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.. -a <br /> Section 6: <br /> A. The following amounts are hereby appropriated as expenses from Fund 356, <br /> "Service Center Improvements": <br /> Sewer Building Construction, Program 244 $ 705,000 <br /> Building Department Remodel, Program 279 $ 34,000 <br /> Purchasing Division Remodel, Program 280 $ 18,000 <br /> Water Department Remodel, Program 281 $ 56,000 <br /> Transit Division Remodel, Program 282 $ 300,000 <br /> $1, 113,000 <br /> B. The following amounts are hereby appropriated as revenues to Fund 356, <br /> from the sources so indicated: <br /> Sewer Fund 404 $ 705,000 <br /> General Fund 009 $ 34,000 <br /> Central Stores Fund 504 $ 18,000 <br /> Water Fund 410 $ 56,000 <br /> Transit Fund 425 . $ 300,000 <br /> $1,113,000 <br /> C. These appropriations shall not lapse but shall be carried forward from year <br /> to year until fully expended or the purpose has been accomplished or abandoned without <br /> the necessity of reappropriation as per RCW 35.33.151. <br /> )-) ' ---- <br /> i "7/ite <br /> WILLIAM E. MOORE, Mayor <br /> ATTEST: <br /> 4alk / . , 9-27-20->c...-/€4.--e-4— <br /> CITY CLERK <br /> Passed: 3- ,1- 27 <br /> Valid: 3- %'-29 <br /> Published: 3- /9 it <br />