REGULAR MEETING
<br />BILL NO.
<br />$ram
<br />December 9, 2019
<br />THIRD READING 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 />Councilmember John Voorde made a motion to adopt Bill No. 56-19. The motion was seconded
<br />by Councilmember Karen White and carried with a voice vote of eight (8) ayes.
<br />57-19
<br />THIRD READING 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 $486,290 FROM
<br />GENERAL FUND (#101), $410,000 FROM
<br />PARKS & RECREATION FUND (#201), $25,000
<br />FROM GIFT, DONATION, BEQUEST FUND
<br />(#217), $300,000 FROM CENTRAL SERVICES
<br />FUND (#222), $316,115 FROM LIABILITY
<br />INSURANCE PREMIUM RESERVE FUND
<br />(#226), $55,710 FROM HUMAN RIGHTS
<br />FEDERAL GRANT FUND (#258), $1,100,000
<br />FROM LOCAL ROAD & BRIDGE GRANT
<br />(#265), $700,000 FROM IT / INNOVATION / 311
<br />CALL CENTER FUND (#279), $93,350 FROM
<br />COPS MORE GRANT FUND (#295), $217,026
<br />FROM COUNTY OPTION INCOME TAX FUND
<br />(#404), $7,156 FROM CUMULATIVE CAPITAL
<br />DEVELOPMENT (#406), $6,053,801 FROM 2017
<br />PARK BOND CAPITAL FUND (#271), $70,000
<br />FROM POLICE PENSION FUND (#702),
<br />$1,020,000 FROM SELF -FUNDED HEALTH
<br />INSURANCE FUND (#711), $40,000 FROM
<br />PARENTAL LEAVE FUND (#714), $618,846
<br />FROM EQUIPMENT / VEHICLE LEASING
<br />FUND (#750), AND $650 FROM SMART
<br />STREETS DEBT SERVICE FUND (#756).
<br />Councilmember Tim Scott made a motion to adopt Bill No. 57-19. The motion was seconded by
<br />Councilmember John Voorde and carried with a voice vote of eight (8) ayes.
<br />58-19 THIRD READING 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 $150,000 FROM EMS
<br />CAPITAL FUND (#287), $75,000 FROM EMS
<br />OPERATING FUND (#288), $100,000 FROM
<br />CONSOLIDATED BUILDING FUND (#600),
<br />$194,560 FROM SOLID WASTE OPERATIONS
<br />FUND (#610), $15,000 FROM WATER WORKS
<br />CUSTOMER DEPOSIT FUND (#624), $16,520
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