BUDGET APPROPRIATIONS ORDINANCE ORDINANCE NUMBER 2020-6-16. AN ORDINANCE RELATING TO THE ANNUAL BUDGET AND APPROPRIATIONS FOR THE FISCAL YEAR JULY 1, 2020 THROUGH JUNE 30, 2021 FOR THE CITY OF HANSON, KENTUCKY. WHEREAS, A BUDGET PROPOSAL AND MESSAGE WAS PRESENTED TO THE LEGISLATIVE BODY ON THE 26 DAY OF MAY, 2020; AND, WHEREAS, A PUBLIC HEARING WAS HELD ON THE PROPOSED BUDGET ON THE 26 DAY OF MAY, 2020. NOW THEREFORE BE IT ORDAINED BY THE LEGISLATIVE BODY OF HANSON, KENTUCKY THAT THE FOLLOWING BUDGET IS ADOPTED FOR FY-2020-2021 AND THE AMOUNTS STATED ARE APPROPRIATED FOR THE PURPOSES INDICATED. GENERAL FUND MUNICIPAL ROAD AID LGEAF OTHER TOTAL REVENUE TAXES LICENCES & PERMITS CHARGES FOR SERVICES INTERGOVERMENTAL REVENUES MISCELLANEOUS OTHER UNAPPROPRIATED FUNDS $285,000.00 $56,620.00 $699,300.00 $699,300.00 $65,100.00 $45,380.00 $295,650.00 $295,650.00 $1,447,050.00 $285,000.00 $56,620.00 $30,100.00 $35,000.00 $11,000.00 $0.00 $34,380.00 TOTAL REVENUE EXPENDITURES GENERAL GOVERNMENT $352,620.00 $352,620.00 $39,900.00 $479,000.00 $479,000.00 $545,550.00 $545,550.00 $2,620.00 $0.00 $27,360.00 $1,447,050.00 $21,900.00 $18,000.00 STREET DEPARTMENT WATER DEPARTMENT SEWER DEPARTMENT OTHER DEPARTMENTS OTHER EXPENSES RESERVE FOR CONTINGENCIES $2,620.00 $0.00 $8,200.00 $17,000.00 $2,160.00 TOTAL EXPENDITURES DATE OF FIRST PUBLIC READING MAY 26 2020. PUBLICLY READ AND ADOPTED ON SECOND READING JUNE 16, 2020. ADOPTED THIS 16TH DAY OF JUNE, 2020. | APPROVED ATTESTED THIS ORDINANCE SHALL BE IN EFFECT UPON PUBLICATION AS REQUIRED BY KRS CHAPTER 424 BUDGET APPROPRIATIONS ORDINANCE ORDINANCE NUMBER 2020-6-16. AN ORDINANCE RELATING TO THE ANNUAL BUDGET AND APPROPRIATIONS FOR THE FISCAL YEAR JULY 1, 2020 THROUGH JUNE 30, 2021 FOR THE CITY OF HANSON, KENTUCKY. WHEREAS, A BUDGET PROPOSAL AND MESSAGE WAS PRESENTED TO THE LEGISLATIVE BODY ON THE 26 DAY OF MAY, 2020; AND, WHEREAS, A PUBLIC HEARING WAS HELD ON THE PROPOSED BUDGET ON THE 26 DAY OF MAY, 2020. NOW THEREFORE BE IT ORDAINED BY THE LEGISLATIVE BODY OF HANSON, KENTUCKY THAT THE FOLLOWING BUDGET IS ADOPTED FOR FY-2020-2021 AND THE AMOUNTS STATED ARE APPROPRIATED FOR THE PURPOSES INDICATED. GENERAL FUND MUNICIPAL ROAD AID LGEAF OTHER TOTAL REVENUE TAXES LICENCES & PERMITS CHARGES FOR SERVICES INTERGOVERMENTAL REVENUES MISCELLANEOUS OTHER UNAPPROPRIATED FUNDS $285,000.00 $56,620.00 $699,300.00 $699,300.00 $65,100.00 $45,380.00 $295,650.00 $295,650.00 $1,447,050.00 $285,000.00 $56,620.00 $30,100.00 $35,000.00 $11,000.00 $0.00 $34,380.00 TOTAL REVENUE EXPENDITURES GENERAL GOVERNMENT $352,620.00 $352,620.00 $39,900.00 $479,000.00 $479,000.00 $545,550.00 $545,550.00 $2,620.00 $0.00 $27,360.00 $1,447,050.00 $21,900.00 $18,000.00 STREET DEPARTMENT WATER DEPARTMENT SEWER DEPARTMENT OTHER DEPARTMENTS OTHER EXPENSES RESERVE FOR CONTINGENCIES $2,620.00 $0.00 $8,200.00 $17,000.00 $2,160.00 TOTAL EXPENDITURES DATE OF FIRST PUBLIC READING MAY 26 2020. PUBLICLY READ AND ADOPTED ON SECOND READING JUNE 16, 2020. ADOPTED THIS 16TH DAY OF JUNE, 2020. | APPROVED ATTESTED THIS ORDINANCE SHALL BE IN EFFECT UPON PUBLICATION AS REQUIRED BY KRS CHAPTER 424