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SECTION 40: <br /> <br /> There is hereby appropriated out of the Treasury of the City of <br />Santa Ana for the fiscal year beginning July 1, 1974 for the Central <br />Services Fund the aggregate sum of One Hundred Eighty-Six Thousand Eight <br />Hundred Seventy ($186,870) Dollars appropriated and restricted for the <br />function, department and/or activity hereinafter set forth in the amount <br />shown as follows: <br /> <br />71 CENTRAL SERVICES FUND <br /> <br />CODE NO. <br /> <br />FUNCTION, DEPARTMENT, ACTIVITY <br /> <br />APPROPRIATION <br />$ 186,870 <br /> <br />176 <br /> <br />Central Services <br /> <br />TOTAL CENTRAL SERVICES FUND 71 <br /> <br />$ 186,870 <br /> <br />SECTION 41: <br /> <br /> There is hereby appropriated out of the Treasury of the City of <br />Santa Ana for the fiscal year beginning July 1, 1974 for the Stores Re- <br />volving Fund the aggregate sum of Forty Thousand Six Hundred ($40,600) <br />Dollars appropriated and restricted for the functions, department and/or <br />activity hereinafter set forth in the amount shown as follows: <br /> <br />72 STORES REVOLVING FUND <br /> <br />CODE NO. <br /> <br />FUNCTION, DEPARTMENT, ACTIVITY <br /> <br />APPROPRIATION <br />$ 40,600 <br /> <br />174 <br /> <br />Stores Revolving Fund <br /> <br />TOTAL STORES REVOLVING FUND 72 <br /> <br />$ 40,600 <br /> <br />SECTION 42: <br /> <br /> There is hereby appropriated out of the Treasury of the City of <br />Santa Ana for the fiscal year beginning July 1, 1974 for the Buildinq <br />Maintenance Fund the aggregate sum of Six Hundred Ten Thousand Five ~undred <br />Twenty ($610,520) Dollars appropriated and restricted for the functions, <br />department and/or activity hereinafter set forth in the amount shown as <br />follows: <br /> <br />73 BUILDING MAINTENANCE FUND <br /> <br />CODE NO. <br /> <br />FUNCTION, DEPARTMENT, ACTIVITY <br /> <br />APPROPRIATION <br />$ 610,520 <br /> <br />241 <br /> <br />Building Maintenance <br /> <br />TOTAL BUILDING MAINTENANCE FUND 73 <br /> <br />$ 610,520 <br /> <br />SECTION 43: <br /> <br /> There is hereby appropriated out of the Treasury of the City of <br />Santa Ana for the fiscal year beginning July 1, 1973 for the Civic Center <br />Grounds Maintenance Fund the aggregate sum of One Hundred Forty-Five <br />Thousand Eight Hundred Twenty ($145,820) Dollars appropriated and restricte <br />for the function, department and/or activity hereinafter set forth in the <br />amount shown as follows: <br /> <br />74 CIVIC CENTER GROUNDS MAINTENANCE FUND <br /> <br />CODE NO. <br /> <br />FUNCTION, DEPARTMENT, ACTIVITY <br /> <br />APPROPRIATION <br />$ 145,820 <br /> <br />242 <br /> <br />Civic Center Grounds Maintenance <br /> <br />TOTAL CIVIC CENTER GROUNDS MAINTENANCE FUND 74 <br /> <br />$ 145,820 <br /> <br />-13- <br /> <br /> <br />