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L. PUBLIC UTILITY FUND <br /> <br />Operating Expenditures <br />Debt Service <br />Total Appropriations <br /> <br />$ 11,879,323 <br /> 4,351,618 <br /> <br />$ 16,230,941 <br /> <br />M. PORT FACILITIES AND ECONOMIC DEVELOPMENT FUND <br /> <br />Debt Service and Operating <br /> Expenditures <br />Total Appropriations <br /> <br />s 620,833 <br /> <br />$ 620,833 <br /> <br />N. PARKING AUTHORITY FUND <br /> <br />Operating Expenditures <br />Debt Service <br />Total Appropriations <br /> <br />$ 536,196 <br /> 448,208 <br /> <br />$ 984,404 <br /> <br />O. CITY GARAGE FUND <br /> <br />Operating Expenditures <br />Total Appropriations <br /> <br />4,949,872 <br /> $ 4,949,872 <br /> <br />P. COMPUTER SERVICES FUND <br /> <br />Operating Expenditures <br />Total Appropriations <br /> <br />$ 3,005,131 <br /> <br />$ 3,005,131 <br /> <br />Q. RISK MANAGEMENT AND INSURANCE FUND <br /> <br />Operating Expenditures <br />Total Appropriations <br /> <br />S 2,895,885 <br /> $ 2,895,885 <br /> <br />R. SCHOOL BOARD RISK MANAGEMENT AND INSURANCE FUND <br /> <br />Operating Expenditures <br />Total Appropriations <br /> <br />$ 858,533 <br /> S 858,533 <br /> <br />S. SCHOOL STUDENT ACTIVITIES FUND <br /> <br />Operating Expenditures <br />Total Appropriations <br /> <br />$ 2,775,000 <br /> $ 2,775,000 <br /> <br /> Section 2. (a) The appropriations hereby made, except <br />those for debt service and School Operating Fund and other <br />school funds, shall be made available on the approval of the <br />City Manager, who shall report to the City Council quarterly <br />in detail all expenditures made for the preceding quarter, and <br />all funds, as far as practicable, shall be expended in equal <br />amounts each month. <br /> <br /> (b) The appropriations for debt service <br />shall be made available as same may become due. <br /> <br /> <br />