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BILL NO. 10-26
<br /> ORDINANCE NO.
<br /> AN ORDINANCE OF THE COMMON COUNCIL OF THE CITY OF SOUTH BEND,
<br /> INDIANA,APPROPRIATING ADDITIONAL FUNDS FOR CERTAIN DEPARTMENTAL
<br /> AND CITY SERVICES OPERATIONS FOR THE YEAR 2025 OF $976,000 FROM THE
<br /> GENERAL FUND (#101), $150,000 FROM THE PARKS AND RECREATION FUND (#201),
<br /> $465,000 FROM THE MOTOR VEHICLES HIGHWAY FUND (#202), $500,000 FROM
<br /> THE COMMUNITY INVESTMENT OPERATING FUND (#211), $50,000 FROM THE
<br /> GIFT, DONATION, BEQUEST FUND (#217),$114,300 FROM THE LAW
<br /> ENFORCEMENT CONTINUING EDUCATION FUND (#220), $2,750 FROM THE
<br /> CENTRAL SERVICES FUND (#222), $21,099 FROM THE IT/INNOVATION/311 CALL
<br /> CENTER FUND (#279), $296,600 FROM THE POLICE FEDERAL DRUG
<br /> ENFORCEMENT FUND (#299), $2,150,000 FROM THE LOCAL INCOME TAX—
<br /> ECONOMIC DEVELOPMENT FUND (#408), $1,100,000 FROM THE PROFESSIONAL
<br /> SPORTS CONVENTION DEVELOPMENT AREA FUND (#413), $3,800,000 FROM THE
<br /> WATER WORKS CAPITAL FUND (#622), $20,000 FROM THE SEWAGE WORKS
<br /> OPERATIONS FUND (#641), $600,000 FROM THE STORM SEWER FUND (#667), $71,265
<br /> FROM THE CENTURY CENTER OPERATIONS FUND (#670), AND $5,000 FROM THE
<br /> SELF-FUNDED EMPLOYEE BENEFITS FUND (#711).
<br /> STATEMENT OF PURPOSE AND INTENT
<br /> By Ordinance No. 11229-25 on October 13, 2025, the Common Council adopted the City's
<br /> 2026 operating and capital budgets, which included expenditures for various City operations. It is
<br /> now necessary to appropriate additional funds for operational and capital expenditures necessary for
<br /> the City to affect the provision of services to its residents, which were not anticipated at the time the
<br /> City budget was adopted.
<br /> NOW, THEREFORE, BE IT ORDAINED by the Common Council of the City of South
<br /> Bend, Indiana, as follows:
<br /> Section I. The following amounts are hereby appropriated in fiscal year 2026 and set apart
<br /> within the following designated funds for expenditures as follows:
<br /> Fund Fund Name Amount
<br /> 101 General Fund $976,000
<br /> 201 Parks & Recreation 150,000
<br /> 202 Motor Vehicle Highway 465,000
<br /> 211 Community Investment Operating 500,000
<br /> 217 Gift, Donation,Bequest 50,000
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