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. ,•. <br />SECTION I. That the amount of $1,928,343 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />General Fund (Fund # 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 $127,145 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Cumulative Capital Development Fund (Fund # 406), 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 III. That the amount of $140,000 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Cumulative Capital Improvement Fund (Fund # 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 IV. That the amount of $1,648,676 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Economic Development Income Tax Fund (Fund # 408), 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 $797,000 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />County Option Income Tax Fund (Fund # 404), 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 VI. That the amount of $343,500 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Emergency Medical Services Capital Fund (Fund # 288), 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 VII. That the amount of $595,300 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Parks and Recreation Fund (Fund # 201) , as set forth below, for the <br />payment of the expenses described above, and in accordance with the <br />detail attached as Exhibit A. <br />SECTION VIII. That the amount of $202,766 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Parks Non-Reverting Capital Fund (New Fund), as set forth below, <br />for the payment of the expenses described above, and in accordance <br />with the detail attached as Exhibit A. <br />SECTION IX. That the amount of $2,356,000 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Local Roads and Street Fund (Fund # 251), 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 X. That the amount of $111,300 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Building Department Fund (Fund # 600), as set forth below, for the <br />payment of the expenses described above, and in accordance with the <br />detail attached as Exhibit A. <br />SECTION XI. That the amount of $26,765 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Solid Waste Depreciation Fund (Fund # 611) , as set forth below, for <br />the payment of the expenses described above, as in accordance with <br />the detail attached as Exhibit A. <br />SECTION XII. That the amount of $1,631,111 shall be and <br />hereby is appropriated in 1998 and ordered set apart within the <br />Water Works Depreciation Fund (Fund # 622) , 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 />