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Section 4. There is hereby appropriated out of the Treasury <br />of the City of Santa Ana for the fiscal year beginning July l, <br />1956, for the L~brary Fund, the aggregate sum of One Hundred Fifty- <br />Six Thousand, E~ghty Dollars ($156,080.00),appropriated and re- <br />stricted for the function, departments and/or activzties hereinafter <br />set forth in the amounts shown, as follows: <br /> <br />Code No. Function~ Department~ Activity <br />24-LIBRAHY~WTJND <br /> <br />Approp?iation <br /> <br />24-212-City Library--Administration <br />TOTAL LIBRARY FUND 24 <br /> <br />156,080 <br /> <br />156, o8o <br /> <br /> Section 5. There is hereby appropriated out of the Treasury of <br />the City of Santa Ana for the fiscal year beginning July l, 1956, <br />for the Traffic Safety Fund, the aggregate sum of One Hundred Ninety- <br />Five Thousand, Eight Hundred Thirty Dollars ($19~,830.00) appropriated <br />and restricted for the function, departments and/or activities here- <br />inafter set forth in the amounts shown, as follows: <br /> <br />Code No. Function~ Departme.nt~ Activity <br /> <br />25-TRAFFIC SAFETY FUND <br /> <br />Appropriation <br /> <br />25-113-City Council--Inter-Fund Transfers (to Fund #ll) $ 120,000 <br /> Reserves ~5,830 <br /> <br />TOTAL TRAFFIC SAFETY FUND 25 <br /> <br />$ 19%,830 <br /> <br /> Section 6. There is hereby appropriated out of the Treasury of <br />the City of Santa Ana for the fiscal year beginning July l, 1956, for <br />the Water Utility Fund the aggregate sum of One ~gillion, Four Hundred <br />Forty-Three Thousand, Four Hundred Fifty Dollars <br />appropriated and restricted for the function, departments and/or <br />activities hereinafter set forth in the amounts shown, as follows: <br /> <br />Code No. <br /> <br />Function~ Department~ Activity <br /> <br />Appropriation <br /> <br />26-WATER UTILITY FUND <br /> <br />26-113-City Council--Inter-Fund Transfers (to Fund #11) $ 135,000 <br />26-573-Public Works Dept.--Water Production & Supply 217,800 <br />26-574-Public Works Dept.--Water Distrib. System Naint. 108,265 <br />26-578-Publlc Works Dept.--Water Div. Capital Extensions 982,385 <br /> <br />TOTAL WATER UTILITY FUND 26 <br /> <br />$1,44 ,450 <br /> <br /> Section 7. There is hereby appropriated out of the Treasury of <br />the City of Santa Ana for the fiscal year beginning July l, 1956, for <br />the Parking Meter Fund, the aggregate sum of Two Hundred Sixty-Eight <br />Thousand, Five Hundred Five Dollars ($268,50~.00) appropriated and <br />restricted for the function, departments and/or activities herein- <br />after set forth in the amounts shovm, as follows: <br /> <br />-3- <br /> <br /> <br />