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• <br /> Section 8 : That the sum of $20 , 000 . 00 be appropriated in the <br /> following manner: <br /> a. Appropriation, Fund 410 - Water <br /> 1) Program 687 - North Broadway Water Line Replacement <br /> Original appropriation, Ord. 465-77 $100 , 000 . 00 <br /> Amended appropriation, Ord. 569-78 120, 000 . 00 <br /> Amended by this appropriation 20, 000 . 00 <br /> New Program Total $140 , 000 . 00 <br /> b. Source of Funds - Fund 410 - Cash on Hand <br /> c. Purpose - to provide part of the financing for Fund 314 - <br /> North Broadway Improvements , as prescribed by Ordinance <br /> No. 579-79 . <br /> Section 9 : That the sum of $39 , 774. 00 be appropriated in the <br /> following manner: <br /> a. Appropriation, Fund 301 - Arterial Street <br /> 1) Program 603 - North Broadway Improvement <br /> Original appropriation, Ord. 465-77 $ -0- <br /> Amended by this appropriation 39 , 774 . 00 <br /> New Program Total $ 39 , 774 . 00 <br /> b. Source of Funds - Fund 301 - Motor Vehicle Fuel Tax <br /> c. Purpose - to provide part of the financing for Fund 314 - <br /> North Broadway Improvements, as prescribed by Ordinance <br /> No. 579-79 . <br /> Section 10 : That the sum of $3 , 000 . 00 be appropriated in the <br /> following manner: <br /> a. Appropriation, Fund 101 - Park and Recreation <br /> 1) Program 823 - BOMARC <br /> Original appropriation, Ord. 569-78 $ -0- <br /> Amended by previous appropriations 22 , 000 . 00 <br /> Amended by this appropriation 3 , 000 . 00 <br /> New Program Total $ 25, 000 . 00 <br /> b. Source of Funds - Fund 101: Cash on Hand <br /> Transfer of budgeted expense from Program 822 : Park <br /> Administration and Planning <br /> c. Purpose - to provide additional financing for the BOMARC <br /> master plan. <br /> -4- <br />