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Code No. Function~ Department~ Activity <br /> <br />57-SANTIAGO CEEF~ BOND CONSTRUCTION FUND <br /> <br />57-537-Public Works--Santiago Creek Improvement - Reserve <br /> <br />TOTAL SANTIAGO CREEk BOND CONSTRUCTION FUND 57 <br /> <br />Appropriation. <br /> <br />$ 125,000 <br /> <br />$ 125,000 <br /> <br /> Section 21. There is hereby appropriated out of the Treasury of the City of <br />Santa Ana for the fiscal year beginning July l, 1955, for the Major Street Con- <br />struction Fund the aggregate sum of Three Hundred Fourteen Thousand, Seven Hundred <br />Eighty Dollars ($314,780) appropriated and restricted for the function, departments <br />and/or activities hereinafter set forth in the amounts shown, as follows: <br /> <br />Code No., Function~ Department~ ~ctivi,~y <br /> <br />~ppropriation <br /> <br />59-MAJOR STREET CO~STRUCTi0N FU~D <br /> <br />59-551-Public Works--Major Street Construction <br /> <br />$ 314,780 <br /> <br />TOTAL I~JOR STREET CONSTRUCTION FUND 59 <br /> <br />$ 314,780 <br /> <br /> Section 22. There is hereby appropriated out of t~ Treasury'of the City of <br />Santa A~a for the fiscal year beginning July l, 1955, for the Special Recreation <br />Facilit~ma~Cons~ruction Fund the aggregate sum of Three Hundred Twenty-five Thousand, <br />Two Hundred Ninety Dollars ($325,290) appropriated and restricted for the function, <br />departments and/or activities hereinafter set forth in the amottuts shown, as follows: <br /> <br />Code No. Function; Department; Activity' <br /> <br />Appropriation ... <br /> <br />60-SPECIAL P~CREATIO~ FACILITIES C0~STRUCTION FUND <br /> <br />60-231-Recr. & Parks--Facilities Construction <br /> Reserves <br /> <br />$ 206,000 <br /> 119,290 <br /> <br />TOTAL SPECIAL RECREATION FACILITIES CONSTRUCTION FUND 60 <br /> <br />$ 325,290 <br /> <br /> Section 23. There is hereby appropriated out of the Treasttry of the City of <br />Santa Ana for the fiscal year beginning July l, 1955, for the Civic Center Acquisi- <br />tion & Construction Fund the aggregate sum of One Hundred Fifty-two Thousand, <br />Seven Hundred~Forty Dollars ($152,740) appropriated and restricted for the function~ <br />departments and/or activities hereinafter set forth in the amounts shown, as follows: <br /> <br />Code No. Function~ Department~ Activity <br /> <br />Appropriation <br /> <br />61-CIVIC C~TER ACQUISITION <br /> <br />61-119-City Council--Civic Center Acquisition & Constr. <br />61-212-Recr. & Parks Dept.--Maint. of Civic Center Prop. <br /> Reserve <br /> <br />139,690 <br /> 2,050 <br /> 11,000 <br /> <br />TOTAL CIVIC CF~TEH ACQUiSITIO~ FUND 61 <br /> <br />$ 152,740 <br /> <br /> Section 24. There is hereby appropriated out of the Treasury of the City of <br />Santa Aha for the fiscal year beginning July l, 1955, for the Equipment Msintenance <br />Fund the aggregate sum of One Hundred SLxty Three Thousand, Three Hundred Dollars <br />($163,300) appropriated and restricted for the function, departments and/or activ- <br />ities hereinafter set forth in the amounts shown, as follows: <br /> <br />Code No. Function~ D~p. artmen% Activity <br /> <br />Appropriation <br /> <br />75-EQUIPMENT MAINTenANCE FUND <br /> <br />75-410-EqUipment Maintenance-Inter-Fund Trans. (to Fund #76) <br />75-411-Equipment Maintenance-Garage Operation <br /> <br />$ 39,840 <br /> 123,460 <br /> <br />TOTAL EQUIPMENT MAINTENANCE FUND 75 <br /> <br />$ 163,300 <br /> <br />-7- <br /> <br /> <br />