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HomeMy WebLinkAbout1992-161BUDGTAN.00 ORDINANCE NO. AN ORDINANCE OF THE CITY OF DENTON, TEXAS AMENDING THE 1991-92 BUDGET OF THE CITY OF DENTON, TEXAS BY APPROPRIATING THE SUM OF NINETY-TWO THOUSAND NINE HUNDRED FORTY-NINE DOLLARS ($92,949.00) FROM THE UNAPPROPRIATED BALANCE OF THE GENERAL FUND TO VARIOUS ACCOUNT FUNDS; APPROVING BUDGET ADJUSTMENTS FOR FISCAL YEAR 1991-92; AND DECLARING AN EFFECTIVE DATE. WHEREAS, the City Council finds it necessary to make certain unforeseen expenditures within Facilities Management, a Division of the Municipal Services/Economic Development, and Hotel/Motel tax recipient budgets; and WHEREAS, the current estimated revenues from leases is estimated to offset the additional expenditures for Facilities Management, a Division of the Municipal Services/Economic Davelopment, and Hotel/Motel tax revenue projections are equal to expenditures; NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF DENTON HEREBY ORDAINS: SECTION I. That the 1991-92 Budget of the City of Denton, Texas is hereb, amended by appropriating the sum of $92,949 from the unappropriated balance of the General Fund to the following fund accounts: SUPPLEMENTAL APPROPRIATION 100-032-0002-9101 45,000 100-041-020M-8935 11,726 100-041-020M-8961 6,914 100-041-020M-8975 7,277 100-041-020M-8976 1,311 100-041-020M-8977 5,718 100-041-020M-8978 780 100-041-020M-8998 14,223 FUND BALANCE 92,949 SECTION II,. That the City Secretary is directed to attach a copy of this ordinance to the original budget and cause this amendment to ba published once in the Denton Record -Chronicle in accordance with Section 8.08 of the City Charter. SECTION IIT. The budget adjustments, as indicated on Exhibit "A", attached hereto and included by reference herein, for the fiscal year 1991-92 are hereby, in all things, approved and ratified. SECTION IV. That this ordinance shall become effective immediately upon its passage and approval. PASSED AND APPROVED this the 15th day of September, 1992. ATTEST: JENNIFER WALTERS, CITY SECRETARY BY: APPROV AS TO LEGAL FORM: EY Page 2 CASTLEBERRY, MA EXHIBIT A FISCAL YEAR 1991-92 YEAR END BUDGET ADJUSTMENT GENERAL FUNU GENERAL FUND EXPENDITURES CURRENT BUDGET INC (DEC) ADJUSTMENT MODIFIED BUDGET LEGAL $406,900 $5,000 $411,900 MUNICIPAL JUDGE $110,676 $723 $111,399 GENERAL GOVERNMENT $506,498 ($870) $505,628 COMMUNITY IMPROVEMENT $215,131 ($3,840) $211,291 DRAINAGE $376,256 ($1,013) $375,243 FIRE $5,383,785 $33,730 $5,417,515 POLICE $6,003,744 ($1,344) $6,002,400 ENGINEERING $3,326,996 ($22,979) $3,304,017 MISCELLANEOUS 1,898,798 (9,407) $1,889,391 NET GENERAL FUND ADJUSTMENT $0 d