<br />40
<br />
<br />TUESDAY
<br />
<br />JUNE 30. 1952
<br />
<br />AN ffiDlNANCE MA.KING APPROPRIA.TIONS OF SlJl.S OF MONEY FCR ALL
<br />NECESSARY EXPENDrruRES OF THE CITY OF HARTTISVILLE, VffiGINTA,
<br />FeR ITS FISCAL YEAR END TIm JUNE 30, 1960.
<br />
<br />BE IT ORDAnlED by the Conncil of the City of Mlrtinsville,
<br />Virginia, that the following sums of money be and are hereby
<br />appropriated by funds for the fiscal year ending June 30, 1960
<br />from fund sources of estimated revenue as follows:
<br />
<br />REVENUE
<br />Contributions
<br />and
<br />Direct Transfers
<br />
<br />APPROPRIA.TIOm
<br />
<br />Anticipated Balances
<br />at 7-1-59:
<br />School Fund
<br />*SBC Fund ...
<br />other Funds .
<br />
<br />. . .
<br />
<br />$
<br />
<br />$
<br />
<br />2,000.00
<br />42,054.00*
<br />184,377.40
<br />
<br />$
<br />
<br />. .
<br />
<br />2,000.00
<br />42,054.00*
<br />184,377. /IJ
<br />
<br />1,026,188.50
<br />15,629.75
<br />6,436.00
<br />( 64,525.00)
<br />( 1,442,375.00)
<br />
<br />. . .
<br />
<br />General Fund . . . . . . . 1,075,643.90 2,101,832.40
<br />Paving Fund . . . . . . . 15,629.75
<br />Prison Ftmd . . . . . . . 00,110.00 86,546.00
<br />V. P. A. Fund . . . . . . 64,525.00
<br />School Fund 1,442,375.00 ,
<br /> . . . . . . .
<br />Cafeteria Fund . . . . . . 145,130.00 145,130.00
<br />Textbook Fund . . . . . . 20,000.00 20,000.00
<br />Sinking Fund . . . . . . . 4,126.25 4,126.25
<br />Stores Fund . . . . . . . 38,354.60 100. CO
<br />Electric Fund . . . . . . 822,073.10 1,093,518.00
<br />Water Fund . . . . . . . . 299,212.95 295,437.00
<br />Sewer Fund ... . . . . . . 166,650.00 166,650.00
<br />TOTAIS: . . . . . . . $4,158,200.00 $4,158,200.00
<br />
<br />(
<br />(
<br />
<br />38,254.60 )
<br />271,444.90
<br />3,775.95)
<br />
<br />$
<br />
<br />* Reserved for School Debt Service
<br />
<br />Adopted: June 30, 1959
<br />
<br />Council was adjourned.
<br />
<br />)JJ.~\_
<br />W. H. Ye
<br />
<br />
<br />, Clerk of Council
<br />
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