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ORDINANCE NO. 98-60 <br /> u AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF <br /> GRAPEVINE AMENDING ORDINANCE NO. 98-49 RELATIVE <br /> TO THE FISCAL YEAR 1997-98 BUDGET BY AMENDING <br /> SECTION 1; DECLARING AN EMERGENCY AND <br /> PROVIDING AN EFFECTIVE DATE <br /> WHEREAS, $148,000 is needed for the acquisition of a Motor Grader; and <br /> WHEREAS, funds are available from the Internal Capital Leasing Fund excess <br /> revenues; and <br /> WHEREAS, it is necessary to appropriate $148,000.00 for said equipment <br /> acquisition. <br /> NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE <br /> CITY OF GRAPEVINE, TEXAS: <br /> � � Section 1. That all the above premises are true and correct and are hereby <br /> incorporated into this Ordinance as if copied in their entirety. <br /> Section 2. That funds in the amount of $148,000.00, authorized by this <br /> Ordinance, will be appropriated for expenditures from the Internal Capital Leasing Fund <br /> as described above. <br /> Section 3. That Section 1 of Ordinance No. 98-49, as amended, is hereby <br /> amended to read as follows: <br /> "Section 1. That the appropriation amounts for the FY 98 budget for different funds <br /> of Grapevine are hereby fixed as follows: <br /> General Fund......................................................................................$28,623,254 <br /> UtilityFund ........................................................................................... 11,340,144 <br /> DebtService Fund .................................................................................7,285,342 <br /> Convention & Visitors Bureau Fund........................................................3,527,602 <br /> Lake Enterprise Fund ............................................................................. 1,643,068 <br /> Insurance Fund.......................................................................................2,390,175 <br /> Fleet Services Fund...................................................................................635,122 <br /> Internal Capital Leasing Fund.................................................................1,537,496 <br /> 4e a General Government Capital Projects Fund ......................................... 10,348,593 <br /> Permanent Street Maintenance Fund........................................................682,171 <br /> �' Permanent Capital Maintenance Fund-General ........................................716,159 <br />