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AN ORDINanCE TO APPROPRIATE FUNDS NECESSARY FOR OPERATION OF <br />THE CITY GOVE-~-N-~ZENT FOR AI'~D DURING THE FISCAL YEAR~ BEGINNING <br />JULY 1, 1976 AND ENDING JUNE 30, 1977. <br /> <br /> BE IT ORDAINED by the Council of the City of <br />Portsmouth, Virginia: <br /> <br /> Section 1. That the amounts hereinafter stated, be, <br />and the same hereby are, appropriated from the funds indicated <br />and for the purposes specified mn order to operate the city <br />government for and during the fiscal year beginning July i, <br />1976, and ending June 30, 1977. <br /> <br />A. GENERAL FUND <br /> <br />Legislative ............ <br />Executive .............. <br />Department of Law ...... <br />Department of Finance .. <br />Department of Personnel <br />Judicial ............... <br />Department of Health ... <br /> <br />81,183.O0 <br />193,712.OO <br />144,075.00 <br />4,780,611.O0 <br />993,446.00 <br />1,680,067.O0 <br />944~250.00 <br /> <br />Department of Social Services ... <br />Department of Public Safety ..... <br />Department of Public Works ...... <br />Department of Recreation ........ <br />Library ......................... <br />Boards and Commissions .......... <br />Public Transportation ........... <br />Non-Departmental/Other .......... <br />Debt Service .................... <br />Sub-Total Government .......................... <br />Education and Scholarships .................... <br />Total Appropriations .......................... <br /> <br />1,339,531.00 <br />8,189,190.O0 <br />4,669,046.00 <br />1,695,060.00 <br />374,649.00 <br />192,887.O0 <br />267,600.00 <br />1,257,899.O0 <br />977,046.00 <br /> <br />B. CITY GARAGE FUND <br /> <br />Operating Expenditures .......... $ 1,415,399.O0 <br />Total Appropriations .......................... $ <br /> <br />C. GENERAL DEBT SERVICE <br /> <br />Debt Service .................... $ 6,155.704.O0 <br /> <br />$27,780,252.00 <br /> 23,182,O73.00 <br /> 50,962,325.00 <br /> <br />1,415,399.00 <br /> <br /> <br />