Page 274 - Grapevine FY22 Adopted Budget v2
P. 274

ORDINANCE NO.  2021-  044



                             AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
                             GRAPEVINE,  TEXAS ADOPTING THE BUDGET FOR THE
                             CITY OF GRAPEVINE,   TEXAS           FOR THE FISCAL YEAR
                              BEGINNING        OCTOBER        1,       2021  AND     ENDING
                             SEPTEMBER        30,   2022;   PROVIDING    FOR    INTRA-   AND
                              INTERDEPARTMENTAL FUND TRANSFERS;  PROVIDING
                              FOR INVESTMENT OF CERTAIN FUNDS;  DECLARING AN
                              EMERGENCY; AND PROVIDING AN EFFECTIVE DATE

                      WHEREAS,  a notice of public hearing on the budget for the City of Grapevine,
               Texas for the Fiscal Year 2021- 2022 ( FY 2022) was heretofore published in accordance
               with law;  and


                      WHEREAS,  a public hearing was duly held and all interested persons were given
               an opportunity to be heard for or against any item therein;  and


                      WHEREAS,  all constitutional and statutory prerequisites for the approval of this
               ordinance have been met,  including but not limited to the Open Meetings Act; and


                      WHEREAS, the City Council deems the adoption of this ordinance is in the best
               interests of the health,  safety and welfare of the public.

                      NOW,  THEREFORE,  BE IT ORDAINED            BY THE CITY COUNCIL OF THE CITY
               OF GRAPEVINE,  TEXAS;

                      Section 1.    That all matters stated herein above are found to be true and correct
               and are incorporated herein by reference as if copied in their entirety.


                      Section  2.   That the appropriation  amounts for the FY2021- 2022 budget for the
               different funds of the City of Grapevine are hereby fixed as follows:


                General  Fund                                                           67, 888, 255
                Convention  and Visitors  Bureau Fund                                    18, 832, 129
                Convention and Leisure   Incentives  Fund                                 4, 200, 690
                Stormwater   Drainage  Fund                                               1, 451, 188
                Crime Control &  Prevention  District Fund                               19, 018, 930
                Lake Parks Special   Revenue   Fund                                       2, 392, 915
               4- B /   Trinity  Metro Fund                                              10, 930, 343
                Economic   Development   Fund                                             3, 753,448
                Debt Service Fund                                                        14, 751, 401
                Utility  Enterprise  Fund                                               24, 395, 500
                Golf Enterprise  Fund                                                     3, 572, 500
                Permanent   Capital  Maintenance  Fund                                    1, 650, 000


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