ORDINANCE NO. 784

 

 

AN ORDINANCE OF THE CITY OF PALOUSE, WASHINGTON, amending Ordinance No. 772, amending certain funds within the 2002 Annual Budget.

 

THE CITY COUNCIL OF THE CITY OF PALOUSE does ordain as follows:

 

SECTION 1.  The Annual Budget for the City of Palouse, Washington, for the year 2002, is hereby amended to include the attached budget revisions as the 2002 Amended Annual Budget of the City of Palouse for the year 2002, which said items for department and purposes of the City of Palouse are as follows:

2002 Budget        Increase       2002 Amended  Budget

                                                                                               

304 VEHICLE & EQUIPMENT RESERVE                      

            Capital Outlay – Rental/Purchase          30,250               10,000           40,250

 

101 STREET FUND

            Transfer Out – Veh & Equip Reserve      3,850                   5,000                      8,850  

 

 

SECTION 2.  This ordinance shall take full force and effect five days after it is published in the official newspaper of the City of Palouse.

 

PASSED by the City Council of the City of Palouse on this 22nd day of October, 2002.

 

 

APPROVED:________________________ATTEST:______________________________

                        Michael Echanove, Mayor                                 Sue Daniel, City Clerk

   

Approved as to form:

 

______________________________                                                                

     Stephen Bishop, City Attorney

 

 

Passed:

Published:

Effective date:

 

Ordinance No. 784

 


 

 

 

CITY OF PALOUSE

2002 BUDGET AMENDMENT – 10/02

Ord# 784

                                                                                                            Page 1 of 1

                                                                                               

304 VEHICLE & EQUIPMENT RESERVE

Estimated Expenditures:

508.00.00                                                                            $4,500

596.48.64                                                                                                                                                       $40,250

 

101 STREET FUND

Estimated Expenditures:

508.00.00.00                                                                     $54,550

597.00.00.00                                                                       $8,850                                                                     

 

 


2002 BUDGET AMENDMENT MESSAGE – 10/02

Ord# 784

The attached Budget Amendment reflects additional requirements necessary for compliance with the policies and priorities laid down by the legislative body.

 

101 STREET FUND

Expenditures: Decrease ending balance and increase Operating Transfer Out to Vehicle & Equipment Reserve.

 

304 VEHICLE & EQUIPMENT RESERVE

Expenditures: Decrease ending balance and increase expenditure Capital Outlay – Rental/Purchase to allow for the purchase of a street sweeper.