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REGULAR MEETING MARCH 13, 2006 <br />This being the time heretofore set for the Public Hearing on the above bill, proponents <br />and 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 <br />opposition to this bill, Councilmember Puzzello made a motion for favorable <br />recommendation to full Council concerning this bill. Councilmember Dieter seconded <br />the motion which carried by a voice vote of eight (8) ayes. <br />RISE AND REPORT <br />Councilmember Varner made a motion to rise and report to the full Council. <br />Councilmember Dieter seconded the motion which carried by voice vote of eight (8) <br />ayes. <br />ATTEST: ATTEST: <br />_________________________ _________________________ <br />John Voorde, City Clerk Karen L. White, Chairperson <br /> Committee of the Whole <br />REGULAR MEETING RECONVENED <br />Be it remembered that the Common Council of the City of South Bend reconvened in the <br />Council Chambers on the fourth floor of the County-City Building at 7:45 p.m. Council <br />President Timothy A. Rouse presided with eight (8) members present. <br />BILLS, THIRD READING <br />ORDINANCE NO. 9657-06 AN ORDINANCE OF THE COMMON COUNCIL <br /> OF THE CITY OF SOUTH BEND, INDIANA, <br /> APPROPRIATING FUNDS FOR CAPITAL <br /> EXPENDITURES FOR THE FISCAL YEAR <br /> 2006, INCLUDING $6,000,000 FROM THE <br /> GENERAL FUND, $1,000,000 FROM THE <br /> CUMULATIVE CAPITAL DEVELOPMENT <br /> FUND, $200,000 CUMULATIVE CAPITAL <br /> IMPROVEMENT FUND, $927,800 <br /> EMERGENCY MEDICAL SERVICES, <br /> $3,592,000 FROM THE COUNTY OPTION <br /> INCOME TAX FUND, $250,000 FROM <br /> THE ECONOMIC DEVELOPMENT INCOME <br /> TAX FUND, $100,000 MORRIS PERFORMING <br /> ARTS CENTER, $300,000 FROM THE PARKS <br /> AND RECREATION FUND, $300,000 FROM <br /> THE PARKS NON-REVERTING CAPITAL <br /> FUND, $200,000 FROM THE PARK <br /> RECREATION NON-REVERTING FUND <br /> $32,000 FROM THE EAST RACE WATERWAY <br /> FUND, $3,146,000 FROM THE LOCAL ROADS <br /> AND STREETS FUND, $40,400 <br /> CONSOLIDATED BUILDING FUND, $1,696,438 <br /> FROM THE WATER WORKS DEPRECIATION <br /> FUND, AND $5,249,573 FROM THE SEWAGE <br /> WORKS DEPRECIATION FUND <br />This bill had third reading. Councilmember Varner made a motion to amend this <br />substitute bill as it was in the Committee of the Whole.Councilmember Dieter seconded <br />8 <br /> <br />