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Appropriating Funds Capital Expenditures
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Appropriating Funds Capital Expenditures
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Last modified
9/14/2012 3:28:17 PM
Creation date
9/14/2012 3:28:13 PM
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City Council - City Clerk
City Council - Document Type
Ordinances
City Counci - Date
2/26/1996
Ord-Res Number
8661-96
Bill Number
11-96
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LOCAL ROADS AND STREET FUND (FUND NO. : 251) 1, 445, 000 <br /> ECONOMIC DEVELOPMENT INCOME TAX FUND 719, 000 <br /> (Fund No. : 408) <br /> NOW, THEREFORE, BE IT ORDAINED BY THE COMMON COUNCIL OF THE <br /> CITY OF SOUTH BEND, INDIANA, AS FOLLOWS: <br /> SECTION I . That the amount of $1, 338, 618 shall be and <br /> hereby is appropriated in 1996 and ordered set apart within the <br /> General Fund (Fund No.101) , as set forth below, for the payment of <br /> the expenses described above, and in accordance with the detail <br /> attached as Exhibit A. <br /> SECTION II . That the amount of $1, 400, 000 shall be and <br /> hereby is appropriated in 1996 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 $692, 240 shall be and <br /> hereby is appropriated in 1996 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 $150, 000 shall be and <br /> hereby is appropriated in 1996 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 $187, 500 shall be and <br /> hereby is appropriated in 1996 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 $27, 000 shall be and <br /> hereby is appropriated in 1996 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 $291, 500 shall be and <br /> hereby is appropriated in 1996 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 $903, 000 shall be and <br /> hereby is appropriated in 1996 and ordered set apart within the <br /> Water Works Depreciation Fund (Fund No. 622) , as set forth below, <br />
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