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Resolution 3235 - Transfer Among AppropriationsRFSOLUTION NO. 3235 A RESOLUTION TO APPROVE A TRANSFER AvON'G APPROPRIATIONS WITHIN A GENERAL CLASSIFICATION OF EXPENDITURES AS ADOPTED BY THE CITY OF KALISPELL BUDGET FOR 1973-1979 FISCAL YEAR. WITNESSETH: WHEREAS, in the budget adopted by the City of Kalispell for the 1978-1979 fiscal year, certain detailed and ite=ized estimates of expenditures within the general classification of Maintenance & Operation for the various departments of the City have proven inaccurate in the operation of the City for that portion of the 1973-1979 fiscal year so far expired, and WHEREAS, the overall expenditures of the City in said classification is not in excess of the total of such estimates of expenditures adopted in the City's budget for the 1978-1979 fiscal year thus far expired, and, further, it does not appear that the total of the budgeted appropriations in said classification will exceed such estimate for the balance of the 1978-1979 fiscal year; and WHEREAS, under the authority granted the Council by law to make transfers or cevi8ions within a general budgetary classification, NOW THEREFORE, BE IT RESOLVED, that the following transfers within the classi- Ucation of Maintenance & Operation in the City budget for the 1978-1979 fiscal year :�houtd be made: (See attached Exhibit "A") . ��ASSHD 11N0 APPROVED BY THE CITY COUNCIL AND THE MAYOR OF THE CITY OF KALISPELL, ,,'ONTANA, THIS 16th DAY OF April , 19 79 TTEST -. City Clerk Mayor the undersigned, City Clerk of the City of Kalispell certify that the foregoing is a true ,.S))r of the Resolution duly passed by the City Council of the City of Kalispell, Montana at regular meeting held City Clerof the City of Kalispell DEPARTMENT ACCOUNT DEBIT CREDIT City Attorney 1.404.35 Office Equipment Maintenance 50.00 1-404.21 Office Supplies 50.00 ELtY--Treasurer 1.405.24 Printing 10.00 1.405.35 Office Equipment Maintenance 10.00 CityCourt 1.406.22 Other Supplies 50.00 1.406.52 Sebool & Trawl 100.00 1.406.21 Office Supplies 50.00 1.406.42 Postage 100.00 1.413.57 Clothing Allowance 20.00 1-413.35 Office Equipment Maintenance 20.00 Fire Re �t. 1.416.41 Telephone 80.00 1.416.33 Equipment Maintenance 80.00 street-22?-t-, 1.421.32 Building Maintenance 300.00 1.421.12 Overtime 1,265.00 1.421.22 Other Supplies 917.00 1.421.36 Street Signs 648.00 ELty--i!ior- 1.423.44 Electricity 430.00 1.423.43 Natural Gas 430.00 Parks & Fla grounds 1.438.33 Equipment Maintenance (Recreation) 131.00 1.436.33 Equip. Maintenance (Parks & Playgrounds) 121.00 1.436.44 Electricity (Parks and Playgrounds) 10.00 Revenue Sharing 244.409.8 City Hall Construction 896.00 244.413.9 Police Dept. 150.00 244.423.9 Warehouse 746.00 Water Dept. 57.1.447.33 Equipment Maintenance 2,141.40 57.1.447.80 Improvements 2,141.40 57.1.,447.31 Radio Maintenance 236.70 57.1.447.41 Telephone 69.47 57.1.447.51 Insurance 167.23 Sewer Collection 60.1.454.46 Billing 1,242.00 60.1,454.22 Other Supplies 1,242.00 60.1,454-33 Equipment Maintenance 585.00 60.1.454.39 Lines & Stations 585.00 60.1-454.65 Audit & Consultants 1,170-00 Disposal Plant 60.1.455.90 Capital Outlay 2,510-95 60.1.455.44 Electricity 2,510.95 Garbage 63.460.25 Gas & Oil 600.00 63.460.58 Refunds 250.00 63.460.53 Int. on Warrants 626.00 63.460.34 Truck Maintenance 1,476.00 $12,109.05 $12,109-05