HomeMy WebLinkAboutORD 1998-019 ,.� ORDINANCE NO. 98-19
� AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
GRAPEVINE AMENDING ORDINANCE NO. 97-112
RELATIVE TO THE FISCAL YEAR 1997-98 BUDGET BY
AMENDING SECTION 1; DECLARING AN EMERGENCY
AND PROVIDING AN EFFECTIVE DATE
WHEREAS, $30,000.00 is needed for additional costs associated with Employee
Health Service; and
WHEREAS, funds are available from the Insurance Fund balance; and
WHEREAS, it is necessary to appropriate $30,000.00 for said health services.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
GRAPEVINE, TEXAS:
�
Section 1. That all the above premises are true and correct and are hereby
� incorporated into this Ordinance as if copied in their entirety.
Section 2. That funds in the amount of$30,000.00, authorized by this Ordinance,
will be appropriated for expenditures from the Insurance Fund as described above.
Section 3. That Section 1 of Ordinance No. 97-112, as amended, is hereby
amended to read as follows:
"Section 1. That the appropriation amounts for the FY 98 budget for different funds
of Grapevine are hereby fixed as follows:
GeneralFund......................................................................................$27,222,454
UtilityFund............................................................................................ 11,643,893
DebtService Fund ..................................................................................7,285,342
Convention & Visitors Bureau Fund........................................................3,451,802
Lake Enterprise Fund ............................................................................. 1,549,773
InsuranceFund.......................................................................................2,390,175
Fleet Services Fund...................................................................................635,122
"�'� Internal Capital Leasing Fund................................................................. 1,351,539
General Government Capital Projects Fund ......................................... 10,348,593
�
Permanent Street Maintenance Fund........................................................682,171
Permanent Capital Maintenance Fund - General ......................................716,159
,.�. Utility & Lake Enterprise Capital Projects Fund ......................................7,207,032
Utility Permanent Capital Maintenance Fund.......................................... 1,120,100
Lake Enterprise Permanent Capital Maintenance Fund .............................81,000"
�
Section 4. That the City Manager be and is hereby authorized to make the
appropriate change to the budget to reflect the change noted above.
Section 5. A true copy of this Ordinance amending the Fiscal Year 1997-98 budget
shall be filed with the City Secretary.
Section 6. The fact that the present ordinances and regulations of the City of
Grapevine, Texas are inadequate to properly safeguard the health, safety, morals, peace
and general welfare of the public creates an emergency which requires that this Ordinance
become effective from and after the date of its passage, and it is accordingly so ordained.
PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF
GRAPEVINE, TEXAS on this the i 7th day of February , 1998.
'��° ' APPROVED:
�
William D. Tate
Mayor
ATTEST:
Linda Huff
City Secretary
APPROVED AS TO FORM:
;
:1 .��,.�,. , ... e
� Matthew Boyle
City Attorney
ORD. NO. 98-19 2