O-84-2135 - 9/27/1984ORDINANCE NO. 2135
AN ORDINANCE APPROVING AND ADOPTING A BUDGET FOR THE
CITY OF ROUND ROCK, TEXAS, FOR THE FISCAL YEAR BEGINNING
OCTOBER 1, 1984, AND ENDING SEPTEMBER 30, 1985; DIRECTING
THE CITY SECRETARY TO FILE A TRUE COPY OF THE BUDGET WITH
THE COUNTY CLERK OF WILLIAMSON COUNTY, TEXAS.
WHEREAS, the City Manager of the City of Round Rock, Texas, has heretofore
submitted, in accordance with state law and the City's Charter, a budget for
said City, for the fiscal year beginning October 1, 1984, and ending September
30, 1985; and
WHEREAS, proper and timely notice that a public hearing on such budget
would be held on September 13, 1934, was given and made in accordance with the
law and within the time limits set forth by law; and
WHEREAS, such public hearing was held in accordance with law on September
13, 1984, prior to both readings of this ordinance; and
WHEREAS, it is the opinion and judgment of the City Council of the City
of Round Rock, Texas, that said budget which is attached hereto is proper and
correct and that the same should be in all things approved and adopted; NOW
THEREFORE
BE IT ORDAINED BY THE COUNCIL OF THE CITY OF ROUND ROCK, TEXAS, THAT
The attached budget for the fiscal year beginning October 1, 1984, and
ending September 30, 1985, is hereby in all things approved and adopted and it
shall be effective as of October 1, 1984.
The City Secretary is directed to file a certified copy of this ordinance
along with a true copy of the attached budget with the County Clerk of
Williamson County, Texas.
READ and APPROVED on first reading this the 3 T day of
SE/'r , 1984.
READ, APPROVED and ADOPTED on second reading this the `% day of
5 E P r , 1984.
ATTEST:
LAND, City Secretary
MIKE ROBINSON, Mayor
City of Round Rock, Texas
THE CITY OF ROUND ROCK
FISCAL 1984-85
BUDGET SUMMARY
ALL FUNDS
TOTAL FUNDS AVAILABLE:
General Fund
Utility Fund
Total Revenues
PROPOSED BUDGET EXPENDITURES:
General Fund
Utility Fund
83-84 84-85
$5,268,826 $6,442,844
3,103,525 3,660,572
$8,372,351 $10,103,416
$4,991,924 $6,325,493
2,705,201 3,489,857
Total Expenditures $7,697,125 $9,815,350
Reserved for:
Debt Service Transfer 450,000
Fund Balance
$675,226 $288,066