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Section 12 : That the sum of $139 , 098 . 46 be appropriated in the <br /> following manner : <br /> a . Appropriation , L . I . D . 716 - 3rd Ave S. E . Street & Water <br /> 1 . Program 801 - Provide Financial & Managerial Services <br /> Original appropriation , Ord . 1544-88 $ -0- <br /> Amended by this appropriation 139, 098 .46 <br /> New Program Total $139, 098 . 46 <br /> b . Source of Funds <br /> Special Assessment Principal <br /> Special Assessment Interest/ Penalties <br /> c . Purpose <br /> To include Debt Service portion of L . I . D. expenditures in <br /> operating budget . <br /> Section 13 : That the sum of $173 , 880 . 63 be appropriated in the <br /> following manner : <br /> a . Appropriation , L . I . D . 719 - Silver Lake Sewer <br /> 1 . Program 801 - Provide Financial & Managerial Services <br /> Original appropriation , Ord . 1544-88 $ -0- <br /> Amended by this appropriation 173 , 880 .63 <br /> New Program Total $173 , 880 . 63 <br /> b . Source of Funds <br /> Special Assessment Interest/ Penalties <br /> c . Purpose <br /> To include Debt Service Interest portion of L . I .D . <br /> expenditures in operating budget . <br /> Section 14 : That the sum of $101 , 375 . 75 be appropriated in the <br /> following manner : <br /> a . Appropriation , L .I . D . 721 - Southpoint-Evergreen Way Ext . <br /> 1 . Program 801 - Provide Financial & Managerial Services <br /> Original appropriation , Ord . 1544-88 $ -0- <br /> Amended by this appropriation 101 , 375 .75 <br /> New Program Total $101 , 375 . 75 <br /> b . Source of Funds <br /> Special Assessment Principal <br /> Special Assessment Interest/ Penalties <br /> c . Purpose <br /> To include Debt Service portion of L . I . D . expenditures in <br /> operating budget . <br /> 778/5 <br />