REGULAR MEETING March 25, 2019
<br /> Councilmember John Voorde explained the procedures to be followed for tonight's meeting in
<br /> accordance with Article 1, Section 2-11 of the South Bend Municipal Code.
<br /> PUBLIC HEARINGS
<br /> Councilmember Karen White made a motion to hear together, for purposes of public hearing, Bill
<br /> Nos. 07-19, 08-19, and 09-19. Councilmember Gavin Ferlic seconded this motion which carried
<br /> by a voice vote of eight (8) ayes.
<br /> BILL NO.
<br /> 07-19 PUBLIC HEARING ON AN ORDINANCE OF
<br /> THE COMMON COUNCIL OF THE CITY OF
<br /> SOUTH BEND, INDIANA, FOR BUDGET
<br /> TRANSFERS FOR VARIOUS DEPARTMENTS
<br /> WITHIN THE CITY OF SOUTH BEND,
<br /> INDIANA FOR THE YEAR 2019
<br /> 08-19 PUBLIC HEARING ON AN ORDINANCE OF
<br /> THE COMMON COUNCIL OF THE CITY OF
<br /> SOUTH BEND, INDIANA, APPROPRIATING
<br /> ADDITIONAL FUNDS FOR CERTAIN
<br /> DEPARTMENTAL AND CITY SERVICES
<br /> OPERATIONS IN 2019 OF $25,000 FROM
<br /> GENERAL FUND (#101), $3,469 FROM
<br /> STUDEBAKER-OLIVER REVITALIZATION
<br /> GRANT FUND (#209), $672,857 FROM
<br /> ECONOMIC DEVELOPMENT STATE GRANT
<br /> (#210), $2,300,000 FROM DCI FEDERAL
<br /> GRANT FUND (#212), $200,000 FROM
<br /> LIABILITY INSURANCE PREMIUM RESERVE
<br /> FUND (#226), $160,000 FROM LOCAL ROAD &
<br /> STREET (#251), $85,580 FROM
<br /> IT/INNOVATION/311 CALL CENTER(#279),
<br /> $24,945 FROM INDIANA RIVER RESCUE
<br /> (#291), $2,518 FROM COVELESKI BOND DEBT
<br /> SERVICE RESERVE (#317), $251,475 FROM
<br /> COUNTY OPTION INCOME TAX (#404),
<br /> $32,500 FROM ECONOMIC DEVELOPMENT
<br /> INCOME TAX(#408), $670,001 FROM MAJOR
<br /> MOVES CONSTRUCTION (#412), $5,117,411
<br /> FROM 2018 TIF PARKS BOND CAPITAL
<br /> (#452), $500,000 FROM 2017 PARKS BOND
<br /> CAPITAL (#471), AND $415,500 FROM 2015
<br /> PARKS BOND CAPITAL (#751).
<br /> 09-19 PUBLIC HEARING ON AN ORDINANCE OF
<br /> THE COMMON COUNCIL OF THE CITY OF
<br /> SOUTH BEND, INDIANA, APPROPRIATING
<br /> ADDITIONAL FUNDS FOR CERTAIN
<br /> DEPARTMENTAL AND ENTERPRISE
<br /> OPERATIONS IN 2019 OF $200,000 FROM
<br /> CONSOLIDATED BUILDING FUND (#600),
<br /> $1,715,669 FROM WATER WORKS DEBT
<br /> SERVICE (#625), AND ($600,000) FROM
<br /> STORM SEWER FUND (#667).
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