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Ordinance 1977-15 ORDINANCE NUMBER 77-15 AN ORDINANCE ADOPTING A REVISED BUDGET APPROPRIATING RESOURCES FOR THE BUDGET YEAR ENDING SEPTEMBER 30, 1977. BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF WYLIE, TEXAS: SECTION 1: That the revised budget estimate of the revenues and expenditures for the City of Wylie, Texas, as prepared by the City Manager and appropriated by the City Council for the fiscal year beginning October 1, 1976, and ending September 30, 1977, be and is hereby adopted and approved for such fiscal year; SECTION 2: That the sum of Two Hundred Thirty-Eight Thousand Four Hundred Thirty- Six ($238,436) Dollars is hereby appropriated out of the General Fund Revenues for the payment of operating expenses and capital outlay of the city government, as set forth in detail in the revised budget; SECTION 3: That the sum of Eighteen Thousand Ninety ($18,090) Dollars is hereby appropriated out of the General Obligation Interest & Sinking Tax Bond Revenues for the purpose of paying the accuring interest and redeeming bonds as they mature during the year of the General Debt Service as listed in detail in the revised budget; SECTION 4: That the sum of One Hundred Twenty-Seven Thousand Four Hundred Ten Dollars ($127,410) is hereby appropriated out of the Water and Sewer Utility Fund Revenues for the payment of operating expenses and capital outlay of the city government, as set forth in detail in the revised budget; SECTION 5: That the sum of Forty-Two Thousand Seven Hundred Eighty-Nine Dollars ($42,789) is hereby appropriated out of the Water and Sewer Utility Fund Revenues for the purpose of paying the principle and interest on Revenue Bonds, Warrants and Interest, Bond and Bank Fees, as they mature during the year on the Utility Debt Service as listed in the detail in the revised budget; SECTION 6: That the sum of Six Thousand Six Hundred Twenty-Five ($6,625) Dollars is hereby appropriated out of the Water and Sewer Utility Fund Revenues for the purpose of paying principle and interest on Tax and Revenue Bonds, Interest and Bank Fees, as they mature during the year on the Utility Debt Service as listed in the revised budget; SECTION 7: That the sum of Thirty Thousand Nine Hundred Thirty-Two ($30,932) Dollars is hereby appropriated out of the Revenue Sharing Fund for payment of Operating Ex- penses and capital outlay of the city government, as set forth in the detail in the revised budget; SECTION 8: That the sum of Four Thousand Six Hundred Seventy ($4,670) Dollars is het'euy appropriated out of the Street Improvement Construction Account for payment of notes payable for capital outlay of the city government, as set forth in detail in the budget; SECTION 9: That this Ordinance be in full force and effect from and after its adoption. iv Passed And Approved This the 12th day of September 1977. Attest: JiiaJ/ A(JJI a 80 J Barbara Ellis, City Secretary Iv diIa~' [{ #lallt1-'-" William E. Martin, Mayor v