My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
Resolution 5706
>
Resolutions
>
Resolution 5706
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
1/19/2017 9:51:15 AM
Creation date
1/19/2017 9:51:14 AM
Metadata
Fields
Template:
Resolutions
Resolution Number
5706
Date
11/30/2005
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
Page 1 of 1
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
001 .1 <br /> RESOLUTION NO. 5706 <br /> Be it Resolved by the City Council of the City of Everett: <br /> That the claims against the City of Everett for the period November 12th, 2005 <br /> through November 18th, 2005 having been audited and approved, have been paid and the <br /> disbursements have been made against the proper funds in payment thereof, as follows: <br /> Fund Department Amount Fund Department Amount <br /> 001 City Council 555.67 151 Fund for Animals 360.29 <br /> 002 General Govt 65,746.62 152 Cum Reserve-Library 249.11 <br /> 003 Legal 46,794.40 153 Emergency Med Svc 16,752.93 <br /> 004 Administration 10,692.09 156 Criminal Justice 140,924.15 <br /> 005 Municipal Court 3,047.09 157 Traffic Mitigation 845.49 <br /> 007 Human Resources 1,891.90 161 Public Safety Reserve 115.05 <br /> 009 Misc Financial Funds 60,248.58 162 Capital Projects Reserve 2,010.39 <br /> 010 Finance 8,792.20 197 CHIP Loan Program 27,194.56 <br /> 021 Planning/Community De' 2,591.14 198 Community Dev Block Grants 56,786.10 <br /> 022 Neighborhoods 1,046.29 303 PW Improvement Projects 22,285.97 <br /> 024 Public Works-Eng 10,728.58 339 Water& Sewer System Imp 750,006.39 <br /> 026 Animal Shelter 1,932.34 342 City Facilities Construction 489.69 <br /> 027 Senior Center 943.53 354 Parks Capital Construction 706.05 <br /> 031 Police 15,449.59 396 SR527 Improvements Prj 22,498.31 <br /> 032 Fire 11,541.28 401 Utilities-Water& Sewer 87,310.78 <br /> 038 Facilities/Maintenance 4,096.42 402 Solid Waste Utility 1,167.33 <br /> 425 Transit 40,086.32 <br /> TOTAL GENERAL FUND 246,097.72 440 Golf 4,121.31 <br /> 501 Transportation Svcs-MVD 43,044.47 <br /> 101 Parks & Recreation 41,567.47 503 Workers' Comp Self Ins 46,459.44 <br /> 110 Library 43,243.15 505 Computer Reserve 260.24 <br /> 115 Gen Govt Special Prjs 71.61 507 Telecommunications 6,610.86 <br /> 119 PW-Street Improvement 162.90 508 Health Benefits Reserve 6,262.34 <br /> 120 Public Works-Streets 6,450.69 661 Claims 67,493.78 <br /> 126 MV-Dquip Replace Rsv 21,542.40 663 Investment Earnings 1,009.76 <br /> 145 Real Property Acq 807.58 <br /> 146 Property Management 2,452.22 TOTAL CLAIMS 1,708,171.26 <br /> 149 Senior Center Reserve 724.41 <br /> Passed and approv:. this .10 kb da •f November , 2005. <br /> Councilperson Introducing Resolution <br /> Council President <br />
The URL can be used to link to this page
Your browser does not support the video tag.