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RES NO 12-01-2000 CITY OF VAN BUREN, ARKANSAS RESOLUTION NO. /a 2000 A RESOLUTION ADOPTING A REVISED BUDGET FOR THE YEAR ENDING DECEMBER 31, 2000. BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF VAN BUREN, ARKANSAS: THAT, 2000 estimated current year's revenues of $8,093,605.00 (Eight Million, Ninety -three Thousand, Six Hundred Five Dollars) are appropriated and copy of said Budget is attached hereto and made a part hereof; and THAT, 2000 estimated current year's expenditures of $6,860,500.00 (Six Million, Eight Hundred Sixty Thousand, Five Hundred Dollars) including expenditures from prior year's balances are appropriated and a copy of said Budget is attached hereto and made a part hereof; and THAT, Transfers from General Fund to Parks and Recreation Fund totaling $66,117.75 (Sixty -Six Thousand, One Hundred Seventeen Dollars and Seventy -Five Cents) are approved; and THAT, Transfers from General Fund to LOPFI in the amount of $28,400.00 (Twenty- Eight Thousand, Four Hundred Dollars) are approved; and THAT, Transfers from General Fund to King Opera House Fund in the amount of $12,700.00 (Twelve Thousand, Seven Hundred Dollars) are approved; and THAT, Transfers from General Fund to Street Fund in the amount of $36,000.00 (Thirty-Six Thousand Dollars) are approved; and THAT, Transfers from Capital Improvements Fund to Parks Recreation Fund totaling $43,143.58 (Forty-Three Thousand, One Hundred Forty-Three Dollars and Fifty Eight Cents) are approved; and THAT, Transfers from Capital Improvements Fund to the Street Fund in the amount of $113,983.48 (One Hundred Thirteen Thousand, Nine Hundred Eighty -Three Dollars and Forty-Eight Cents) are approved; and THAT, Transfers from LOPFI Fund to General Fund in the amount of $28,400.00 (Twenty-Eight Thousand, Four Hundred Dollars) are approved; and THAT, Estimated current year's expenditures from the LOPFI Fund in the amount of $140,000.00 (One Hundred Forty Thousand Dollars) are appropriated; and THAT, Estimated current year's expenditures from the Capital Improvements Fund in the amount of $428,164.18 (Four Hundred Twenty-Eight Thousand, One Hundred Sixty- Four Dollars and Eighteen Cents) are appropriated as follows: (Expenditures $18,989.00; Fire Department $6,318.86; Street Department $113,983.48; Parks Recreation $43,143.58; K.O.H. $5,729.26; Water Sewer $240,000.00). THAT, Estimated current year expenditures from the Levee Fund in the amount of $1,200.00 (One Thousand, Two Hundred Dollars) are appropriated; and THAT, Estimated current year's expenditures from Civil Small Claims Fund in the amount of $6,500.00 (Six Thousand, Five Hundred Dollars) are appropriated; and THAT, Estimated current year's expenditures of Act 833 Money totaling $19,000.00 (Nineteen Thousand Dollars) are appropriated; and THAT, Estimated current year's expenditures from the King Opera House Fund in the amount of' $26,000.00 (Twenty-Six Thousand Dollars) are appropriated. PASSED AND APPROVED THIS 18 DAY OF DECEMBER, 2000: it1... %1 C .1 i YOR c1 ATTESTED: CITY CLERK TREASURER