Ordinance No. 3771
AN ORDINANCE MAKING SUPPLEMENTAL APPROPRIATIONS TO THE 2005 BUDGET OF THE CITY OF GRAND JUNCTION.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF GRAND JUNCTION:
That the following sums of money be appropriated from unappropriated fund balance and additional revenue to the funds indicated for the year ending December 31, 2005, to be expended from such funds as follows:
FUND NAME | FUND # | APPROPRIATION |
General | 100 | $ 469,545 |
E-911 Special Revenue | 101 | $ 53,000 |
CDBG, Grant Distributions | 104 | $ 227,350 |
Sales Tax Capital Improvements | 201 | $ 3,260,000 |
Storm Drainage Capital Improvements | 202 | $ 1,304,000 |
DDA, TIF Capital Improvements | 203 | $ 791,000 |
Riverside Parkway Capital Project | 204 | $ 2,270,000 |
Water | 301 | $ 1,016,000 |
Solid Waste | 302 | $ 1,500 |
Two Rivers Convention Center | 303 | $ 105,000 |
Swimming Pools | 304 | $ 220,000 |
Data Processing | 401 | $ 574,848 |
Equipment | 402 | $ 213,000 |
Communications Center | 405 | $ 53,000 |
PIAB | 703 | $ 6,500 |
Joint Sewer | 900 | $ 1,255,000 |
TOTAL ALL FUNDS | $ 11,819,743 |
INTRODUCED AND ORDERED PUBLISHED this 20th day of April, 2005.
PASSED AND ADOPTED this 18th day of May, 2005.
Attest:
/s/: Bruce Hill
President of the Council
/s/: Stephanie Tuin
City Clerk