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HomeMy WebLinkAbout1262 - ADMIN Ordinance - City Council - 1974/04/29ORIGINAL ORDINANCE NO. 1262 April 29, 1974 AN ORDINANCE AUTHORIZING THE TRANSFERS OF FUNDS AND PROVIDING APPROPRIATIONS FOR SALARY ADJUSTMENTS AND INSURANCE CONTRIBUTIONS FOR YEAR ENDING DECEMBER 31, 1974 THE CITY OF ST. LOUIS PARK DOES ORDAIN: Section 1. That the sum of $28,560 be t-,ansferred f ,om th9 Fund Balance of the General Fund, account 101-260 to the following accounts in the General Fund, to provide appropriations for salary adjustmc'nts and insurance contributions for fiscal year 1974: 4220-1100 Street Maintenance $14,820 4240-1100 Traffic Signs, Signals, Markings 1,560 4320-1100 Storm Sewer Maintenance .1,560 4970-1345 Insurance Contributions 1,380 4990-1717 Transfer to Park Fund 9,240 TOTAL $28,560 Section 2. That the estimated revenue of the Park Fund, account 207-3911 "Transfer from Other Funds" be re -estimated in the additional amount of $9,240 resulting from "transfer" in Section 1, and that said sum b" appropriated from the Fund Balance of the Park Fund account 207-260 to the following accounts for salary adjustments and insurance contributions for fiscal year 1974: 207-4751-1100 Salaries 207-4751-1341 Insurance Contributions $ 8,580 660 Section 3. That the estimated revenue of the Municipal Service Center Fund, account 603-3811 "Reimbursement from Other Funds" be re -estimated in the additional amount of $4200 and that said sum be appropriated from the Retained Earnings of the Municipal Service Center Fund, account 603-266, to the following account for salary adjustments and insurance contributions for fiscal year 1974: 603-4923-1100 Salaries 603-4923-1341 Insurance Contributions $ 3,900 300 Section 4. That the sum of $7,560 be appropriated from the Retained Earnings et the Water Utility Fund, Account 701-266, to the following accounts for salary adjustments and insurance contributions for fiscal year 1974: 701-4821-1100 Source of Supply (Salaries) $ 1,560 701-4824-1100 Distribution (Salaries) 5,460 701-4825-1341 Admin. & General (Insurance Contrib.) 540 Section 5. That the sum of $6,720 be appropriated from the Retain'd Earnings of the Sanitary Sewer Utility Fund, account 703-266 to the following accounts for salary adjustments and insurance contributions for fiscal year 1974: 703-4841-1100 Collection (Salaries) $ 6,240 703-4843-1341 Admin. & General (Insurance Contrib.) 480 Section 6. That the City Manager be directed to cause the appropriate accounting entries to be made in the books and records of the City. Section 7. This ordinance shall take effect January 1, 1974. Adopted by the City Council April 29, 1974. • Approvel1 s to form a ality: City orney