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HomeMy WebLinkAboutCOM 0121.012 2004-2006 MSY Of N 4~ i V`....~y'4 / ~J~y~ <,,~K1' S ~1fARlli ~ Phony 18031961 8"'67 (~em9um~ l1'~~vdua'UUirer ~ 16511nI1C: (8t)8196~ 89~~ •~rE1~ Cm uI: t!stifarik uco.ha~~aii.hi.u: ( ~nrivn~ r,J Hmnu ~i H~nr~ii7 <'oun[,r ~3~~irhn~ _ ' -1 a/nu~i S7r~c:. ll;l~~ fl~nrdr ~i ~~~-'il To Council Members From: Gary Safarik _ Council Chairma>~ Date: April 6, 2005 Subject: Bill 40 Draft 5 - Below please find an amendment to the above bill for your consideration. The proposed amendment will reduce the Legislative-Contingency Relief by $75,000, increase Transfer to Capital Projects Fund by $50,000 and increase Transfer to Highway Fund by $25,000. The following amendment affecting the appropriation to the expenditure account(s) is summarized below: General Fund Expenditures Account No. Function and Activity Draft 5 Adjustment Draft 6 Appropriation Appropriation 010.101.5101.91 Legislative- 450,000 -75,000 375,000 Contingency Relief 010.801.5801.33 "Transfer to Capital 95,000 50,000 145,000 Projects Fund (1) 010.801.5281.32 "Transfer to Highway 57,500 25,000 82,500 Fund (2) Total 602,500 0 602,500 (1) Transfer to Capital Projects Fund, which purpose is revised by appropriating $50,000 for the materials to complete the construction of a skateboard park in the Puna Neighborhood Park (2) Transfer to Highway Fund, which purpose is revised by adding $25,000 for streetlights in the Ainaloa Subdivision. Should you have any further questions, please feel free to call me. Comm. No. (t~• ~Z Rif. To: P?ESe ReS. Dane Ji__~Cll4LZ \ / l%~nnu ~ '„Hr~n n ,an L~P~,d t)p~,or rvuuh Prnvd,'r uriJ LmpGn u' r