Laserfiche WebLink
ORDINANCE NO. 6526 -78 <br />AN ORDINANCE TRANSFERRING THE SUM OF $89,000.00 <br />FROM VARIOUS ACCOUNTS TO VARIOUS ACCOUNTS WITHIN <br />THE BUDGET OF THE BUREAU OF WASTEWATER OF THE <br />SEWAGE WORKS GENERAL FUND OF THE CITY OF SOUTH <br />BEND, INDIANA. <br />STATEMENT OF PURPOSE AND INTENT: <br />In that certain extraordinary conditions have developed <br />since the adoption of the existing budget for the Bureau of Waste- <br />water, it is now necessary to appropriate more money than was <br />appropriated in the original budget for various functions of that <br />Department to meet such extraordinary conditions; and <br />In that additional funds are needed for various accounts <br />within the Bureau of Wastewater to assure the Department's ability <br />to properly perform its functions; and in that a surplus exists in <br />other various accounts of said Department's budget which is not <br />presently needed. <br />NOW, THEREFORE, BE IT ORDAINED BY THE COMMON COUNCIL OF <br />THE CITY OF SOUTH BEND, INDIANA, AS FOLLOWS: <br />SECTION I. That the sum of $89,000.00 be transferred <br />between various accounts as set forth below: <br />REDUCE THE FOLLOWING ACCOUNTS <br />ACCOUNT <br />DESCRIPTION <br />AMOUNT <br />110.0 <br />Salaries & Wages Regular <br />$76,500.00 <br />350.0 <br />Chemicals <br />12,500.00 <br />TOTAL REDUCTION <br />$89,000.00 <br />INCREASE THE FOLLOWING ACCOUNTS <br />ACCOUNT <br />DESCRIPTION <br />AMOUNT <br />130.0 <br />Extra and Overtime <br />$57,000.00 <br />312.0 <br />Fuel Oil <br />18,000.00 <br />340.0 <br />OSHA <br />1,500.00 <br />370.0 <br />Other Supplies <br />1,500.00 <br />430.0 <br />Repair Parts <br />6,000.00 <br />510.0 <br />Insurance <br />5,000.00 <br />TOTAL ACCOUNT INCREASES <br />$89,000.00 <br />SECTION II This ordinance shall be in full force and <br />effect from and after its passage by the Common Council and its <br />approval by the Mayor. <br />Me r t e Co Cui <br />Passed, as amended, December 11, 1978 <br />