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HomeMy WebLinkAbout1984 Ordinance No. 055I I ORDINI\OCE NO • .&_ SERIES OF 1984 BY Alll'IIORITY CXlUNC !L BU,L NO. 60 IITTROOUCEO BY CXJUNC IL MEMBER BRADSHAW I\N ORDINI\OCE APPROPR IAT I NG MONIES FO R ALL MUNICIPAL PUR POSES IN THE CITY OF ENGLEWOOO , COLO RADO , IN THE F ISCAL YEA R BEGINN I NG J I\N UARY 1 , 1985 /\NO !NOING DEX:EMBER 31 , 1985 , CONSTITUT I NG WHAT IS TERMED THE I\NNUAL APPROPRIATION BILL FOR TH E FISCAL YEAR 1985 . NO-I , THEREFORE , BE IT ORDAINID BY THE C!'rY CXJUNCIL OF THE CITY OF ENGLl'l-lOOO , COLORADO , AS FOU.cMS: Sect ion 1. That t here be and ther e hereby is appropriatc<l fran the revenue der i v i ng Eran taxaticn i n the City of El,glewood , Co l orooo , fr an collection o f license fees and f r an a ll other source s of revenue dur i ng the yea r beg inning J a n ua r y 1 , 1985 and end i ng OeceTiber 31 , 1985, the anounts her einafter set forth fo r the object a ncl purpose specified and set ~~si te thereto , specif ica lly as follows , ro wit: Legi slat i on and Co unse l l-'unicipal CouLt Pdmini s tration Pu b l ic works Fi re Pol i ce 0. muni ty Oev elopne nt Library Parks and Rec r eati on 'l'Ota l Ope r a ting Gener a 1 Fund Tr ansfer to Othe r Go v t ' s Public Improvenent Fund Co nstruction of Maj o r capita l Proj ects $ 508 ,138 331 ,003 l , 979 ,692 3,009 ,200 3 ,324 ,932 4 ,315 ,074 778 ,858 630 ,800 2 ,664 ,987 17 ,542 ,684 50 ,000 $17 ,592 ,684 $ 2 ,020 ,090 -2- Debt Serv ice E\J nd Total Debt Service fund water Ente rprise E\Jnd Total water Enterpr i se E\Jnd Se..ar Enterprise E\Jnd Total Se..ar Enterprise E\Jn d Golf Course E\Jnd Total Golf Course E\Jnd Conservat ion Trust E\Jnd Total LOtte ry Fund Revenue Sharing General E\Jnd -Public Safety GENERAL TOTI\!., $ 547 ,090 $ 2 ,657 ,826 $ 7 ,177 ,4(6 $ 585 ,367 $ 322 ,979 $ 625 ,968 $31 ,529 ,470 Section 2. '!l1e foregoing appropri ations shall 1::e considered to 1::e appropriations to groups withir, a progran or department within the fund i ndicated but shall not 1::e con3trued to 1::e appropriated to line itans with;n any groups, even though such line ilans may 1::e set forth as the adopted bu:Jget for the fiscal year 1985 . Section 3 . l\ll monies in th.a hands of the Director of Finance , or to come into h1s hands for the fiscal year 1985 , may 1::e applied on the outstanding cla im s now due or to becane due in the said f i scal year of 1985 . Section 4, 1\11 unappropriated monies that may cane into the hands of the D1rector of Finance during the year 1985 may 1::e so distributed anong the respectiv<, funds herein as the City Council may dean 1::est under Buch control as is provided by law. I I -3- Section 5, DJring o.: at the close of t he fiscal year of 1984 , any surplus money in a ny of the respective funds , a(ter all claims for 1984 against the same have been paid , may t:e distributed to a ny other fund or funds at the discre tion of the City Cou11cil. Introduc ed, r ead in ful 1 , a nd passed on first reading on the 5th day of No vanber , 1984 . Published as a bill for an ordinance on the 7th day of Novanber , 1984. Read by title and passed on (inal r ead ing on the 19th d a y of Novanber , 1984. ,,- Publi shed by t itle as Ordinance N0 .5.J , Series of lY8 ~, on the 21st da y of Novanber , 1984. --- Attest : (_ /] ,~/;;~~,._/ 'ex off 1cif ity Cleh'.asurer I, Gary R. Hi gbee , ex officio City Cle rk-Treasurer of the City of Engle\,,QQ(), Colorado , hereby cert ify that the above and foregoing is a true , accura t e and canplete copy of the Or d inance passed on fi na l r ead ing and publi shed by title a s Ordinance NO.M._, Series of 1984 . I \.,