File #: 202401522    Version: 1
Type: Ordinance Status: Passed Emergency
File created: 5/31/2024 In control: Cincinnati City Council
On agenda: 6/12/2024 Final action: 6/12/2024
ORD/RES# date: 6/12/2024 ORD/RES#: 0205-2024
Title: ORDINANCE (EMERGENCY) submitted by Sheryl M. M. Long, City Manager, on 6/5/2024, AUTHORIZING the transfer and return to source of $6,150,982 to the unappropriated surplus of the General Fund in accordance with attached Schedule of Transfer Part A; AUTHORIZING the transfer of $6,150,982 from the unappropriated surplus of the General Fund to balance sheet reserve account no. 050x3422, "Deferred Appropriations," to preserve resources for commitments made during FY 2024; AUTHORIZING the transfer and return to source of $6,150,982 from balance sheet reserve account no. 050x3422, "Deferred Appropriations," to the unappropriated surplus of the General Fund effective July 1, 2024; and AUTHORIZING the transfer and appropriation of $6,150,982 from the unappropriated surplus of the General Fund to various operating budget accounts according to the attached Schedule of Transfer Part B, effective July 1, 2024, to provide resources for a public safety facilities master plan, the Neighborhood Histori...
Sponsors: City Manager
Attachments: 1. Transmittal, 2. Ordinance, 3. Attachment, 4. 205-2024, 5. 205-2024 T

title

ORDINANCE (EMERGENCY) submitted by Sheryl M. M. Long, City Manager, on 6/5/2024, AUTHORIZING the transfer and return to source of $6,150,982 to the unappropriated surplus of the General Fund in accordance with attached Schedule of Transfer Part A; AUTHORIZING the transfer of $6,150,982 from the unappropriated surplus of the General Fund to balance sheet reserve account no. 050x3422, “Deferred Appropriations,” to preserve resources for commitments made during FY 2024; AUTHORIZING the transfer and return to source of $6,150,982 from balance sheet reserve account no. 050x3422, “Deferred Appropriations,” to the unappropriated surplus of the General Fund effective July 1, 2024; and AUTHORIZING the transfer and appropriation of $6,150,982 from the unappropriated surplus of the General Fund to various operating budget accounts according to the attached Schedule of Transfer Part B, effective July 1, 2024, to provide resources for a public safety facilities master plan, the Neighborhood Historic Preservation Program, violence prevention initiatives, the City’s fleet electrification plan, WarmUp Cincy, recycling consulting services and energy management software, the Neighborhood Catalytic Capital Improvement Program, the Neighborhood Business District Improvement Program, a tax abatement study, the Seven Hills Neighborhood Houses program, Shilito building operating expenses, King Records building restoration pre-development activities, and the Homesafe Tax Relief Program, all of which were previously approved by Council in FY 2024.

recommendation

PASS EMERGENCY