ORDINANCE NO. 2877

 

 AN ORDINANCE MAKING SUPPLEMENTAL APPROPRIATIONS

 TO THE 1995 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 the sources indicated to the funds within the City of Grand Junction budgets for the year 1995 for expenditure from such funds as follows:

 

104 Community Development Fund $ 500,000

  Source of funds:

  From additional revenues received $ 500,000

 

105 Parkland Expansion Fund $ 35,000

  Source of funds:

  From unappropriated fund balance $ 35,000

 

203 DDA TIF Capital Improvements Fund $ 53,001

  Source of funds:

  From unappropriated fund balance $ 53,001

    and additional revenues received

 

207 Future Street Improvements   $ 16,090

  Source of funds:

  From unappropriated fund balance $ 16,090

 

303 Two Rivers Convention Center Fund $ 43,950

  Source of funds:

  From unappropriated fund balance $ 43,950

 

304 Swimming Pools Fund $ 10,000

  Source of funds:

  From unappropriated fund balance $ 10,000

 

305 Lincoln Park Golf Course Fund $ 30,185

  Source of funds:

  From unappropriated fund balance $ 30,185

 

306 Tiara Rado Golf Course Fund $ 37,180

  Source of funds:

  From unappropriated fund balance $ 37,180

 

307 Cemetery Fund $ 10,000

  Source of funds:

  From unappropriated fund balance $ 10,000

 

704 Cemetery Perpetual Care Fund $ 18,000

  Source of funds:

  From additional revenues received $ 18,000

 

 

 

The Following sum shall be appropriated to the Administrative Services Department, said sum to be derived from charges to various departments receiving services rendered by the Data Processing Division:

 For Data Processing Fund $ 33,269

  Revenue from Data Processing Fund $ 33,269

 

The following sum shall be appropriated to the Equipment Division, said sum to be derived from charges to the various departments for equipment maintenance and replacement.

 For Equipment Division in the

       Public Works Department $ 45,199

  Revenue from Equipment Fund $ 45,199

 

 

Introduced on first reading this 1st day of November, 1995.

 

Passed and adopted this 6th day of December, 1995

 

 

 

Attest:

               /s/ Ron Maupin

               President of the Council

/s/ Stephanie Nye

City Clerk