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J. PUBLIC UTILITY FUND <br /> <br />Operating Expenditures <br />Debt Service <br />Total Appropriations <br /> <br />$11,905,858 <br /> 3,233,922 <br /> <br />K. PORT FACILITIES AND ECONOMIC <br /> <br />$ 15,139,780 <br /> <br />DEVELOPMENT FUND <br /> <br />Operating Expenditures $ 144,~44 <br />Debt"Service 685,467 <br />Total Appropriations <br /> <br />830,311 <br /> <br />ne <br /> <br />Operating Expenditures <br />Debt Service <br />Total Appropriations <br /> <br />PARKING AUTHORITY FUND <br /> <br /> S 331,510 <br /> 396,410 <br /> <br />$ 727,920 <br /> <br /> M. CITY GARAGE FUND <br /> <br />Operating Expenditures $5,092,335 $ 5,092,335 <br />Total Expenditures <br /> <br />N. COMPUTER SERVICES FUND <br /> <br />Operating Expenditures $1,886,870 <br />Total Expenditures $ 1,886,870 <br /> <br />O. SELF INSURANCE FUND <br /> <br />Operating Expenditures $ 491,582 <br />Total Appropriations $ 491,582 <br /> <br />Section 2. (a) The appropritions hereby made, except those for <br />debt service and School Operating Fund, shall be made available on the <br />appproval of the City Manager, who shall report to the City Council <br />quarterly in detail all expenditures made for the preceeding quarter <br />and all funds, as far as practicable, shall be expended in equal <br />amounts each month. <br /> (b) The appropriations for debt service shall be made <br /> available as same may become due. <br /> (c) The City Manager is hereby authorized at any time <br /> during the fiscal year to effect any consolidation of offices, or to <br /> make other changes he may deem to be in the interest of the City, <br /> provided there is no increase in expense. <br /> <br /> <br />