ll GENERAL FUND (Continued)
<br />
<br />CODE NO.
<br />
<br />FUNCTION~ DEPARTMENT~ ACTIVITY
<br />
<br />APPROPRIATION
<br />
<br />11-324 Fire-Alarm & Comm. Operation $ 158,145
<br />11-325 Fire-Training 23,000
<br />11-329 Fire-Bldg. & Equip. Maintenance 212,880
<br />11-331 Police-Administration 555,550
<br />11-332 Police-Patrol & Investigation 3,525,760
<br />11-333 Police-Traffic Division 228,100
<br />11-337 Police-School Crossings 137,540
<br />11-339 Police-Animal Control 51,510
<br />11-511 Public Works-Ad,in. & Engineering 563,320
<br />11-512 Public Works-Bus Transportation 144,000
<br />11-521 Public Works-Refuse Collection 610,885
<br />11-531 Public Works-Street Cleaning 199,655
<br />11-532 Public Works-Sewer Maintenance 77,285
<br />11-536 Public Works-Storm Drains 19,040
<br />11-541 Public Works-Weed Control 28,270
<br />11-551 Public Works-Select Streets 282,620
<br />11-552 Public Works-Local Streets 275,510
<br />11-554 Public Works-Curbs & Sidewalks 120,270
<br />11-561 Public Works-Ornamental Lights 64,380
<br />11-562 Public Works-Street Lighting 383,000
<br />11-563 Public Works-Traffic Signals 98,730
<br />11-565 Public Works-Traffic Ptng. & Signs 134,510
<br />11-567 Public Works-Street Name Signs 18,240
<br />11-569 Public Works-Corp. Yard Maint. 18~860
<br />
<br />TOTAL GENERAL FUND
<br />
<br />$ 15,952,215
<br />
<br />SECTION 3:
<br />
<br /> There is hereby appropriated out of the Treasury of the City of Santa Ana for
<br />the fiscal year beginning July l, 1972 for the Recreation and Parks Fund the aggre-
<br />gate sum of One Million Seven Hundred Eight Thousand Four Hundred Thirty-Five
<br />($1,708,435) Dollars appropriated and restricted for the functions, department
<br />and activities hereinafter set forth in the amounts shown as follows:
<br />
<br />23 RECREATION & PARKS FUND
<br />
<br />CODE NO.
<br />
<br />FUNCTION~ DEPARTMENT~ ACTIVITY
<br />
<br />APPROPRIATION
<br />
<br />23-231
<br />23-244
<br />23-250
<br />23-255
<br />23-260
<br />23-270
<br />23-286
<br />23-287
<br />23-289
<br />23-290
<br />23-291
<br />23-292
<br />23-293
<br />23-294
<br />23-295
<br />23-296
<br />23-29?
<br />23-298
<br />23-299
<br />
<br />Recreation & Parks-Administration
<br />Recreation & Parks-Municipal Stadium
<br />Rear. & Parks-South Division Parks
<br />Rear. & Parks-Prentice Park
<br />Rear. & Parks-North Division Parks
<br />Rear. & Parks-West Division Parks
<br />Rear. & Parks-Miscellaneous Areas
<br />Rear. & Parks-Tree Maintenance
<br />Rear. & Parks-Nursery
<br />Rear. & Parks-E1 Salvador Rear. Prog.
<br />Rear. & Parks-Jerome Rear. Prog.
<br />Rear. & Parks-City Hall Annex
<br />Rear. & Parks-Santa Anita Center
<br />Recr.& Parks-Week End Program
<br />Rear. & Parks-After School Program
<br />Rear. & Parks-Ath. & Spec. Program
<br />Rear. & Parks-Holiday Program
<br />Rear. & Parks-S~,mmer Vacation Prog.
<br />Rear. & Parks-Swimming Pools
<br />
<br />154,585
<br />32,620
<br />191 930
<br />68.585
<br />198 345
<br />122~535
<br />106.615
<br />197 740
<br /> 18 800
<br />62,235
<br />85,145
<br />31,540
<br />25,480
<br />44,665
<br />69,050
<br />108,355
<br />7,000
<br />89,99o
<br />93~220
<br />
<br />TOTAL RECREATION & PARKS FUND
<br />
<br />$ 1,708,435
<br />
<br />SECTION 4:
<br />
<br /> There is hereby appropriated out of the Treasury of the City of Santa Ana for
<br />the fiscal year beginning July l, 1972 for the Library Fund the aggregate sum of
<br />Eight Hundred Ninety Two Thousand Four Hundred Sixty ($892,460) Dollars appropriated and
<br />restricted for the function, department and/or activities hereinafter set forth in
<br />the amount shown as follows:
<br />
<br />-2-
<br />
<br />
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