ADOPTED 06/15/1999
RESOLUTION NO. R99-1574
A resolution appropriating Three Hundred Eighty-seven Thousand One Hundred Eighty-three Dollars ($387,183) from increased revenues from other governments, designated fund balances, and undesignated fund balances in various funds to the departments of Public Works, Parks, Police, Office of Emergency Management, Codes Administration, Fire/EMS, and Water Services to repair damage from the May 5, 1999 tornado.
Whereas, the Metropolitan Council desires to appropriate to certain accounts for the benefit of the Public Works, Parks, Police, Office of Emergency Management, Codes Administration, Fire/EMS, and Water Services Departments the amount of Three Hundred Eighty-seven Thousand One Hundred Eighty-three Dollars ($387,183) from increased revenues from other governments, designated fund balances, and undesignated fund balances in various funds for expenses related to the May 5, 1999 tornado.
Now therefore, be it resolved by the Council of the Metropolitan Government of Nashville and Davidson County.
Section 1. That the following sums are hereby appropriated from the General Fund of the General Services District to the accounts listed below which is in addition to those contained in the current operating budget:
ACCOUNT NO. | ACCOUNT | AMOUNT |
10101 31110100 10101 31130400 10101 31120200 10101 31130250 10101 31130230 10101 31100102 10101 31100103 10101 31100104 10101 31100105 10101 04103010 10101 33101000 |
Police Police Police Police Police Police Police Police Police Office of Emergency Mgt Codes Total |
$ 2,930 666 49 2,851 55 109 373 115 119 1,174 3,337 $ 11,778 |
Section 2. That these appropriations are funded from the following fund balances and estimated revenues:
ACCOUNT NO. 10101 406200 10101 406401 10101 331200 |
ACCOUNT Federal Revenue thru State State Direct Revenue Designated Fund Balance Total |
AMOUNT $ 8,834 1,472 1,472 $11,778 |
Section 3. That the following sums are hereby appropriated from the Water Services Revenue Fund to the account listed below, which is in addition to those contained in the current operating budget:
ACCOUNT NO. | ACCOUNT | AMOUNT |
67331 65501100 | Water & Sewer | $ 8,887 |
Section 4. That the appropriations in Section 3 are funded from the following fund balances and estimated revenues:
ACCOUNT NO. 67331 406200 67331 406401 67331 335000 |
ACCOUNT Federal Revenue thru State State Direct Revenue Undesignated Fund Balance Total |
AMOUNT $ 6,665 1,111 1,111 $ 8,887 |
Section 5. That the following sums are hereby appropriated from the 1999 Tornado Grant Fund to the account listed below, which is in addition to those contained in the current operating budget:
ACCOUNT NO. | ACCOUNT | AMOUNT |
30012 42302100 30012 40302100 30012 32302100 30012 32302110 |
Public Works Parks Fire EMS Total |
$ 300,000 64,950 1,536 32 $ 366,518 |
Section 6. That the appropriations in Section 5 are funded from the following fund balances and estimated revenues:
ACCOUNT NO. 30012 406200 30012 406401 30012 331200 10101 335000 |
ACCOUNT Federal Revenue thru State State Direct Revenue Designated Fund Balance Undesignated Fund Balance from GSD General Fund Total |
AMOUNT $ 274,889 45,814 196 45,619 $ 366,518 |
Section 7. That this resolution shall take effect from and after its adoption, the welfare of the Metropolitan Government of Nashville and Davidson County requiring it.
Sponsored by: Charles Fentress
LEGISLATIVE HISTORY |
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Referred to: | Budget
& Finance Committee Public Works Committee Parks & Recreation Committee Public Safety Committee Codes Committee |
Introduced: | June 15, 1999 |
Adopted: | June 15, 1999 |
Approved: | June 21, 1999 |
By: |