HomeMy Public PortalAbout02200 O R D I N A N C E NO. 2200
AN ORDINANCE appropriating Thirty Thousand Dollars
($30,000.00) from the unappropriated surplus of the General Fund
to be loaned to Subdistrict No. 88 (Fountain Creek), and providing
for the repayment of said sum; and further appropriating the sum
of One Hundred Sixty Thousand Dollars ($160,000.00) from the
Operating Fund of Subdistrict No. 88 (Fountain Creek) to be used
for the construction of improvements of the channel of Fountain
Creek.
BE IT ORDAINED BY THE BOARD OF TRUSTEES OF THE
METROPOLITAN ST. LOUIS SEWER DISTRICT:
Section One. The sum of Thirty Thousand Dollars
($30,000.00) is hereby appropriated from the unencumbered balance
of the General Fund of the District to be loaned to the Operating
Fund of Subdistrict No. 88 (Fountain Creek); said sum to be repaid
from the revenue of that Subdistrict from taxes levied and
assessed in 1971 and to be collected within the 1971-72 Fiscal
Year.
Section Two. The officers of the District are
directed to repay to the General Fund of the District the Thirty
Thousand Dollars ($30,000.00) as soon as receipts are collected
from the tax levy made for the year 1971 in Subdistrict No. 88
(Fountain Creek).
Section Three. The sum of One Hundred Sixty Thousand
Dollars ($160,000.00) is hereby appropriated from the Operating
Fund of Subdistrict No. 88 (Fountain Creek) to be used for the
construction of improvements of the channel of Fountain Creek.
Section Four. This Ordinance, being an appropriation
Ordinance, shall take effect immediately upon its enactment.
The foregoing Ordinance was adopted August 11, 1971.