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HomeMy WebLinkAboutD-1489-00 Add Approp/Street FacSponsor: Councilor Wilson ORDINANCE NO. D-1489-00 AN ORDINANCE OF THE COMMON COUNCIL OF THE CITY OF CARMEL, INDIANA PROVIDING FOR AN ADDITIONAL APPROPRIATION OF FUNDS WHEREAS, an amount of $2,000,000 is needed for the acquisition of land and the preliminary design, architectural and/or engineering costs for a facility for the housing and maintenance of vehicles used to maintain and repair the capital assets of the City (the "Proj ect"); and WHEREAS, the Common Council of the City of Carmel has authorized temporary loans in the amount of $2,000,000 from operating funds of the water utility of the City and the sewer utility of the City; NOW, THEREFORE, Be It Ordained by the Common Council of the City of Carmel, Indiana, that the Council authorizes the following additional appropriation: To thc Common Council Budget: Line Item 600-02 Fleet Maintenance Facility Project Fund $2,000,000 Passed by the Common Council of the City of Carmel, Indiana this/c/,//~ day of Kevin ~rby ~ ~oven U.de~~ ATTEST: Diana L. Cordray, ~urer D:XFiles\OrdinancesXD-1489-00.doc Tdayof Diana L. Cordray, IAMC, Cleri?rer ' ~2C7~ ~-~ ,2ooo. B d, Mayor ATTEST: Diana L. Cordray, iXivlC~urer D:~Files\Ordinances\D-1489-00.doc NOTICE TO TAXPAYERS CARAMEL, INDIANA NOTICE OF PUBLIC HEARING FOR ADDITIONAL APPROPRIATION AND TEMPORARY TRANSFER OF FUNDS Notice is hereby given to the taxpayers of the City of Cannel, Hamilton County, Indiana, that the proper legal officers of the City of Carmel, at their regular meeting place at Cannel City Hall, One Civic Square, Council Chambers at 7 p.m. on the 2nd day of October 2000, will consider the following additional appropriation and temporary transfer of the proceeds of the Utility Loans pursuant to Resolution No. CC-08-30-00-01, in accordance with I.C. 6-1.1-18-5: $1,000,000.00 from the OPERATING FUND of the WATER UTILITY and $1,000,000.00 from the OPERATING FUND of the SEWER UTILITY tO "CITY OF CARMEL 2000 FLEET MAINTENANCE FACILITY PROJECT FUND" ("Project Fund") The source of revenue for the above is the operating balance of the Water and Sewer Utility Funds. Taxpayers appearing at the meeting shall have a right to be heard. The additional appropriation and temporary transfer as finally made will be referred to the State Board of Tax Commissioners. The Board will make a written determination as to the sufficiency offrinds within fifteen (15) days of receipt of a certified copy of the action taken. Diana L. Cordray, Clerk-Treasurer September 20, 2000 LINE COUNT General Form No, 99P [Revised 2000) //ox,~,~,//~ z ~'~ ~ COMPUTATION OF CHARGES Chnrge for extra proofs of pub]lcnUon ($1.00 for e~ch'proof In excess of t~o] ............................................... DATA FOR COMPUTING COST WIdth of single column ~ / eros / Numbe~ of Inse~ons ~ ~/~ No~publle /