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<br />t <br /> <br />174. <br /> <br />Exhibit 1 <br /> <br />I <br /> <br />City of San Marcos <br />Fiscal Year 2005/06 <br />Budget Amendment <br /> <br /> <br />Approved by Ordinance No <br /> <br />I <br /> <br /> Affect of this <br />Fund Account Name Current Budget Action Amended Budget <br />Waterl WW Utility Fund <br />61000035100 Fund Balance $6,678,051 $ < 75,000> 6,603,051 <br />610.210.54190 Transfer to CIP Fund 0 75,000 75,000 <br />Electric Utility Fund <br />65000035100 Operating Transfer from Water! 8,661,586 < 75,000> 8,586,586 <br /> WW Utility Fund <br />650.240.54190 Transfer to CIP Fund 0 75,000 75,000 <br />General CIP Fund <br />420.000.48610 Transfer from Water! WW 0 75,000 75,000 <br />420.000.48650 Transfer from Electric 0 75,000 75,000 <br />420.520.72194 Rio Vista Dam Repair 0 75,000 75,000 <br /> <br />Description <br /> <br />Budget amendment is needed for engineering services related to Rio Vista Dam Repair <br />