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Resolution No. 77-06 CITY OF TIGARD, OREGON RESOLUTION No. 77 _ A RESOLUTION ADOPTING A SUPPLEMENTAL BUDGET AND MAKING APPROPRIATIONS FOR THE CITY OF TIGARD FOR THE YEAR ENDING JUNE 30, 1977, WHEREAS, the Tigard City Council has held a duly advertised public hearing on a proposed supplemental budget to make provision for the appropriation of previously unanticipated revenues from the following sources and in the noted amounts: (1) A federal H,U.D. Grant under the Housing and Community Development Block Grant Program in the amount of $131,000; (Z) Revenues to be received under Title II of the Public Works Employment Act of 1976 in the anticipated amount of $13,468; and (3) Revenues on hand and to be received under the Federal Revenue Sharing program in the amount of $41,891; and WHEREAS, the Tigard City Council has determined that it is necessary to increase the appropriations over the amount originally estimated for the General Fund and the Revenue Sharing Fund for the fiscal year ending June 30, 1977, NOW, THEREFORE, BE IT RESOLVED THAT; Section 1; The proposed supplemental budget, as amended by action of the City Council in public session, and as displayed on the attached document entitled City of Tigard 1976-77 Supplemental Budget, is hereby adopted and the amounts displayed thereon for the indicated purposes are hereby appropriated for the fiscal year ending June 30, 1977. PASSED: This 10th day of January 1977, i ATTEST: City Recorder RESOLUTION No. 77 - 6 71 CITY OF TIGARD SUPPLEMENTAL BUDGET FOR THE FISCAL YEAR 1976-77 GENERFS, FUND Resources E.D.A. Title II Public Works Counter-Cyclical Funds Housing and Community Development Grant $ 13,468. Total 131 000. $144.468. Requirements Street Operation and Maintenance Department Personal Services $ 12,868. Capital Outlay $ 600- Total Department Requirements $ 13,468. $ 13,468. Non-Departmental - H.C.D. Grant Personal Services Materials & Services $ 2,921. Capital Outlay $ 5,050. Total Department Requirements $123,029. $131,000. $131,000- Total General Fund Requirements $144.468 REVENUE SHARING FUND Resources Unanticipated Cash Carry Over Supplemental Funding by Extension o£ Program $ 27,147. Total $__14,744. $ 41,891. Requirements Parks - Public Works Department Personal Services $ 7,918. Capital Outlay 6 373. Total Department Requirements $ 14,291. $ 14,291. Non-Departmental Materials & Services $ 20,000. Capital Outlay $ 5,700. Total Department Requirements $ 25,700. $ 25,700. Contingency $ 1,900. $ 12900- Total Revenue Sharing Fund Requirements $ 41.891. RESOLUTION No. 77-6 * -