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D10803 White — City Clerk CITY O F SAINT PAUL Pink Finance Dept. Canary— Dept. UFFIGE OF THE MAYOR 110203 No: �V( • ADMINISTRATIVE ORDER I _�I 1�-9O BIX, L' ET RENISION Date: .AMMMSTRATIAT ORDER,Consistent with the authority granted to the Mayor in Section 10.07.4 of the City Charter and based on the request of the Director of the Department of uu.W;,. Wor-La _ to amend the 19-49-budget of the seAgpc saLclise—Ent-expLca:°° fund.the Director of the Department of Finance and Management Services is authorized to amend said budget in the following manner: Current Amended Budget Change Budget 260-22205-0112 FOUTimeNotCertified $0.00 5,570.00 5,570.00 260-22205-0141 Overtime $0.00 1,950.00 1,950.00 260-22205-0439 Fringe Benefits $ 19,802.00 700.00 20,502.00 260-22205-0371 Electricity $74,000.00 (8,220.00) 65,780.00 260-22207-0121 Pfft imeCeatified $0.00 9,900.00 9,900.00 260-222A7-0132 NOWAC W $0.00 1,800.00 1,800.00 260-22207-050 13V FMM Cantingea Fund $29,550.00 (11,700.00) 17,850.00 •260-22209-0290 Centml ServiceCort $560.00 0.02 560.02 260-222094389 Odur-MiscSupplies $500.00 (0.02) 499.98 260-22211-0132 NotCatified $0.00 6,750.00 6,750.00 260-22211 4)389 Other-MiscSupplies $10,630.00 (6,750.00) 3,880.00 260-22218-0111 FnllTimeCatified $0.00 320.00 320.00 260-22218-0299 Odler-Miw Services $ 18,157.00 (320.00) 17,837.00 260-22218-0369 Other-Office $500.00 870.00 1370.00 260-22214-0356 SofetySWfies X40.00 1.630.00 Toads $156,199.00 0.00 156,199.00 To trnderbudget to cover other eVu ditnres within the Sewer Savior Eotaprise Fund. �&• e. 9t_LQ-� 4( Prepared by:&ivity Manager Approved by:Mayor I - 7,g 12 Requested by:Department or Data - DEPARTMENT/OFFICE/COUNCIL DATE INITIATED 110 v®� Public Works �7 CH, 1/17/90 GREEN SHEET NO. 7134 CONTACT PERSON&PHONE D� INITIAUDATE OR CITY COUNCIL Roy redahl, 292-6138 ASSIGN y CITY ATTORNEY CITY CLERK NUMBER FOR T BE ON COUNCIL AGENDA BY(DATE) ROUTING BUDGET DIRECTOR FIN.&MGT.SERVICES DIR. ORDER Activity Manager MAYOR(OR ASSISTANT) Y TOTAL#OF SIGNATURE PAGES 1 (CUP ALL LOCATIONS FOR SIGNATURE) ntant ACTION REQUESTED Transfer budget to cover expenditure shortfalls within the Sewer Service Fund. RFr-OMMENDATIONS:Approve(A)a Reject(R) COUNCIL COMMITTEE/RESEARCH REPORT OPTIONAL —PLANNING COMMISSION _CIVIL SERVICE COMMISSION ANALYST PHONE NO. _CIBCOMMITTEE _STAFF COMMENTS _DISTRICT COUNCIL SUPPORTS WHICH COUNCIL OBJECTIVE? 5 INITIATING PROBLEM,ISSUE,OPPORTUNITY(WHO,WHAT,WHEN,WHERE,WHY): Activity/Object line item budget overspent. ADVANTAGES IF APPROVED: Invoices will be paid for and 1989 budget will have no overspent major objects. RECEIVED DISADVANTAGES IF APPROVED: BUDGET OFFICE DISADVANTAGES IF NOT APPROVED: Some major object budgets overspent. RECEIVFn N25i91 CITY CLERK ,)TAL AMOUNT OF TRANSACTION S 156,199.00 COST/REVENUE BUDGETED(CIRCLE ONE) YES NO FUNDING SOURCE Misc. Expenditure codes. ACITVITY NUMBER FINANCIAL INFORMATION:(EXPLAIN) d il/