ORD 89-60 AMENDING THE 1989 BUDGETBUDGET AMENDMENT
To Be Considered:
12-21-89
ORDINANCE NO. 89-60
AN ORDINANCE OF THE CITY OF WINSLOW, WASHINGTON,
AMENDING THE 1989 BUDGET, ADOPTED BY ORDINANCE NO.
88-25.
WHEREAS, the City Council adopted the 1989 budget by
passage of Ordinance No. 88-25; and
WHEREAS, the City Council finds that it is in the
best interest of the public health, safety, and general
welfare to amend the budget to allow for expenditures for
items not reasonably anticipated at the time of passage of
the 1989, budget; and
WHEREAS, the City Council finds that increasing the
appropriations in certain funds is in the best interests of
the city; and
WHEREAS, this ordinance was not voted on until at
least five days after its introduction by filing with the
City Clerk, now, therefore,
THE CITY COUNCIL OF THE CITY OF WINSLOW,
WASHINGTON, DO ORDAIN AS FOLLOWS:
Section !. Ordinance No. 88-25, and the 1989 budget
are each hereby amended as set forth on Exhibit A, attached
hereto and incorporated herein by this reference as if set
forth in full.
Section 2. The City Clerk/Treasurer is hereby
authorized and dYrected to make the necessary and appropriate
changes to the 1989 budget as authorized by this ordinance.
A copy of this ordinance shall be transmitted to the Division
of Municipal Corporations in the office of the State Auditor
and to the Association of Washington Cities.
Section 3. This ordinance, having received the vote
of one more than'a majority of all members of the City
Council shall be in full force and effect five days after
publication.
ATTEST/AUTHENTICATE:
ALICE B. TAWRESEY, Mayo~
DONNA JE ,~dlerk r~
APPROVED AS TO FORM:
ROBERT O. CONOLEY, City Attorney 7
FILED WITH THE CITY CLERK: 12-14-89
APPROVED BY CITY COUNCIL: 12-21-89
PUBLICATION DATE: 1-4-90
EFFECTIVE DATE: 1-9-90
ORDINANCE NO. 89-60
EXHIBIT A
BUDGET REVENUE AND EXPENDITURES
BY FUND
FUND NO.
001
101
201
202
203
301
401
402
501
TITLE
CURRENT EXPENSE FUND
STREET FUND
GENERAL OBLIGATION BOND FUND
SPECIAL LEVY G. O. BOND FUND
LOCAL IMPROVEMENT FUND
UTILITY CONSTRUCTION FUND
UTILITIES FUND
BOND REDEMPTION & RESERVE FUND
SELF INSURANCE FUND
TOTAL BUDGET
RESOURCES/USES
$ 1,250,005
396,002
92,360
22,470
110,889
1,179,514
3,424,200
517,122
71,789
$ 5,884,837