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1 <br />2 <br />�63 <br />4 <br />5 <br />6 <br />7 <br />8 <br />9 <br />10 <br />11: <br />12 <br />13 <br />14 <br />15 <br />16 <br />17 <br />18 <br />19 <br />20 <br />21 <br />22 <br />23 <br />24 <br />25 <br />26 <br />27 <br />28 <br />RESOLUTION NO. 3716 <br />A RESOLUTION OF THE CITY COUNCIL OF THE CITY <br />OF COLTON ADOPTING A BUDGET FOR THE FISCAL <br />YEAR 1977-78: <br />WHEREAS, the City Council has given long and careful consideration to <br />the adoption of the budget for the fiscal year 1977-789 <br />NOW, THEREFORE, BE IT RESOLVED <br />that the City Manager <br />is hereby authorized <br />to expend in accordance with the laws of the State of California <br />and the <br />ordinances of the City of Colton on <br />behalf of the activities <br />shown below the <br />amounts shown as follows: <br />OPERATIONS <br />Legislative <br />$ 68,645 <br />City Clerk <br />48,802 <br />Insurance & Administration <br />473,670 <br />Finance <br />491,640 <br />Legal <br />28,160 <br />Police Protection <br />1,137,391 <br />Fire Protection <br />832,915 <br />Planning <br />65,075 <br />Building & Safety <br />84,910 <br />Community Services <br />615,758 <br />Library <br />165,790 <br />Parks <br />325,580 <br />Recreation <br />58,585 <br />Debt Service <br />43y700 <br />Electric Supply <br />3,533,500 <br />!Vater Supply <br />631,965 <br />Sewer Collection & Treatmt. <br />635,120 <br />Refuse Collection & Disposal <br />3275170 <br />Cemetery <br />58,570 <br />Community_ Development <br />53,000 <br />Public Transportation <br />191,475 <br />$ 9,871,42I <br />CAPITAL -IMPROVEMENTS <br />Parks <br />65,400 <br />Sewer Treatment <br />1,000 <br />Electric Supply <br />85,300 <br />Water Supply 1 <br />pP Y <br />911,3.00 <br />Community Development <br />371.450 <br />Streets & Highways <br />1525351690 <br />I=88 14_fl <br />TOTAL OPERATIONS & CAPITAL <br />$11,739;561 <br />BE IT FURTHER RESOLVED that the <br />,total of $11,,73.561 <br />which the City <br />Manager is authorized to expend from <br />new appropriations shall be appropriated <br />from the following funds for the fiscal year 1977-78: <br />T <br />