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<br />133. <br />Exhibit 1 <br /> <br />City of San Marcos <br />Fiscal Year 2005/06 <br />Budget Amendment <br /> <br /> <br />Approved by Ordinance No. <br /> <br /> Affect of this <br />Fund Account Name Current Budget Action Amended Budget <br />Drainage Utility Fund <br />615.000.35100 Fund Balance $2,408,759 $ <155,345> 2,253,414 <br />615.215.58617 Operating Transfer to Drainage 0 155,345 155,345 <br /> Utility CIP Fund <br />Drainage Utility CIP <br />Fund <br />617.000.48615 Operating Transfer from 0 155,345 155,345 <br /> Drainage Utility Fund <br />617.660.73207 Westover Drainage 0 155,345 155,345 <br /> Improvements Project <br /> <br />Description: <br /> <br />Budget amendment is needed to provide sufficient funding for Westover Improvement drainage utility <br />projects. <br />