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ORDINANCE NO. 2020 -  48
                                                    ORDER    NO.  2020 -  9

                             AN ORDINANCE ADOPTING THE BUDGET OF THE CITY OF
                             McALLEN      INCLUDING      McALLEN     PUBLIC    UTILITIES    FOR
                             THE    FISCAL    YEAR    BEGINNING      OCTOBER       1,  2020 AND
                             ENDING SEPTEMBER 30,  2021,  IN ACCORDANCE WITH THE
                             ORDINANCES       OF THE CITY OF McALLEN;  PROVIDING            FOR
                             PUBLICATION;        PROVIDING       FOR    A   REPEALER;       AND
                             ORDAINING       OTHER      PROVISIONS       RELATED       TO   THE
                             SUBJECT MATTER HEREOF.

                       WHEREAS, the City Manager has filed the proposed budget with the City Secretary on July


                30,  2020;  and

                       WHEREAS,  notice of the public hearing on the proposed budget was given and a public


                hearing was held on September    14,  2020 at which time all interested citizens were given an

                opportunity to participate in the hearing.


                       NOW,  THEREFORE,  BE IT ORDAINED BY THE BOARD OF COMMISSIONERS                   AND

                THE MCALLEN      PUBLIC    UTILITY   BOARD OF TRUSTEES        OF THE CITY OF McALLEN,


                TEXAS,  THAT:


                        a)    SECTION    1:   The Budget Estimate of revenues for the City of McAllen and the

                 expenses of conducting the affairs thereof for the ensuing fiscal year beginning October 1,  2020,


                 and ending September 30, 2021,  as submitted by the City Manager of the City of McAllen to the

                 City Secretary on July 30,  2020 and as amended hereunder,  be,  and the same is in all things,  adopted

                 and approved as the budget estimate of all of the current revenues and expenses for the fiscal year


                               1st                                   30te
                 beginning the   day of October,  2020 and ending the    day of September,  2021.

                       SECTION    IL•  The amount of ad valorem taxes and revenue from other sources,  as estimated

                 by the City Manager, is hereby appropriated out ofthe following funds:  General, Capital Projects,


                 Sanitation,  Airport,  Toll Bridge,  Anzalduas  Bridge,  Golf Course,  Civic Center,  Civic Center

                 Expansion,  Internal Services,  Employee Health Benefits,  Development Corporation,  General




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