HomeMy WebLinkAboutAppropriaitng Monies defraying the expenses designated enterprise funds 1993 ORDINANCE No. 8319-92
Passed by the Common Council of the City of South Bend, Indiana
November 23, 92
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Attest: `�""� �� �� City Clerk
IRENE K. GAMMON
Attest: / _� ; President of Common Council
Presented by me to the Mayor of the City of South Bend, Indiana—
November 24, 92
19
City Clerk
IRENE K. GAMMON
Approved and signed by me - 19 Cl),
°"Y�`- Mayor
nRDINANCE NO. gam/f'--R g
AN ORDINANCE OF THE COMMON COUNCIL OF THE
CITY OF SOUTH BEND APPROPRIATING MONIES FOR THE PURPOSE
OF DEFRAYING THE EXPENSES OF THE DESIGNATED ENTERPRISE FUNDS
OF THE CITY OF SOUTH BEND, INDIANA, FOR THE FISCAL YEAR
BEGINNING JANUARY 1, 1993, AND ENDING DECEMBER 31, 1993,
INCLUDING ALL OUTSTANDING CLAIMS AND OBLIGATIONS, AND
FIXING A TIME WHEN THE SAME SHALL TAKE EFFECT
STATEMENT OF PURPOSE AND INTENT
It is necessary to pass this Ordinance in order to appropriate
monies to defray the expenses of designated Enterprise Funds of the
City of South Bend, Indiana for 1993.
NOW, THEREFORE, BE IT ORDAINED BY THE COMMON COUNCIL OF THE CITY
OF SOUTH BEND, INDIANA, AS FOLLOWS:
SECTION I. For the expenses of designated Enterprise Funds of
the City of South Bend, Indiana, its various departments, funds,
commissions and institutions for the fiscal year ending December 31,
1993, the following sums of money, as set forth in the attached
budget which is made a part hereof, are hereby appropriated and
ordered set apart within the funds hereinafter named in Section II,
and for the purposes hereinafter specified in Section II, subject to
the laws governing the same. The sums herein appropriated shall be
deemed to include all expenditures authorized to be made in said
year, unless otherwise expressly stipulated or provided by law.
SECTION II. For the fiscal year ending December 31, 1993, the
above appropriations are made within the following funds of the City:
Solid Waste Operations Fund
Solid Waste Depreciation Fund
Water Works General Fund
Water Works Depreciation Fund
Water Works Sinking Fund
South Bend/Clay Water General Operation Fund
South. Bend/Clay Water Sinking Fund
Sewage Works General Fund
Sewer Works Depreciation Fund
Sewage Works Sinking Fund
South Bend/Clay Sewage Works General Fund
South Bend/Clay Wastewater Sinking Fund
Sewage Repair Fund
Parking Garage Fund
SECTION III . This Ordinance shall be in full force and effect
from and after its passage by the Common Council and approval by
the Mayor.
Member of t SICommon Council
/SpUTH 4\\■1‘
City of South Bend
Illl, � 1865 ',4}2/ Joseph E. Kernan, Mayor
Department of Administration and Finance
Kevin C. Horton
November 2, 1992
Mr. Steve Luecke
South Bend Common Council
4th Floor, County-City Building
South Bend, IN 46601
RE: An Ordinance Appropriating Monies to Defray
Expenses of the City' s Enterprise Funds
Dear Mr. Luecke:
I am attaching for filing an ordinance appropriating monies in
order to meet the 1993 expenses of the City' s Enterprise Funds. The
ordinance is identical to the enterprise fund appropriation ordinance
the Council approved last year and in previous years, and is self
explanatory.
Please feel free to call if you have questions. We respectfully
request the Council' s favorable action.
Sincerely,
Kevin C. Horton
Controller
Attachment
KCH/jl
LLM2/1LUECKE
County-City Building • South Bend, Indiana 46601 • 219/284-9742 Fax 219/284-9892
Catherine A. Hubbard John D. Leisenring C. J. Cowsert
Personnel Director Chief Deputy Controller Safety & Risk Manager
284-9124 284-9483 284-9482
Mottuttittrt Irpnrt
too tie Common &until of t17r Ong of South glib:
Your Committee of the Whole
to whom was referred
BILL NO.
94-92 SECOND READING ON A BILL OF THE COMMON COUNCIL OF THE
CITY OF SOUTH BEND APPROPRIATING MONIES FOR THE PURPOSE
OF DEFRAYING THE EXPENSES OF THE DESIGNATED ENTERPRISE
FUNDS OF THE CITY OF SOUTH BEND, INDIANA, FOR THE
FISCAL YEAR BEGINNING JANUARY 1, 1993, AND ENDING
DECEMBER 31, 1993, INCLUDING ALL OUTSTANDING CLAIMS AND
OBLIGATIONS, AND FIXING A TIME WHEN THE SAME SHALL TAKE
EFFECT.
Respectfully report that they have examined the matter and that in their opinion
This bill should be recommended to the Council favorable/ as amended, as
follows:
1. Revised pages 2-10 through 2-12 on Water Works Budget.
These pages are included with the budget book, which is a
part of this bill.
2. Revised pages 4-2, 4-3, 4-5 of the Solid Waste Budget.
These pages are included with the budget book, which is a
part of this bill.
3. Reserved further action on Century Center - 8-2 through 8-7.
Chairman
Ann Puzzello