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015-92 Ordinance .. ~.. """'.....~., , ..>"~"'-- i-I[' -- ".~J1J1l RECORD OF ORDINANCES Dayton Legal Blank Co. Form No. 30043 . 15-92 Passed_____ ___u__H_uH__________u_ ______19____ - - Ordmance NO.____________m_____n AN ORDINANCE AMENDING THE ANNUAL APPROPRIATIONS FOR FISCAL YEAR 1992, r- AND DECLARING AN EMERGENCY '-- WHEREAS, the Ohio Revised Code requires, when necessary, amendments to the annual appropriations ordinance in order that appropriations are not over expended; and WHEREAS, it is necessary to amend those appropriations to allow for the continuation of capital improvement projects approved prior to January 1, 1992. NOW, THEREFORE BE IT ORDAINED by the Council of the city of DUblin, state of Ohio, ~ of the elected members concurring: Section 1. That there be appropriated from the balance in the Muirfield Drive Improvements Fund the sum of $350,000.00 to account 46-03-14-2551 for the purpose of constructing the roadway per the contract awarded by Council and the sum of $11,210.02 to account 46-03-14-2410 for the costs of supplies related to the appropriation cases. Section 2. That there be appropriated from the unappropriated balance in the Dublin Justice Center Construction Fund the sum of $15,194.00 to account 47-03-14-2530 for architectural fees. r- Section 3. That there be appropriated from the unappropriated L balance in the Dublin Village Center Lighting Fund the sum of $147,684.47 to account 51-03-14-2710 for the purpose of reimbursing the Capital Improvements Tax Fund for the cost of the project. Section 4. That there be appropriated from the unappropriated balance in the state Route 161 Improvements Fund the sum of $113,822.37 to account 52-03-14-2550 for the purpose of design costs and other expenses associated with the road improvement. Section 5. That this ordinance be, and hereby is, declared to be an emergency measure for the preservation of the public peace, health, and safety, and therefore this ordinance shall take effect and be in force immediately upon its passage. Passed this / t-it. day of 711 ()AA J!.. .J , 1992. [ ATTEST: .p \\\ "'. . ~e,e ~o~~~ to~9. ~ .o\e~ c, I.' 1\\e Q\\'t ~ ~. ~ ,,:\\<,()~~':\\~'(\~~\.'1.')o\~ Clerk of Council ~~e<' t;)\ '~" ~etV~\\ .\-,,~ ~. . e ~I\ ,',~'l . ~~\\~ 'f'. ttO' \ \\e~e'o" ')~\)\.\, \\\ ~ ~ C\\'i 0\ Cl. . . a\\\o . ~\\'o~\\\1 to\\\\t~1 ()e~ 0\ ,....,'''_,.''''"..".'''''''~._.lLd_ 1_._. 1 ..,JI .... l! ,,,~,'''_~._l1U!':.lIW,ffl Il"1Ij1JV_~". ,....."<!l!&_'Il"'"';.;-,'l<"''''''-'-_,''''''~'''''''"~_,'?'_,."." -' .~._,...._..~~.~._-~.---_. - .....,..- , r'l MEMORANDUM "", TO: All Council Members FROM: Timothy C. Hansley, City Manager / ~~O SUBJECT: Amendments to Annual Appropriation Ordinance DATE: March 12, 1992 INITIATED BY: Marsha 1. Grigsby, Finance Director '#0 Ordinance 15-92 is needed to appropriate funds for major capital improvement projects that were initiated prior to 1992. The amounts requested for appropriation are the unencumbered balances as of December 31, 1991. We are requesting these funds be appropriated so that the funds will be available to complete the projects or the phase of the project that has been initiated. These requests do not involve any new funds. These requests were not included in ordinance 09-92 because we prefer to keep separate the operating budget, including cash capital items, and major capital projects.