Laserfiche WebLink
Section 25. 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 Replacement <br />Fund the aggregate sum of Ninety Thousand, Seven Hundred Forty Dollars ($90,740) ap, <br />propriated and restricted for the function, departments and/or activities herein- <br />after set forth ia the amounts shown, as follows: <br /> <br />Code No. Function; Department; Activity <br />76-EQUIPM~qT REPLACEMENT FUND <br /> <br />~ppropriation <br /> <br />76-145-Equipment Replacement-Purchases <br /> Reserves <br /> <br />$ 45,8oo <br /> 44,940 <br /> <br />TOTAL EQUIPMENT REPIAC~'T FUND 76 <br /> <br />$ 90,740 <br /> <br /> Section 26. 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 Retirement System <br />Revolvi~ Fund the aggregate sum of Three Hundred Eight Thousand, Eight Hundred <br />Sixty-five Dollars ($308,865) appropriated and restricted for the function, depart- <br />ments and/or activities hereinafter set forth in the amounts shown, as follows: <br /> <br />C,gde No. Function~ Depart~en% Ac~ivit~ <br /> <br />Appropriation <br /> <br />78-RETIR~qT SYST~ EEVOLVI~G FUND <br /> <br />78-179-Finance Dept.-Retirement System Payments <br /> <br />$ 308,865 <br /> <br />TOTAL RETIPJ~iENT SYSTEM REVOLV/NG FUND 78 <br /> <br />$ 308,865 <br /> <br /> Section 27. The appropriations hereinbefore set forth shall constitute the <br />maximum e~penditure authorized for the function, department and/or 'activity opposite <br />which the amount of such appropriation is shown. <br /> <br /> Section 28. No warrant shall be issued or indebtedness incurred which ~xceeds <br />the unexpended balance of the activity appropriations hereinbefore authorized unless <br />such appropriations shall have been amended by a supplemental appropriation duly <br />enacted by this Council in cor~formance with Section 609 of the Santa Aha City Charter. <br /> <br /> Section 29. The City Manager is hereby authorized to make budgetary revisions <br />wi%hin an activity appropriation if in his opinion such revision is necessary or <br />proper. <br /> <br /> Section 30. The Director of Finance is hereby authorized to transfer moneys in <br />accordance with the Inter-fund Transfers as listed in this Ordinance in such amounts <br />and at such times during the fiscal year as he may determine necessary to the <br />competent operation and control of City business; except that no such transfer shall <br />be made in contravention to State Law or other City Ordinance or exceed in total <br />the amount stated herein or as amended by the City Council. <br /> <br /> Section 31. One certified copy of this appropriation Ordinance together with <br />a certified copy of each amendment thereto shall be transmitted by the Clerk of <br />the Council to the Director of Finance. <br /> <br /> Section 32. This Ordinance is urgently required for the immediate preserva- <br />tion of public peace, health, and safety for the reasons that the moneys appro- <br />priated hereby are necessary in order to maintain the necessary payments of the <br />various departments of the City to retain the employees and obtain the necessary <br />supplies to police aud otherwise protect the persons and property within the City <br />and to render the other necessary services; therefore, the CityCouncil declares <br />that this Ordinance shall take effect as, and is adopted as, an emergency measure <br />and is to be in force from the date of its publication. <br /> <br /> Section 33. The Clerk of the Council shall certify to the passage and <br />adoption of this Ordinance as an emergency Ordinance and shall cause the same to <br />be published within 15 days after its adoption in one issue of the Santa Ana <br />Independent. <br /> <br />-8- <br /> <br /> <br />