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HomeMy Public PortalAbout09147 O R D I N A N C E NO. 9147 AN ORDINANCE, making a supplemental appropriation of One Million Ninety-one Thousand Seven Hundred Sixty-eight Dollars ($1,091,768.00) from the General Fund of the District; and transferring Nine Hundred Eighty-three Thousand Seven Hundred Sixty-eight Dollars ($983,768.00) of said sum to the Finance Department's 400 Account, and One Hundred Eight Thousand Dollars ($108,000.00) of said sum to the Information System Department's 400 Account, to be used for increased processing costs due to the District's implementation of monthly billing, for the remainder of the 1993-94 fiscal year. WHEREAS, Ordinance No. 9028, adopted June 16, 1993, appropriated the initial funding for the Finance Department's 400 Account and the Information System Department's 400 Account, and WHEREAS, the Director of Finance has certified that there is an unencumbered balance in the above-named fund sufficient to pay the obligation authorized herein, NOW, THEREFORE, BE IT ORDAINED BY THE BOARD OF TRUSTEES OF THE METROPOLITAN ST. LOUIS SEWER DISTRICT: Section One. The sum of One Million Ninety-one Thousand Seven Hundred Sixty-eight Dollars ($1,091,768.00) is hereby appropriated from the General Fund of the District; and Nine Hundred Eighty-three Thousand Seven Hundred Sixty-eight Dollars ($983,768.00) of said sum is hereby transferred to the Finance Department's 400 Account, and One Hundred Eight Thousand Dollars ($108,000.00) of said sum is hereby transferred to the 2 Information System Department's 400 Account, to be used for increased processing costs due to the District's implementation of monthly billing, for the remainder of the 1993-94 fiscal year. Section Two. This ordinance, being an appropriation ordinance, shall take effect immediately upon its enactment. 3 The foregoing Ordinance was adopted December 14, 1993.