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Al,] ORDIN~JCE TO APPROPRIATE FUNDS NECESSARY FOR OPERATION OF THE <br />CITY GOVE~LE~ FOR AND DURING TiiE FISCAL YEAR BEGINDING JULY 1, <br />1971, AND ENDING JUNE 30, 1972. <br /> <br /> Be it ordained by the Council of the City of Portsmouth, <br />Virginia: <br /> <br /> Section 1. That the amounts hereinafter stated, be and <br />the same hereby are appropriated from the funds indicated and for <br />the purposes specified mn order to operate the city goverm~ent for <br />and during the fiscal year beginnzng July 1, 1971, and ending June <br />30, 1972. <br /> <br />A GE~,~.RA~ FUND <br /> <br />Legislation <br />mxecu~ive <br />Department of Law <br />Depsrtmen5 of Finance <br />Department of Personnel <br />Judicial <br />Department of Public Health <br />Department of Social Services <br />Department of Public Safety <br />Department of Public Works <br />Departmen~ of Recreation <br />Library <br />Boards and Co~m~issions <br />Non-Departmental - Other <br />Debt Service <br /> Sub-Total City Government <br />Education and Scholarships <br /> <br />$ 57,535.00 <br />73,653.00 <br />74,316.00 <br />1,731,848.00 <br />36.297.00 <br />807,649.00 <br />372,52~.00 <br />1,t16~876.00 <br />4,916,695.00 <br />2,965,937.00 <br />756,137.00 <br />196,192.00 <br />t15,366.00 <br />310,174.00 <br />2,562,596.00 <br /> <br />16,093,799.00 <br />16,041,360.00 <br /> <br />Total Appropriations <br /> <br />$32,135,159.00 <br /> <br />CITY GARAGE FUND <br /> <br />Operating Expenditures <br /> <br />589,974.00 <br /> <br />Total Appropriations <br /> <br />$ 589,974.00 <br /> <br />C. GENERAL CAPITAL IMPROVL~4ENT FUJD <br /> <br />Debt Service <br />Capital Outlay <br /> Total Appropriations <br /> <br />$ 5,961,596.00 <br /> 250,000.00 <br /> $6,211,596.00 <br /> <br /> <br />