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HomeMy WebLinkAboutORD 76-98••0 1 A M • •� ENTITLED AN ORDINANCE AMENDING THE BUDGET OF THE CITY OF BEAUMONT FOR THE FISCAL PERIOD COMMENCING OCTOBER 1, 1975, AND ENDING SEPTEMBER 30, 1976, BY TRANSFERRING $2021442.00 FRAM EXCESS REVENUES AND $14,000.00 FROM ACCOUNT NO. 24-101 TO VARIOUS SALARY ACTIVITY ACCOUNTS. BE IT ORDAINED BY THE CITY OF BEAUMONT: THAT the budget of the City of Beaumont for the fical year commencing October 1, 1975, and ending September 30, 1976,. be, and the same is hereby amended by transferring $202,442.00 frau excess revenues and $14,000.00 frau Account No.. -26-101 to the following accounts in the amounts as shown: Account No Department Amount 11-101 City Manager $ 4,857.00 12-101 Legal 13-101 City Clerk 15-101 Personnel 16-101 Building Maintenance 18-101 Administrative Services 20-101 Finance Supervision 21-101 Accounting 22=101 Data Processing 25-101 Central Collection 26-101 Tax Agency 38-101 Traffic Engineering 39-101 Parking Control 40-101 Public Works 41-101 Engineering 43-101 Solid Waste 50-101 Conran ity Development 51-101 Planning & Zoning 52-101 Environmental Control 53-101 Building Inspection 65-101 Parks & Recreation $ 4,977.00 $ 11,054.00 $ 4,428.00 $ 26,733.00 $ 1,432.00 $ 850.00 $ 1,315.00 $ 1;735.00 $ 556.00 $ 39,392.00 $ 4,753:00 $ 2,465.00 $ 4,297.00 $ 2,901.00 $ 60,282.00 $ 10,591.00 $ 5,452.00 $ 3,574.00 $ 11,562.00 $ 4,464.00 66-101 Art Center $ 450.00 80-101 Utility Supervision $ 1,332.00 98-101 Fleet Maintenance $ 6,990.00 .PASSED BY THE CITY COUNCIL of the City of Beaumont this the day of Li /Y211AE21 1976. -2-