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Ordinance 1975ORDINANCE NO. 1975 ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE SCHEDULE ATTACHED TO SECTION 2 OF ORDINANCE NO. 1964, PASSED ON DECEMBER 20, 1977, BY INCREASING THE REVENUES AND APPROPRIATIONS IN THE GENERAL FUND 001, AS A RESULT OF AN INCREASE IN THE CASH CARRY-OVER FROM 1977, BY VIRTUE OF UNEXPENDED APPROPRIATIONS; APPROPRIATING SAID FUNDS AND DECLARING AN EMERGENCY. WHEREAS, the sum of Four Thousand Three Hundred Sixty - Nine Dollars and Seventy -Six Cents ($4,369.76), was budgeted in the General Fund 001, Department 6, Fire Department, for fiscal year 1977, for the purchase of a new automobile for the Chief, resulting in a lapsing of the appropriation, and, WHEREAS, there was appropriated in the 1977 budget in the General Fund 001, Department 4, the sum of One Thousand Three Hundred Five Dollars and Seventy -Five Cents ($1,305.75) for the City's share of the cost of a study of the feasibility for a South Snohomish County Performing Arts Center, and that said funds were not expended during the fiscal year for 1977, resulting in a lapsing of said appropriation, and, WHEREAS, the City Council finds, and so declares that there is an emergency necessitating the passage of an ordin- ance amending the 1978 budget to reappropriate monies for the purchase of an automobile for the Fire Chief, and to fund the City's share of the cost of the study for a South Snohomish County Performing Arts Center, and, WHEREAS, this ordinance has been introduced for not less than five days prior to its passage, now, therefore, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. Section 2 of Ordinance No. 1964, passed on December 20, 1977, and the schedule attached to said ordinance and incorporated by reference in said Section 2, is hereby amended to reflect the following changes: 1. An increase in the revenue and appropriations to and from the General Fund 001 in the amount of Five Thousand Six Hundred Seventy -Five Dollars and Fifty -One Cents ($5,675.51) as a result of an increase in the cash carry-over by virtue of certain appropriations having been made in the 1977 budget, the funds not having been expended and said appropriations having lapsed. Said funds shall be appropriated as follows: a. For the purpose of the acquisition of a automobile for the Fire Chief, Four Thousand Three Hundred Sixty -Nine Dollars and Seventy -Six Cents ($4,369.76) to General Fund 001, Department 6, Fire Department. b. For the purpose of paying the City's share of the cost of the feasibility study for a South Snohomish County Performing Arts Center for the sum of One Thousand Three Hundred Five Dollars and Seventy -Five Cents ($1,305.75), to the General Fund 001, Department 4, Finance Department. -2- 2. A schedule of each separate fund, the revenue is estimated to be received by said fund, and the appropriations from each such fund and the aggregate total of revenues and appropriations for all of said funds is set forth in Exhibit A, attached hereto and incorporated in full by this reference. Section 2. The Finance Director is hereby directed and authorized to make the necessary line adjustments and entries to reflect the increase in revenues and appropriations set forth hereinabove in Section 1. APPROVED: MAYOR, H H. Harrison ATTEST: Lf �2 CITY CLERK, Irene§tarney Moran FILED WITH THE CITY CLERK: February 2, 1978 PASSED BY THE CITY COUNCIL: February 7, 1978 PUBLISHED: February 15, 1978 APPROVED: BY ' •--- �o n D . Wallace -3-