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Resolution No. 92-132 <br />Page Two <br /> <br />Section 4: Amend the 1991-92 Operating Budget to agree with the <br /> "Adjusted 1991-92" budget as it is presented in the 1992- <br /> 93 Preliminary Budget and make the following technical <br /> amendments to the 1991-92 Operating Budget: <br /> <br />ae <br /> <br />Add $315,186 to the General Fund Reserve for <br />carryovers. <br /> <br />be <br /> <br />Correct the beginning Fund Balance in the Water O&M <br />Fund from $284,311 to $321,171. <br /> <br />Reduce projected revenues by $25,919 and <br />expenditures by $919 in the Employee Benefit Fund. <br /> <br />Section 5: <br /> <br />d. Increase projected revenues by $41,000 in the Asset <br /> Seizure Fund. <br /> This resolution shall become effective immediately <br />upon its passage and adoption. <br /> <br /> I HEREBY CERTIFY THAT THE FOREGOING WAS DULY AND <br />REGULARLY ADOPTED BY THE CITY COUNCIL OF THE CITY OF PLEASANTON, AT <br />A MEETING HELD ON JUNE 23, 1992 BY THE FOLLOWING VOTE: <br /> <br />AYES: Councilmembers - <br /> Mayor Mercer <br />NOES: None <br />ABSENT: None <br />ABSTAIN: None <br /> <br />Michael H. Roush, City Attorney <br /> <br />Butler, Mohr, Scribner, Tarver and <br /> <br />ATTEST: <br /> <br />Pegg~ ~.~/E~zidr~, City Clerk <br /> <br /> <br />