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1 <br /> Form #: B-52 <br /> 7118/91 <br /> DEPARTMENT OF FINANCE <br /> REQUEST FOR COUNCIL ACTION <br /> i <br /> DEPARTMENT: Public Works DATE: February 12, 2020 <br /> i <br /> STAFF CONTACT: Sharilynn Olivar for Aaron Takaba PHONE: 961-8463 <br /> i <br /> i <br /> E <br /> S <br /> f <br /> f <br /> A. REQUEST: <br /> To amend ordinance 19-73, the Operating Budget by appropriating excess Fund Balance revenue in FY 19- <br /> 20, which needs to be transferred to Traffic's Signals & Street Lights Materials account. <br /> Revenue: 020.3609.10 Fund Bal From Previous Year $850,000 <br /> Expenditure: 020.5281.32.230 Signals & Street Lights, Highway Materials $850,000 <br /> B. BACKGROUND AND JUSTIFICATION (USE ADDITIONAL SHEETS AS NEEDED): <br /> The excess fund balance must be appropriated to transfer to Traffic's operating account; in order to purchase <br /> more Signal and Street Light Materials. The Street Light Changeout Program was developed to expedite <br /> orders and continue to change out failing street lights. <br /> SIGNED: DATE: -� <br /> Department Head <br />