,000 FROM GIFT/DONATION/BEQUEST FUND <br /> (#217), $37,000 FROM LAW ENFORCEMENT CONTINUING EDUCATION (#220), <br /> $608,836 FROM CENTRAL SERVICES (#222), $708,000 FROM LIABILITY <br /> INSURANCE PREMIUM RESERVE (#226), $254,000 FROM LOIT 2016 SPECIAL <br /> DISTRIBUTION (#257), $9,100 FROM HUMAN RIGHTS FEDERAL GRANT (#258), <br /> $30,500 FROM LOCAL ROAD & BRIDGE GRANT (#265), $20,000 FROM TAKE <br /> HOME VEHICLE POLICE (#278), $393,400 FROM IT/INNOVATION/311 CALL <br /> CENTER(#279), $26 FROM ECONOMIC REVENUE BOND (#281), $21,735 FROM <br /> POLICE GRANTS (#292), $2,000 FROM AIRPORT 2003 DEBT RESERVE (#315), <br /> $10,000 FROM SBCDA 2003 DEBT RESERVE(#328), $1,050,000 FROM COIT <br /> (#404), $130,000 FROM PARK NONREVERTING CAPITAL(#405), $116,202 FROM <br /> CUMULATIVE CAPITAL DEVELOPMENT (#406), $783,670 FROM EDIT(#408), <br /> $665,817 FROM EQUIPMENT/VEHICLE LEASING(#750), $64,421 FROM SOUTH <br /> BEND REDEVELOPMENT AUTHORITY (#752), AND ($22,974,385) FROM EDDY <br /> STREET COMMONS CAPITAL (#759). <br /> Filed in Clerk's Office <br /> STATEMENT OF PURPOSE AND INTENT NOV 19 2018 <br /> KAREEMAH FOWLER <br /> The Common Council passed the City's 2018 operating and cw t hagE sgbtUTH BEND,IN <br /> 2017 (Ordinance#10499-17 passed on October 23, 2017), which inclRpenditures�`"" <br /> for various City operations. It is now necessary to appropriate additional funds for <br /> operational and capital expenditures necessary for the City to effect provision of services <br /> to its citizens which were not anticipated at the time the City budget was adopted. <br /> NOW, THEREFORE, BE IT ORDAINED by the Common Council of the City of <br /> South Bend, Indiana, as follows: <br /> Section I. The following amounts are hereby appropriated in fiscal year 2018 and <br /> set apart within the following designated funds for expenditures as follows: <br /> FUND Amount <br /> General Fund(#101) $269,500 <br /> Recreation Nonreverting (#203) 850,000 <br /> Gift, Donation, Bequest Fund (#217) 50,000 <br /> Law Enforcement Continuing Education(#220) 37,000 <br /> Central Services (#222) 608,836 <br /> Liability Insurance Premium Reserve(#226) 708,000 <br />