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January 18, 2011 (Regular Meeting) Page 280 <br />American Disability Act $ 25,621 <br />Board of Elections Equipment and Furniture $ 180,206 <br />Register of Deeds Department: <br />Register of Deeds Automation & Preservation $ 821,548 <br />Soil and Water Department: <br />Clean Water Trust Fund Grant $ 521,833 <br />Clarke Creek Grant $ 35,000 <br />EEP Contract $ 16,900 <br />Operating Expenses (Supplies, Maintenance) $ 6,000 <br />Cooperative Extension Department: <br />Operational Project Expenses $ 1,654,907 <br />Section 4. The following revenues are anticipated to be <br />available to complete this project: <br />Board of Elections Department: <br />HAVA Title I <br />Grants <br />$ <br />199,664 <br />Interest on <br />Investments <br />$ <br />30,206 <br />Contribution <br />from General Fund <br />$ <br />25,621 <br />Contribution <br />from Capital Reserve <br />$ <br />150,000 <br />Register of <br />Deeds Department: <br />ADFP Grant <br />$ <br />Register of <br />Deeds Fees <br />$ <br />707,389 <br />Interest on <br />Investments <br />$ <br />36,655 <br />Contribution <br />from General Fund <br />$ <br />77,504 <br />Soil and Water Department: <br />Clean Water Trust Fund Grant <br />$ <br />521,833 <br />Clarke Creek Grant <br />$ <br />35,000 <br />EEP Contract <br />$ <br />16,900 <br />Operating Revenues (Fees, Donations) <br />$ <br />4,500 <br />Interest on Investments <br />$ <br />1,500 <br />Cooperative Extension Department: <br />ADFP Grant <br />$ <br />675,000 <br />Deferred Farm Tax Collections <br />$ <br />55,000 <br />Deferred Farm Tax Interest on Investments <br />$ <br />6,500 <br />Donations <br />$ <br />170,000 <br />Contribution from Capital Reserve <br />$ <br />400,000 <br />Contribution from General Fund <br />$ <br />348,407 <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 or <br />Capital Reserve Fund and the Special Revenue Project Ordinance is <br />closed. <br />Section 10. The County Manager is hereby authorized to transfer <br />revenues and appropriation within an ordinance as contained herein <br />under the following conditions: <br />a. The Manager may transfer amounts between objects of expenditures <br />and revenues within a function without 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 which <br />