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ORDINANCE NO. NS-~O0 <br /> <br />AN ORDINANCE ADOPTING THE ANNUAL BUDGET FOR THE FISCAL YEAR <br />CON~ENCING JULY 1, 1959~ AND WRYING THE LI~[TTn, TTONC n~ E)~- <br />PENDITURES FOR THE SEVERAL FUNDS AND THE FUNCTIONS, DEPART- <br />MENTS AND ACTIVITIES CARR~ ON UNDER SUCH FUNDS. <br /> <br /> WHEREAS~ the City Manager has prepared and submitted to this Council a pro- <br />posed budget of expenditure for the fiscal year commencing July l, 1959, pursuant <br />to the provisions of Section 605 of the City Charter; and <br /> <br /> WHEREAS, in pursuance to Section 606 of the City Charter, a public hearing <br />was held upon the said proposed budget of expenditures after notice of such public <br />hearing had been published in the official city newspaper in the manner prescribed <br />in said Section 606 of the City Charter. <br /> <br /> NOW~ THEREFORE, THE CITYCOUNCIL OF THECITYOFSANTAANADOES ORDAIN AS <br />FOLLOWS: <br /> <br /> Section 1~ The proposed budget of expenditure duly submitted and considered <br />as hereinbefore stated, together with any supplemental revisions and amendments <br />thereto, is hereby approved, adopted, and fixed as the annual budget of the City <br />of Santa Ana for the fiscal year commencing July l, 1959, and ending June 30 1960, <br />in the amounts and for the funds, purposes, functions, departments, and activities <br />as hereinafter set forth. Said adopted budget, including said supplemental re- <br />visions and amendments, together with a copy of this appropriation ordinance, shall <br />be duly authenticated by the Clerk of the Council and the same shall be placed in <br />the official files of the office of the Clerk of the Council. <br /> <br /> Section 2: There is hereby appropriated out of the Treasury or %he City of <br />San%a Aha for %ne fiscal year beginning July l, 1959, rot the General Fund the <br />aggregate sum of Four Million, Nine Hundred and fir%y-four Thousand, Five Hundred <br />and Twenty-five Dollars ($4,95~,525) appropriated and restricted for the functions, <br />departments and/or activities hereinafter set forth in the amounts shown: <br /> <br />Code No. Function, De~artment~ Activity <br />ll-GENERALFUND <br /> <br />Appropriation <br /> <br />ll-O00-City Council -- Contingency Reserve $ 384,265 <br />il-ill-City Council -- Legislative 26,270 <br />ll-llY-City Council -- Insurance Premiums 41,600 <br />ll-ll3-City Council -- Interfund Transfers 899,870 <br />il-liS-Clerk of the Council -- Admin. of Office 22,200 <br />ll-ll6-Clerk of the Council -- Elections 3,740 <br />ll-121-CityManager -- Admin. of Office 39,130 <br />ll-125-Clty Fmmager -- Special Census -O- <br />ll-131-City Attorney -- Admin. of Office 30,805 <br />ll-l~t-Personnel Office -- Administration 33,340 <br />ll-151-Planning Department -- Administration 51,180 <br />ll-171-Finance Department -- Division of Accounts 128,350 <br />ll-173-Finance Department -- Division of Purchasing 25,345 <br />ll-17~-Finance Department -- Div. of Purchasing-Stores Section 21,460 <br />ll-175-Finance Department -- Division of Treasury 29,880 <br />ll-181-Civil Defense Department -- Administration 8,005 <br />ll-221-Bowers Museum -- Administration 31~085 <br />l!-311-Department of Building Safety & Housing 90,220 <br />ll-321-Fire Department -- Administration 31,~0 <br />ll-322-Fire Department -- Fire Suppression 793,645 <br /> <br /> <br />