Laserfiche WebLink
1 <br />2 <br />4 <br />5 <br />6 <br />7 <br />8 <br />9 <br />10 <br />11 <br />12 <br />l> <br />14 <br />15 <br />16 <br />17 <br />18 <br />19 <br />20 <br />21 <br />24 <br />25 <br />26 <br />27 <br />28 <br />RESOLUTION NO. R-15-22 <br />A RESOLUTION OF THE CITY COUNCIL, AMENDING THE FISCAL YEAR 2021- <br />2022 BUDGET TO APPROPRIATE $35,179.77 FROM RESERVE BALANCE IN THE <br />STORM WATER FUND CAPITAL IMPROVEMENT ACCOUNT. <br />WHEREAS, the budget for Fiscal Year 2021-2022 has been approved by City Council, <br />and must now be amended to increase the appropriation in the Public Works, Storm Water <br />Capital Improvement expenditures for costs associated with storm drain repairs; and, <br />WHEREAS, the funding will be utilized to support the City's goal to improve the <br />City's infrastructure and safety operations by providing adequate storm drain services; by <br />approving Change Order No.I for the Sidewalk Repair Project with DM Contracting Inc. <br />NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF COLTON DOES <br />HEREBY RESOLVE AS FOLLOWS: <br />Section 1. The City Council hereby amends the Fiscal Year 2021-2022 budget to <br />appropriate $35,179.77 from reserve balance in Storm Water Fund Capital <br />Improvement Account Number 722-6150-8215-3890-0000-000. <br />PASSED, ADOPTED AND APPROVED THIS 15th DAY OF FEBRUARY, 2022. <br />ATTEST: <br />arolina R. Padilla, City Clerk <br />-1- <br />