566
<br />
<br /> The Board of Commissioners for the County of Cabarrus met in recessed
<br />session in the Commissioners' Conference Room at the Cabarrus County Governmental
<br />Center in Concord, North Carolina on Friday, June 5, 1992, at 6:00 P.M.
<br /> Present - Chairman: Carolyn B. Carpenter
<br /> Commissioners: William G. Hamby, Jr.
<br /> Jeffrey L. Barnhart
<br /> Kenneth F. Payne
<br /> Billy J. Simmons, Jr.
<br /> Also present were Mr. John Day, Budget Officer; Mr. DonMoorhead, Personnel
<br />Officer; and Mrs. Frankie F. Bonds, Clerk to the Board.
<br /> Chairman Carpenter called the meeting to order at 6:10 P.M. Commissioner
<br />Barnhart was absent for the beginning of the meeting.
<br /> Mr. Day presented several budget amendments for the Board's approval.
<br />There were no objections to these items being considered at this time.
<br /> UPON MOTION of Commissioner Simmons, seconded by Chairman Carpenter with
<br />Commissioners Simmons, Hamby and Payne and Chairman Carpenter voting for, the
<br />Board approved the following budget amendment.
<br />
<br />BUDGET REVISION/AMENDMENT REQUEST
<br />
<br />DEPAJlTMENT OF GENERAL SERVICES ADMINISTRATION
<br />AMOUNT $25,926.00
<br />TYPE OF REQUEST: Internal Transfer Within Department/Supplemental Request
<br />PURPOSE OF REQUEST: Final Budget Revisions
<br />
<br /> Line Item
<br />Account Number
<br />
<br />01-01-34-10-101
<br />01-01-34-10-205
<br />01-01-34-10-301
<br />01-01-34-10-320
<br />01-01-34-10-340
<br />01-01-34-10-420
<br />01-01-34-10-820
<br />01-01-34-10-155
<br />01-01-34-10-102
<br />01-01-34-10-201
<br />01-01-34-10-210
<br />01-01-34-10-345
<br />01-01-34-10-411
<br />01-01-34-10-520
<br />01-01-34-10-610
<br />01-01-34-10-640
<br />
<br />Present Approved
<br /> Budget
<br /> 320,699.13
<br /> 25,652.16
<br /> 3,000.00
<br /> 400.00
<br /> 7 000.00
<br /> 6 480.00
<br /> 32 550.00
<br /> 8 250.00
<br /> 98 988.46
<br /> 25 985.61
<br /> 20 788.54
<br /> 5 467.00
<br /> 1 000.00
<br /> 3 000.00
<br /> 3 000.00
<br /> 8 100.00
<br />
<br />Increase Decrease
<br />
<br />2,000.00
<br /> 100.00
<br /> 100.00
<br /> 100.00
<br /> 1,500.00
<br />
<br />22,126.00
<br />
<br />3,800.00
<br />
<br />22,126.00
<br />
<br />7,000.00
<br />1,000.00
<br />1,800.00
<br />800.00
<br />800.00
<br />500.00
<br />1,800.00
<br />1,800.00
<br />
<br />Revised
<br />Budget
<br />316,899 13
<br /> 27,652 16
<br /> 3,10000
<br /> 50000
<br /> 7,100 00
<br /> 7,980 O0
<br /> 10,424.00
<br /> 30,37600
<br /> 91,988 46
<br /> 24,985 61
<br /> 18,988 54
<br /> 4,667 00
<br /> 200 00
<br /> 2,500 O0
<br /> 1,200 O0
<br /> 6,300.00
<br />
<br />DEPARTMENT OF GENERAL SERVICE ADMINISTRATION
<br />AMOUNT $48,000.00
<br />TYPE OF ADJUSTMENT: Internal Transfer Within Department/Supplemental Request
<br />PURPOSE OF REQUEST: Final Budget Revisions
<br />
<br />Line Item Present Approved
<br />Account Number Budget
<br />'01-01-34-10-412 240,000.00
<br />*'19-10-660 Contingency 102,337.16
<br />
<br />Increase
<br />
<br />48,000.00
<br />
<br /> Revised
<br /> Decrease Budget
<br /> 288,000.00
<br />32,500.00 69,837.16
<br />
<br />*Internal Transfer
<br />**Supplemental Request
<br />
<br /> UPON MOTION of Commissioner Payne, seconded by Chairman Carpenter with
<br />Commissioners Payne, Hamby and Simmons and Chairman Carpenter voting for, the
<br />Board adopted the following budget amendment.
<br />
<br />BUDGET REVISION/AMENDMENT
<br />
<br />DEPARTMENT OF TAX COLLECTOR
<br />AMOUNT $13,100.00
<br />TYPE OF ADJUSTMENT: Supplemental Request
<br />PURPOSE OF REQUEST: Balance Budget
<br />
<br />
<br />
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