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ORDINANCE NO. NS-681 <br /> <br />AN ORDINANCE ADOPTING THE ANNUAL BUDGET FOR <br />THE FISCAL YEAR COMMENCING JULY 1, 1963 AND <br />FIXING THE LIMITATIONS OF EXPENDITURES FOR <br />THE SEVERAL FUNDS AND THE FUNCTIONS, DEPART- <br />MENTS AND ACTIVITIES CARRIED UNDER SUCH FUNDS. <br /> <br /> WHEREAS, the City Manager has prepared and submitted to this Council <br />a proposed budget of expenditures for the fiscal year commencing July 1, <br />1963, pursuant 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 <br />hearing was held upon the said proposed budget of expenditures after <br />notice of such public hearing had been published in the official city <br />newspaper in the manner prescribed in said Section 606 of the City Charter. <br /> <br /> NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF SANTA ANA DOES ORDAIN <br />AS FOLLOWS: <br /> <br />SECTION 1: <br /> <br /> The proposed budget of expenditure duly submitted and considered as <br />hereinbefore stated, together with any supplemental revisions and amend- <br />ments thereto , is hereby approved, adopted, and fixed as the annual <br />budget of the City of Santa Ana for the fiscal year commencing July 1, <br />1963, and ending June 30, 1964, in the amounts and for the funds, purposes, <br />functions, departments and activities as hereinafter set forth. Said <br />adopted budget, including said supplemental revisions and amendments, to- <br />gether with a copy of this appropriation ordinance, shall be duly authenti- <br />cated by the Clerk of the Council and the same shall be placed in the offi- <br />cial files of the office of the Clerk of the Council. <br /> <br />SECTION 2: <br /> <br /> There is hereby appropriated out of the Treasury of the City of Santa <br />Aha for the fiscal year beginning July 1, 1963, for the General Fund the <br />aggregate sum of seven million, nine hundred ninety-six thousand and nine <br />hundred ($7,996,900) dollars appropriated and restricted for the functions, <br />departments and/or activities hereinafter set forth in the amounts shown; <br /> <br />ii-GENERAL FUND <br /> <br />CODE NO. <br /> <br />FUNCTION, DEPARTMENT,ACTIVITY <br /> <br />APPROPRIATION <br /> <br />11-000 City Council-Contingency Reserve $ 330,000 <br />11-111 City Council-Legislative 40,210 <br />11-112 City Council-Insurance Premiums 30,000 <br />11-113 City Council-Interfund Transfers 1,619,160 <br /> Transfer to Fund - 23 Recreation & Park <br /> Transfer to Fund - 51 Capital Outlay <br /> Transfer to Fund - 73 Building Maint. <br />11-115 Clerk of the Council-Administration 35,985 <br />11-116 Clerk of the Council-Elections 4,350 <br />11-121 City Manager-Administration 62,450 <br />11-125 City Manager-Special Census 500 <br /> <br /> 500,000 <br />1,071,160 <br /> 48,000 <br /> <br />-1- <br /> <br /> <br />