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REGULAR MEETING <br />APRIL 8, 2002 <br />Mr. Larry Magliozzi, Planner, Division of Community Development, 12th Floor, County -City <br />Building, South Bend, Indiana, made the presentation for this bill. <br />Mr. Magliozzi advised that a situation concerning this street and these alleys has existed for a <br />number of years ever since Fire Station #4 was built. He noted that this fire station is actually <br />located across a portion of Carlisle Street which was abandoned but never vacated. In an effort to <br />correct this situation and to assist Habitat for Humanity who would like to build on a portion of the <br />property owned by Fire Station #4, this vacation is being proposed. <br />This being the time heretofore set for the Public Hearing on the above bill, proponents and <br />opponents were given an opportunity to be heard. <br />There being no one present wishing to speak to the Council either in favor of or in opposition to this <br />bill, Councilmember Coleman made a motion for favorable recommendation to full Council <br />concerning this bill. Councilmember Varner seconded the motion which carried by a voice vote of <br />eight (8) ayes. <br />BILL NO. 21 -02 PUBLIC HEARING ON A BILL OF THE COMMON <br />COUNCIL OF THE CITY OF SOUTH BEND, INDIANA, <br />AUTHORIZING THE TEMPORARY TRANSFER OF IDLE <br />FUNDS FROM VARIOUS FUNDS WITHIN THE CIVIL <br />CITY OF SOUTH BEND TO THE PARK MAINTENANCE <br />FUND ( #201) <br />Councilmember Coleman reported that the Parks, Recreation, Cultural Arts and Entertainment <br />Committee met on this bill and sends it to the Council with a favorable recommendation. <br />Mr. Bill Carlton, Fiscal Officer, South Bend Parks and Recreation Department, 321 East Walter <br />Street, South Bend, Indiana, made the presentation for this bill. <br />Mr. Carlton informed the Council that this bill authorizes the transfer of up to $2 million throughout <br />the year from Fund #642, #405 and #203 into the Parks and Recreation Operating Fund #201 to <br />maintain a positive cash balance in those funds throughout the year. Mr. Carlton noted that the <br />funds will be returned by the end of the year and will be replenished when they receive their <br />property tax allotments in June and December. <br />This being the time heretofore set for the Public Hearing on the above bill, proponents and <br />opponents were given an opportunity to be heard. <br />There being no one present wishing to speak to the Council either in favor of or in opposition to this <br />bill, Councilmember Coleman made a motion for favorable recommendation to full Council <br />concerning this bill. Councilmember Varner seconded the motion which carried by a voice vote of <br />eight (8) ayes. <br />RISE AND REPORT <br />Councilmember Coleman made motion to rise and report to the full Council. Councilmember <br />Varner seconded the motion which carried by a voice vote of eight (8) ayes. <br />S 7 1 <br />v <br />Lorett da, ity Clerk <br />-2- <br />