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HomeMy WebLinkAbout111 - 09/18/1979 - APPROPRIATING RESERVE FUNDS AND ADDITIONAL UNANTICIPATED REVENUE IN THE SEVEN YEAR CAPITAL FUND OF T OPDINANCE NO 111 , 1979 BEING AN ORDINANCE OF ThE COUNCIL OF THE CITY OF FORT COLLINS APPROPRIATING RESERVE FUNDS AND ADDITIONAL UNANTICIPATED PEVENUE IN THE SEVEN YEAR CAPITAL FUND OF THE CITY FOR PAYMENT OF DESIGNATED EXPENSES THEREOF WHEREAS, an annual budget for the City's Seven Year Capital Fund for 1979 was heretofore approved by the Council and an annual appropriation ordinance for 1979 was adoptea providing for expenditure from said fund for particular purposes specified in the budget, and WHEREAS, in the opinion of the Council , additional expenditures from the Seven Year Capital Fund in excess of those appropriated in the 1979 Annual Appropriation Ordinance will be necessary to pay the costs of certain expenses, and WHEREAS, reserves accumulated in prior years exist in the Seven Year Capital Fund, and 11HEREAS, revenues not anticipated in the budget have been received which revenues were designated by the source providing the same for er- penditure for a particular purpose, and t,HEPEAS, Article V, Section 8 of the Charter of the City of Fort Collins provices that the Council by ordinance may authorize payment of expenses from reserves accumulated in prior years notwithstanding that such reserves were not appropriated for expenditure in the annual appropriation ordinance, and WHEREAS, Article V , Section 15 of the Charter provides that the Council may, at any time arming the year in which said revenues are re- ceived, authorize by ordinance the expenditure of such revenues or any part thereof notwithstanding the fact that such revenues v,eie not appropriated for expenditure in the annual appropriation ordinance NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT COLLINS that the total suns of $538,561 GO be, and the same hereby is, appropriated from the Seven Year Capital Fund as follows Section I From accumulated reserves of the Seven Year Capital Fund, the sum of $41A,237 00 for expenditure on the following projects Open Space and Trails $131 282 00 Street Ia provements 259,131 00 Lemay Avenue Extension 9,500 OG New Municipal Building 14,322 00 ` TOTAL $414,237 00 _ r 3 r r 91 7'f }F ;i i 4{{ Mr i wr> yam. 3 i Section 2 From revenue not anticipated in the budget, the sum of $124,32n 00 for expenditure on the following protects Historic Facilities $ 59000 00 Street - Traffic Improvements 50,324 00 Lemay Avenue Extension 549000 00 Stour Drainage 15,000 00 TOTAL $124,324 00 Introduced, considered favorably on first reading, and ordered pub- lished this 4th day of September, 1979, and to be presented for final passage on the 18th day of September, 1979 Nayor 7 ST City Clerk Passed and adopted on final reading this 18th day of September, 1979 r 7 T Ci y Clerk K y r u^ 3 Y ay t t � s i _ �ti h -2- , c a A �