HomeMy WebLinkAbout1975 Ordinance No. 047-
•
•
INT RODUCED AS A BILL BY COUNCILMAN MANN
BY AUTHORITY
ORDINANCE NO. 47 , SERIES OF 1975
AN ORDINANCE APPROPRIATING MONIES FOR ALL MUNICIPAL PUR-
POSE S IN THE CITY OF ENGLEWOOD, COLORADO, IN THE FISCAL
YEAR BEGINNING JANUARY 1, 1976 AND ENDING DECEMBER 31,
1976, CONSTITUTING WHAT IS TERMED THE ANNUAL APPROPRIA-
TION BILL FOR THE FISCAL YEAR 1976.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL
OF THE CITY OF ENGLEWOOD, COLORADO, AS FOLLOWS:
Se ction 1
That there be and there is hereby appropriated from
the revenue deriving from taxation in the City of Engle-
wood , Colorado, from collection of license fees and from
all other sources of revenue during the year beginning
Janu ary 1, 1976 and ending December 31, 1976, the amounts
he r ei nafter set forth for the object and purpose specified
and set opposite thereto, specifically as follows; to wit:
GENERAL FUND
Legisl ation and Council
Manage ment
Public Works
Fire
Police
Commu n i ty Development
Libra r y
Parks and Recreation
Finance and Record
TOTAL
PUBLIC IMPROVEMENT FUND
Const ruction of major capital projects
WATER ENTERPRISE FUND
Total Water Enterprise Fund
$ 172,503
169,903
1,354,769
1,334,760
1,830,851
320,924
266,843
957,967
559,551
$6,968,071
$1,800,000
$1,390,253
-
•
•
•
SEWER ENTERPRISE FUND
Total Sewer Enterprise Fund $6,624,890
Secti on 2
The foregoing appropriations shall be considered to be
approp riations to groups within a program or department with-
in the f und indicated, but shall not be construed to be ap-
propria t i ons to line i tems within any group, even though such
line i tems may be set forth in the adopted budget for the fis-
cal ye ar 1976.
Secti on 3
Al l monies in the hands of the Director of Finance, or
to com e into his hands for the fiscal year 1976, may be ap-
plied on the outstanding claims now due or to become due in
the said fiscal year of 1976.
Secti on 4
All unappropriated monies that may come into the hands
of the Director of Finance during the year 1976 may be so
distributed among the respective funds herein as the City
Council may deem best under such control as is provided by
law.
Section 5
Dur i ng or at the close of the fiscal year of 1975, any
surpl us money in any of the respective funds, after all claims
for 197 5 against the same have been paid, may be distributed
to any other fund or funds at the discretion of the City Council.
I ntroduced, read in full, and passed at First Reading on
the 3rd day of November, 1975.
Pu blished as a Bill for an Ordinance on the 5th day of
Novembe r , 19 75.
Re ad b y title and passed at Final Reading on the 1st day
of De c em ber, 19 7 5.
Publ ished by title as Ordinance No. 47 , Series of 1975,
on the 3rd day of December, 1975 .
-2 -
•
•
•
ATTEST:
Ex
I , William D. James, do hereby certify that the above
and f oregoing is a true, accurate and complete copy of the
Ordi nance passed at Final Reading and published as Ordinance
o. 47 , Series of 1975.
E~~o ~erk-Treasurer
-3 -