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AN ORDINANCE TO APPROPRIATE FI/NDS NECESSARY FOR OPERATION OF THE CIT~ <br />GOVERNmeNT FOR AND DURING THE FISCAL YEAR BEGiN~NTNG JULY 1, 1970, AND <br />ENDING JUNE 30, 1971o <br /> <br />ginia: <br /> <br />Be it ordained by the Council of the City of Portsmouth, Vir- <br /> <br /> Section 1. That the amounts hereinafter stated, be and the <br />same hereby are appropriated from the funds indicated and for-the pur- <br />poses specified in order to operate ~he city government for and during <br />the fiscal year beginning Jut9 1, 1970, and e~ding June 30r 1971. <br /> <br />A. GENERAL FUND <br /> <br />Legislation <br />Executive <br />Department of Law <br />Department of Finance <br />Department of Personnel <br />Judicial <br />Department of Public Health <br />Department of Public Welfare <br />Department of Public Safety <br />Department of Public Works <br />Department of Recreation <br />Library <br />Boards and Commissions <br />Non-Departmental - Other <br />Debt Service <br /> Sub'Total City Government <br />Education and Scholarships <br /> Total Appropriations <br /> <br />46,200.00 <br />77,963.00 <br />71,462.00 <br />1,482,730.00 <br />37,398.00 <br />744,318.00 <br />279,764.00 <br />5,229,843.00 <br />4,580,217.00 <br />2,763,490.00 <br />732,562~00 <br />190,079.00 <br />226,720.00 <br />257,581.00 <br />2,162,429.00 <br />i~,882,756.00 <br />15,402,930.00 <br /> <br />$34,285,686.00 <br /> <br />B. CITY GARAGE FUND <br /> <br />Operating Expenditures <br /> Total Appropriations <br /> <br />580,111.00 <br /> <br />580,111.00 <br /> <br />C. GEhrE_~3dL CAPITAL !~ROVEUENT FUND <br /> <br />Debt Service <br />Capital Outlay <br /> Total Appropriations <br /> <br />5,652,844.00 <br /> 250,000.00 <br /> <br />$ 5,902,844.00 <br /> <br />D. PUBLIC 5~IL!TY FUND <br /> <br />Operating Expenditures <br />Debt Service <br /> Total Appropriations <br /> <br />2,965~966.00 <br />1,224,t15.00 <br /> <br />~4,i90,08!.00 <br /> <br /> <br />