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t t <br /> ORDINANCE NO. 2001-28 <br /> SUPPLEMENTAL APPROPRIATION FOR FISCAL YEAR <br /> MAY 1,2000 THROUGH APRIL 30, 2001 <br /> SEWER CAPITAL FUND-FUND 79 <br /> WHEREAS, subsequent to the adoption by the Council of the annual Appropriation <br /> Ordinance for the fiscal year May 1, 2000 through April 30, 2001, certain additional revenue not <br /> available and not then anticipated to be available when said annual Appropriation Ordinance was <br /> adopted has been made available or is anticipated to become available by using the fund's <br /> beginning fund balance not previously anticipated and appropriated; and <br /> WHEREAS, the total amount hereinafter appropriated is not in excess of the aggregate of <br /> the additional revenue so made available or estimated to be received by the City subsequent to <br /> the adoption of said annual Appropriation Ordinance as aforesaid. <br /> NOW, THEREFORE, BE IT ORDAINED, BY THE COUNCIL OF THE CITY OF <br /> DECATUR, ILLINOIS: <br /> Section 1. That the following sums be, and they aze hereby appropriated in the Sewer <br /> Capital Fund - Fund 79, for the corporate purposes, expenses, and lawful charges of the City for <br /> the fiscal year May 1,2000 through April 30, 2001, said sums to be provided for as aforesaid: <br /> Sewer Capital Projects and Repairs $700,000 <br />