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BC 2014 05 19 Regular Meeting
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BC 2014 05 19 Regular Meeting
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7/22/2014 12:51:15 PM
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11/27/2017 12:54:56 PM
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Meeting Minutes
Doc Type
Minutes
Meeting Minutes - Date
5/19/2014
Board
Board of Commissioners
Meeting Type
Regular
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May 19, 2014 (RegLilar Meeting) <br />Page 2030 <br />Section 3. The following budgeted amounts are appropriated <br />for the projects: <br />Federal Forfeiture Funds: <br />Federal Forfeiture Sharing Justice Funds $ 197,431 <br />Federal Forfeiture Sharing Treasury Funds $ 160,670 <br />Contribution to General Fund -Fed Forf $ 107,687 <br />NC Substance Control: <br />NC Substance Control Expenses $ 562,411 <br />Firing Range: <br />Firing Range Maintenance /Repair $ 16,425 <br />TOTAL REVENUES $ 1,064,624 <br />Section 4. The following revenues are anticipated to be <br />available to complete this project: <br />Federal Forfeiture Funds: <br />Federal Forfeiture Sharing Justice Funds $ 96,242 <br />Federal Forfeiture Sharing Treasury Funds $ 257,611 <br />Contribution from General Fund -Fed Forf $ 114,935 <br />Interest on Investments - Federal Forfeiture $ 17,000 <br />NC Substance Control: <br />NC Substance Control Funds $ 337,193 <br />Interest on Investments -NC Substance Control $ 55,015 <br />Contribution from General Fund $ 170,203 <br />Firing Range: <br />Firing Range Funds $ 16,000 <br />Interest on Investments $ 425 <br />TOTAL EXPENDITURES $ 1,064,624 <br />Section 5. The Finance Officer is hereby directed to <br />maintain within the Special Revenue Fund sufficient detailed <br />accounting records. <br />Section 6. Funds may be advanced from the General Fund for <br />the purpose of making payments as due. Reimbursement to the <br />General Fund should be made in an orderly and timely manner. <br />Section 7. The Finance Officer is directed to report, at <br />the request of the Board, on the financial status of each project <br />element in Section 3 and on the total revenues received or <br />claimed. <br />Section 8. Copies of this special revenue project <br />ordinance shall be furnished to the Clerk to the Governing Board, <br />and to the Budget Officer and the Finance Officer for direction <br />in carrying out this project. <br />Section 9. At the completion of the project, all <br />unrestricted excess funds are transferred to the General Fund and <br />the Special Revenue Project Ordinance is closed. <br />Section 10. The County Manager is hereby authorized to <br />transfer revenues and appropriation within an ordinance as <br />contained herein under the following conditions: <br />a. The Manager may transfer amounts between objects of <br />expenditures and revenues within a function without <br />limitation. <br />b. The Manager may transfer amounts up to $100,000 between <br />functions of the same ordinance. <br />c. The Manager may transfer amounts between contingency funds <br />which are set aside for a specific project for budgetary <br />shortfalls or upon the appropriate approval of a change <br />order. <br />d. Upon notification of funding increases or decreases to <br />existing grants or revenues or the award of grants or <br />revenues, the Manager or Finance Officer may adjust budgets <br />to match, including grants that require a County match for <br />
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