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Code No. Funct~on~ Department~ Activity <br /> <br />27-PARKING METER FUND <br /> <br />27-113-City Council--Inter-Fund Transfers $ 30,000 <br /> Reserves 220,695 <br />27-451-Equipment Maint. Dept.--Parking Meter Maint. 17,810 <br />TOTAL PARKING METER FU~O 27 $ 268,505 <br /> <br />Appropriation <br /> <br /> Section 8. There is hereby appropriated out of the Treasuvy of <br />the City of Santa Ana for the fiscal year beginning July l, 1956, <br />for the State Retirement System Fund, the aggregate sum of One <br />Hundred Four Thousand, Eight Hundred Ninety Dollars ($104,890t00) <br />appropriated and restricted for the function, departments and/or <br />activities hereinafter set forth in the amounts shown, as follows: <br /> <br />Code No. <br /> <br />Functiont Departmentt Activity <br /> <br />Appropriation <br /> <br />28-STATE RETIREMENT SYSTEN FUlfD <br /> <br />28-113-City Council--Inter-Fund Transfers <br /> Reserves <br /> <br />$ 91,000 <br /> 13,890 <br /> <br />TOTAL STATE RETIREMENT SYSTEM FUND 28 <br /> <br />v~ 104,890 <br /> <br /> Section 9- There is hereby appropriated out of the Treasuvy of <br />the City of Santa Ana for the fiscal year beginning July l, 1956, for <br />the Special Gas Tax Fund, the aggregate sum of Three Hundred Thirty- <br />Seven Thousand Dollars ($337,000.00) appropriated and restricted for <br />the function, departments and/or activities hereinafter set forth in <br />the amounts shown, as follows: <br /> <br />Code No. <br /> <br />Function, Department~ Activity <br /> <br />Appropriation <br /> <br />29-SPECIAL GAS TAX FUND <br /> <br />29-113-City Council--Inter-Fund <br /> <br />TOTAL SPECIAL GAS TAX FUND 29 <br /> <br />Transfers <br /> <br />(to Fund #59) <br /> <br />337,000 <br />337,000 <br /> <br /> Section 10. 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 Santa Ana Main Line Sewer Bond Fund, the aggregate sum of Four <br />Thousand, Two Hundred Dollars ($4,2oo.00) appropriated and restricted <br />for the function, departments aDd/or activities hereinafter set forth <br />in the amounts shown, as follows: <br /> <br />Code No. <br /> <br />Function~ Department~ Activity <br /> <br />Appropriation <br /> <br />33-SANTA ~A MAIN LINE SEWER BOND FUND <br /> <br />33-176-¢ity Treasurer--Bond Payments <br /> <br />TOTAL SANTA ANAMAIN LINE S~ER BOND FUiCD 33 <br /> <br />$ 4, 200 <br />$ 4, <br /> <br /> Section 11. There is hereby appropriated out of the Treasury of <br />the City of Santa Ana for the fiscal year beginning July l, 195b, for <br />t~e Joint 0utfall Sewer Completion Bond Fund, the aggregate sue of <br />Smx Thousand, One Hundred Fifty Dollars ($6,150.00) appropriated and <br />restricted for the function, departments and/or activities herein- <br />after set forth in the ~nounts shown, as follows: <br /> <br />-4- <br /> <br /> <br />