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Hawaii County Clerk 02/03/2022 02:14:01 PM <br /> Hawaii County Council-32 February 9,2022 <br /> Bill 116: AMENDS ORDINANCE NO. 21-39, AS AMENDED, RELATING TO PUBLIC <br /> IMPROVEMENTS AND FINANCING THEREOF FOR THE FISCAL YEAR <br /> JULY 1, 2021 TO JUNE 30, 2022 <br /> Adds the Public Works Waianuenue Avenue Bridge Modernization project to the <br /> Capital Budget: County ($517,500) and Federal ($1,656,000). Funds for this <br /> project shall be provided from General Obligation Bonds, Capital Projects Fund— <br /> Fund Balance and/or Other Sources ($517,500) and Federal Grants Receivable <br /> ($1,656,000), and would be used for planning, design, and management costs. <br /> Reference: Comm. 604 <br /> Intr. by: Mr. Kaneali`i-Kleinfelder(B/R) <br /> Waived: FC <br /> Note: Requires 2/3 vote of the entire <br /> membership to amend,pursuant to <br /> Section 10-6(e), Hawai`i County Charter <br /> Bill 117: AMENDS ORDINANCE NO. 21-38, AS AMENDED, THE OPERATING <br /> BUDGET FOR THE COUNTY OF HAWAII FOR THE FISCAL YEAR <br /> ENDING JUNE 30, 2022 <br /> Increases revenues in the Fund Balance from Previous Year account($2,922,000), <br /> and appropriates same to the following accounts: Human Resources Other Current <br /> Expenses ($49,000) and Equipment($2,000); Police Dispatch Salaries and Wages <br /> ($116,000); Police Investigation Cause of Death ($200,000); Training and <br /> Volunteer Fire Other Current Expenses ($35,000) and Equipment($73,000); <br /> Helicopter Services ($250,000); Parks and Recreation Administration Other <br /> Current Expenses ($35,000) and Equipment($220,000); Parks Maintenance <br /> Equipment($60,000); Environmental Management Other Current Expenses <br /> ($31,000) and Equipment($41,000); Transfer to Solid Waste Fund ($410,000); and <br /> Workers Compensation—General ($1,400,000). Funds would be used to cover <br /> unanticipated costs. <br /> ; and <br /> Bill 118: AMENDS ORDINANCE NO. 21-38, AS AMENDED, THE OPERATING <br /> BUDGET FOR THE COUNTY OF HAWAII FOR THE FISCAL YEAR <br /> ENDING JUNE 30, 2022 <br /> Appropriates revenues in the Transfer from General Fund account($410,000), and <br /> appropriates same to the following accounts: Landfills Salaries and Wages <br /> ($200,000) and Landfills Other Current Expenses ($210,000). <br /> Reference: Comm. 605 <br /> Intr. by: Mr. Kaneali`i-Kleinfelder(B/R) <br /> Waived: FC <br /> Page 5 <br />