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12528ORDINANCE NO. 121528 AN ORDINANCE APPROPRIATING FUNDS FROM THE UNAPPROPRIATED BALANCES IN THE GENERAL AND STREET FUNDS TO PROVIDE FOR CERTAIN EXPENSES; AMENDING IN PART ORDINANCE NO. 12,415; AND FOR OTHER PURPOSES. NOW, THEREFORE, BE IT ORDAINED BY THE BOARD OF DIRECTORS OF THE CITY OF LITTLE ROCK, ARKANSAS. SECTION 1. There is hereby appropriated from the unappropriated balance in the General Fund for the year 1971, the sum of $19,700.00 and from the unappropriated balance in the Street Fund for the year 1971, the sum of $11,500.00, the aggregate total of which is $31,200.00 and is to be used for the following expenditures: AMOUNT DEPARTMENT EXPLANATION $1,000 (Gen. Fund) Administrative & Travel expenses not assignable to a Gen. Service specific department $1,500 (Gen. Fund) Finance $1,000 (Gen. Fund) City Clerk $13,000 (Gen. Fund) Municipal Court $3,200 (General Fund) Sanitation $10,000 (Street Fund) Traffic $1,500 (Street Fund) Traffic Privilege license refunds Legal publication expenses Salary increases for Judges & Clerks approved by State Legislature Increase billing charges by Waterworks Re -roof traffic building Equipment shed for night -liner SECTION 2. The foregoing appropriations having been made from the unapprop- riated balances in the General and Street Funds for the year 1971 shall be deemed and considered from and after the passage of this Ordinance as appropriations lasting and existing through the year 1971 and thereafter until same shall be expended for the purposes set forth or until changed by appropriate action of the Board of Directors. The Budget Ordinance of the City of Little Rock for 1971 same being Ordinance No. 12,415 is hereby amended to reflect the changes herein made. SECTION 3. This Ordinance shall be in full force and effect from and after its passage. PASSED: August 2, 1971 ATTEST: �� qi-tk City Clerk APPROVED: G Mayor �oG- 7