Loading...
HomeMy WebLinkAbout95-80 - FY 1995-96 BudgetRESOLUTION NO. 95 - 80 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF NEWPORT BEACH ADOPTING THE BUDGET FOR THE 1995- 96 FISCAL YEAR. WHEREAS, the City Manager of the City of Newport Beach has prepared and submitted to the City Council a preliminary annual budget for the 1995 -96 fiscal Year; WHEREAS, the City Council has reviewed said preliminary budget, determined the time for the holding of a public hearing thereon, and caused a notice of said hearing to be published not less than ten (10) days prior hereto in the official newspaper of the City, and copies of the proposed budget were made available for inspection by the public in the Office of the City Clerk and the Finance Department at least ten (10) days prior to said hearing; and WHEREAS, the City Council has held a public hearing on said preliminary budget on June 12, 1995, and has made such revisions in the preliminary budget as it deemed advisable; and WHEREAS, all requirements of the City Charter relating to the preparation and consideration of the annual budget have been complied with. NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Newport Beach that the budget of the City of Newport Beach for the 1995 -96 Fiscal Year as revised by the City Council is hereby adopted. The total approved appropriation of $129,869,553 has been allocated to the following funds in the amounts hereinafter shown: Fund Operating Capital Net Total Budget Bud et Transfers Bud et General Fund $ 62,565,555 $ 7,415,547 $- 6,052,463 $ 63,928,639 Ackerman Fund 129,500 0 55,500 185,000 CDBG Fund 123,830 513,478 48,900 686,208 AQMD Fund 0 0 30,000 30,000 State Gas Tax Fund 0 3,272,040 96,000 3,368,040 OC Combined Trans. Fd 0 9,647,754 86,000 9,733,754 Tidelands Fund 678,899 541,400 4,515,939 5,736,238 Contribution Fund 0 4,959,998 0 4,959,998 Circulation Fund 0 9,673,065 0 9,673,065 Building Excise Tax Fd 0 160,000 128,735 288,735 Improvement Fd 0 0 841,389 841,389 toCapital Insurance Reserve Fund 3,667,796 0 0 3,667,796 Equipment Fund 3,457,207 0 250,000 3,707,207 Water Fund 11,998.758 8,645,500 0 20,644,258 Wastewater Fund 1,197,731 745,000 0 1,942,731 NAFF Fund 0 476,495 0 476,495 BE IT FURTHER RESOLVED that a copy of said approved budget, certified by the City Clerk shall be filed with the persons retained by the City Council to perform auditing functions for the Council, and a further copy shall be placed, and shall remain on file, in the Office of the City Clerk where it shall be available for public inspection. BE IT FURTHER RESOLVED that the budget so certified shall be reproduced and 0 copies made available for the use of the public and of departments, offices and agencies of the City. ADOPTED the 26th day of June, 1995. MAYOR ATTEST: j.` CITY CLERK\ J 10/26/9511:34 AM BUDRESO.DOC of