HomeMy WebLinkAboutCity of Tamarac Ordinance O-1978-056Introduced by:
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CITY OF TAMARAC, FLORIDA
ORDINANCE N0. D- 7F-�Z
AN ORDINANCE ADOPTING AN ANNUAL UTILITY FUND
BUDGET FOR THE CITY OF TAMARAC FOR THE FISCAL
YEAR BEGINNING OCTOBER 1, 1978
WHEREAS, heretofore the Council has received the
recommended Utility Budget for the fiscal year beginning October
1, 1978, and has advertised the summary thereto, has advertised
and held a public hearing thereon, and
WHEREAS, the public has had available to them copies
of such budget and the opportunity to express themselves thereon,
and
WHEREAS, the City Council received and reviewed said
recommendations and comments by the public and is now desirous of
adopting an annual Utility Fund Budget for the fiscal year beginning
October 1, 1978.
NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE
CITY OF TAMARAC, FLORIDA:
SECTION 1: That the annual Utility Fund Budget, as
set forth in Schedule A attached hereto and made a part hereof as
fully as if set forth herein, be and the same is hereby adopted and
approved by the Council of the City of Tamarac as the Utility Fund
Budget of the City of Tamarac for the fiscal year beginning October
1, 1978.
SECTION 2: The City Clerk is hereby authorized and
instructed to forward to the Comptroller of the State of Florida a
certified copy of this Ordinance.
SECTION 3: The City Clerk is authorized and instructed
to keep a certified copy of this Ordinance and the budget provided
for herein in the permanent files of the City of Tamarac.
PASSED FIRST READING THISWU _day of 11978.
PASSED SECOND READING THIS day of ,1978.
MAYOR
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ATTEST:
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L.
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CITY CLERK
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I HEREBY CERTIFY THAT I have
approved the form and correctness
of
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this ORDINANCE
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TT 'TO
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C Y R N E
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RECORD OF COUNCIL VOIE
MAYOR W. FALCK
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V'iM ti. MASSARO
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C/M H. WIENER
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C/M LM. DISRAELLY
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C/[A) M. KELckf
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CITY OF TAMARAC
UTILITY FUND BUDGET
FISCAL YEAR - 1978-79
Residential Water Sales
$ 66,438
Commercial Water Sales
6,337
Residential Sewer Sales
88,417
Commercial Sewer Sales
5,765
Interest Income
750
Appropriated Capital Replacement
4,400
Appropriated Fund Balance
1,100
Total REVENUES
$173,207
EXPENDITURES:
Administration
$ 12,100
Operations
161,107
Total EXPENDITURES
$173,207
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-EXHIBIT A-