HomeMy WebLinkAboutResolution No. 2416 RESOLUTION NO. 2416
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF DOWNEY
ADOPTING THE ANNUAL CAPITAL IMPROVEMENT BUDGET FOR THE
FISCAL YEAR COMMENCING JULY 1, 1970, AND FIXING THE
LIMITATIONS OF EXPENDITURES
THE CITY COUNCIL OF THE CITY OF DOWNEY DOES RESOLVE AS FOLLOWS:
SECTION 1. The proposed budget of expenditures duly submitted and con-
-- sidered, together with any supplemental revisions or amendments is hereby
approved, adopted, and fixed as the annual capital improvement budget of the
City of Downey for the fiscal year commencing July 1, 1970 and fixing the
limitation of expenditures as set forth in the amounts shown:
1. General Fund Preliminary Capital $ 227,000
Improvement for 1970 -71 (See
Schedule A dated 6/30/70)
2. Water Department Capital Improvement $ 100,000
for the fiscal year 1970 -71 (See
Schedule B dated 6/30/70)
3. Public Works Department Federal TOPICS $ 83,755
Program
SECTION 2. The City Clerk shall certify to the adoption of this Resolution.
APPROVED AND ADOPTED this 30th day of June , 1970.
,
Mayor
�`- ATTEST:
M '-
City Clerk
I HEREBY CERTIFY that the foregoing Resolution was duly adopted by the City
Council of the City of Downey at a regular meeting held on the 30th day of
June , 1970, by the following vote.
AYES: 5 Councilmen: Winton, Ferris, Morton, Jennings, Corbin
NOES: 0 Councilmen: None
ABSENT: 0 Councilmen: None
City Clerk
Resolution No. 2416
SCHEDULE A
CITY OF DOWNEY
CAPITAL IMPROVEMENT BUDGET
1970 -1971
GENERAL FUND - Carried Forward July 1, 1970
PROJECTS
Miscellaneous Paveouts $ 17,978
Firestone Boulevard - West End 709
Dry Wells 1,113
Devenir Avenue Construction 9,408
City Safety Lighting 1,089
Parking Lot 54,015
Miscellaneous Capital Improvement 2,249
Florence Avenue Park 36,087
Street Name Signs 522
Lankin Street Construction 228
Library Addition 2,000
City Entry Signs 746
Quill Street Construction 5,886
Bangle Road Construction 1,182
Priscilla Street 1,607
Sixth Street Construction 327
Marbel Avenue Construction 1,478
Downey /Sanford Bridge Road 831
Lubec Street Construction 3,917
Miscellaneous Street Repairs 2,536
City Hall Emergency Generator 713
Sub -Total $ 144,621
Theatre Project - Carried Forward, July 1, 1970 20,379
Theatre Appropriation 1970 -1971 62,000
Total $ 227,000
Resolution No. 2416
SCHEDULE B
WATER DEPARTMENT
CAPITAL EXPENDITURE BUDGET
1970 -1971
1. Center Lining Old Mains $ 20,000
2. Stewart & Gray Extension Main 30,000
3. Miscellaneous Main Extensions 30,000
4. Meter Replacement 20,000
GRAND TOTAL: $ 100,000
6/30/70