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NS-1089
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Last modified
1/3/2012 1:05:14 PM
Creation date
6/26/2003 10:08:05 AM
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Template:
City Clerk
Doc Type
Ordinance
Doc #
NS-1089
Date
8/2/1971
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SECTION 43: <br /> <br /> There is hereby appropriated out of the Treasury of the City of Santa Ana <br />for the fiscal year beginning July 1, 1971 for the Water Bond Acquisition and <br />Construction Fund the aggregate sum of Six Hundred Fifty-Six Thousand Eight <br />Hundred Fifteen ($656,815) Dollars appropriated and restricted for the function, <br />department, and/or activity hereinafter set forth in the amount shown as follows: <br /> <br />66 WATER BOND ACQUISITION & CONSTRUCTION FUND <br /> <br />CODE NO. <br /> <br />FUNCTION~ DEPARTMENT~ ACTIVITY <br /> <br />APPROPRIATION <br /> <br />66-578 Public Works-Acquisition & Construction $ 656~815 <br /> <br />TOTAL WATER BOND ACQUISITION & CONSTRUCTION P~ND 66 <br /> <br />$ 656,815 <br /> <br />SECTION 44: <br /> <br /> There is hereby appropriated out of the Treasury of the City of Santa Aha for <br />the fiscal year beginning July 1, 1971 for the Central Services Fund the aggregate <br />sum of Ninety-Four Thousand Fifty ($94,050) Dollars appropriated and restricted <br />for the function, department and/or activity hereinafter set forth in the amount <br />shown as follows: <br /> <br />71 CENTRAL SERVICES FUND <br /> <br />CODE NO. <br /> <br />FUNCTION~ DEPARTMENT~ ACTIVITY <br /> <br />APPROPRIATION <br /> <br />71-176 Central Services $ 94~050 <br /> <br />TOTAL CENTRAL SERVICES FUND 71 <br /> <br />$ 94,050 <br /> <br />SECTION 45: <br /> <br /> There is hereby appropriated out of the Treasury of the City of Santa Ana for <br />the fiscal year beginning July 1, 1971 for the Stores Revolving Fund the aggregate <br />sum of Thirty-One Thousand Three Hundred Twenty-Five ($31,325) Dollars appropriated <br />and restricted for the function, department and/or activity hereinafter set forth <br />in the amount shown as follows: <br /> <br />72 STORES REVOLVING FUND <br /> <br />CODE NO. <br /> <br />FUNCTION~ DEPARTMENT~ ACTIVITY <br /> <br />APPROPRIATION <br /> <br />72-174 Stores Revolving Fund $ 31;325 <br /> <br />TOTAL STORES REVOLVING FUND 72 <br /> <br />$ 31,325 <br /> <br />SECTION 46: <br /> <br /> There is hereby appropriated out of the Treasury of the City of Santa Ana for <br />the fiscal year beginning July 1, 1971 for the Building Maintenance Fund the aggre- <br />gate sum of Three Hundred Nine Thousand Six Hundred Seventy ($309,670) Dollars <br />appropriated and restricted for the function, department and/or activity hereinafter <br />set forth in the amount shown as follows: <br /> <br />73 BUILDING MAINTENANCE FUND <br /> <br />CODE NO. <br /> <br />FUNCTION~ DEPARTMENT~ ACTIVITY <br /> <br />APPROPRIATION <br /> <br />73-241 Building Maintenance $ 309~670 <br /> <br />TOTAL BUILDING MAINTENANCE FUND 73 <br /> <br />$ 309,670 <br /> <br />-13- <br /> <br /> <br />
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