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• <br /> Section 15 : That the sum of $21 , 929 . 93 be appropriated in the <br /> following manner : <br /> a . Appropriation , L . I . D . 722 - 112th St . SE / I-5 Sewer <br /> 1 . Program 801 - Provide Financial & Managerial Services <br /> Original appropriation , Ord. 1544-88 $ -0- <br /> Amended by this appropriation 21 , 929 . 93 <br /> New Program Total $ 21 , 929 . 93 <br /> b . Source of Funds <br /> Special Assessment Principal <br /> c . Purpose <br /> To include Debt Service Interest portion of L . I . D . <br /> expenditures in operating budget . <br /> Section 16 : That the sum of $5 , 930 . 61 be appropriated in the <br /> following manner : <br /> a . Appropriation , L . I . D . 723 - Marilyn Ave . Street Improve . <br /> 1 . Program 801 - Provide Financial & Managerial Services <br /> Original appropriation , Ord . 1544-88 $ -0- <br /> Amended by this appropriation 5 , 930 . 61 <br /> New Program Total $ 5 , 930 . 61 <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 17 : That the above appropriations are in the total amount <br /> of $3 , 364 ,480 . 21 . <br /> Mayor <br /> Attest : <br /> Cit C erk <br /> Passed : <br /> Valid : / / <br /> Published : // -may 'f9 <br /> 778/6 <br />