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83-028 ORD ADOPTING BUDGET FOR ENSUING FISCAL PERIOD BEGINNING JULY 1 1983 AND ENDING SEPTEMBER 30 1983
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83-028 ORD ADOPTING BUDGET FOR ENSUING FISCAL PERIOD BEGINNING JULY 1 1983 AND ENDING SEPTEMBER 30 1983
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11/21/2017 3:54:52 PM
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CITY CLERK
CITY CLERK - Date
6/8/1983
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<br /> <br /> <br /> <br /> <br /> <br /> <br /> <br /> Section 3. That the sum of $853,625.00, based on <br /> the estimated Water and Sewer Budget, is hereby authorized <br /> out of utility fund revenues for the payment of operating <br /> expenses and capital outlay of Water and Sewer Utility <br /> Departments and expenses Transfer to General Fund, exclusive <br /> of Capital Project Fund Outlay, as hereinafter itemized: <br /> WATER <br /> Billing & Collecting $ 52,600.00 <br /> Water Production $ 277,550.00 <br /> Water Distribution $ 151,950.00 <br /> <br /> Sub-total $ 482,100.00 <br /> SEWER <br /> Sewer Maintenance $ 113,175.00 <br /> Waste Water Treatment $ 118,587.00 <br /> <br /> Sub-total $ 231,762.00 <br /> <br /> Total Operating Expense $ 713,862.00 <br /> TRANSFERS <br /> O&M Expense to General Fund $ 55,763.00 <br /> <br /> Grand Total $ 769,625.00 <br /> <br /> Section 4. That the sum of $84,000.00 is hereby <br /> appropriated out of the Water and Sewer Revenue Bond Fund <br /> for the purpose of paying accrued interest and making the <br /> principal payments as the same mature on the Water and Sewer <br /> Revenue Bonds, and creating the prescribed contingent and <br /> reserve fund therefor. <br /> Section 5. That the sum of $149,942.00 is hereby <br /> appropriated out of the Revenue Sharing Fund for the payment <br /> of operating expenses and Capital Outlay of the City Govern- <br /> ment, as hereinafter itemized: <br /> <br /> GENERAL GOVERNMENT: <br /> Cit-uncil $ 7,950.00 <br /> Sub-total $ 7,950.00 <br /> <br /> PUBLIC WORKS: <br /> Streets & Highways $137,625.00 <br /> <br /> Sub-total $ 137,625.00 <br /> Total Contingent Appropriation $ 4,367.00 <br /> <br /> Total Appropriations $ 149,942.00 <br /> <br /> Section 6. That the sum of $90,075.00 is hereby <br /> authorized out of the Airport Revenue for the payment of <br /> operating expenses and capital outlay of the Airport Depart- <br /> ment, as hereinafter itemized: <br /> <br /> AIRPORT: <br /> Cox Field Airport $ 90,075.00 <br /> Total $ 90,075.00 <br />
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