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ORDINANCE NO. 98-107 <br /> �a � AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF <br /> GRAPEVINE, TEXAS ADOPTING THE BUDGET FOR THE <br /> CITY OF GRAPEVINE, TEXAS FOR THE FISCAL YEAR <br /> BEGINNING OCTOBER 1, 1998 AND ENDING <br /> SEPTEMBER 30, 1999; PROVIDING FOR INTRA- AND <br /> INTER-DEPARTMENTAL FUND TRANSFERS; PROVIDING <br /> FOR INVESTMENT OF CERTAIN FUNDS; DECLARING AN <br /> EMERGENCY; AND PROVIDING AN EFFECTIVE DATE <br /> WHEREAS, notice of a public hearing on the budget for the City of Grapevine, <br /> Texas for the fiscal year 1998-99 (FY99) was heretofore published in accordance with law; <br /> and <br /> WHEREAS, a public hearing was duly held and all interested persons were given <br /> an opportunity to be heard for or against any item therein. <br /> NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF <br /> - � GRAPEVINE, TEXAS: <br /> � Section 1. That the appropriation amounts for the FY99 budget for the different <br /> funds of the City of Grapevine are hereby fixed as follows: <br /> General Fund $30,188,489 <br /> Utility Fund 12,670,354 <br /> Debt Service Fund 7,204,808 <br /> Convention & Visitors Bureau Fund 3,392,223 <br /> Lake Enterprise Fund 2,191,934 <br /> Insurance Fund 2,501,351 <br /> Fleet Services Fund 816,225 <br /> Internal Capital Leasing Fund 3,042,436 <br /> General Government Capital Projects Fund 8,988,097 <br /> Permanent Street Maintenance Fund 869,500 <br /> Permanent Capital Maintenance Fund - General 616,845 <br /> Utility & Lake Enterprise Capital Projects Fund 14,321,727 <br /> Utility Permanent Capital Maintenance Fund 500,000 <br /> Lake Enterprise Permanent Capital Maintenance Fund 85,000 <br /> Stormwater Drainage Utility Fund 532,051 <br /> � Section 2. That the City Council hereby adopts the revised budget for the fiscal <br /> year ending September 30, 1998, as stated in the proposed Annual Operating Budget for <br /> the fiscal year ended September 30, 1999 and appropriates the funds contained therein. <br />