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• ioniA~-end~1ent R~aueSL <br />d et Revrs <br />Bu ~ $~ g8D,327.0~ <br />~°u"t' ManaSerl~inance ~ap'~~ Re~~e <br />pePartment O~'. DePU~' ~OUn~Y evenue <br />the Special R ~h~s bud9et <br />05t15l2~07 enue for d 462. <br />t <br />pate. ,_..._-~ add~~na ~ne Adequate Facildes fun n colle~ <br />pu ~s roPriate ave already bee <br />~ to a4P <br />ePt. Nead'. Pam endment ~s und 451, st ~ncome that h of the fiscal year. <br />budget am e Util'~Y F ~ntere a~nder <br />ose'• T~'~S CaP~al Reserv {pr fees artd qor the rem <br />pusP Fund ~50, ropriating revenue e~Uected <br />atnendment ~S apP ntiCPated to b <br />what is a Pfesent PPPrOVed <br />~ gudget <br />throu9h ~~`~ as wetl as <br />~ $1 34p,OQ0.00 <br />~ A~ount Nan1e q,11,527,g`JqAO <br />A~ount Number Interest on lnvestments <br />4506722~-6701 guildin9 & Renovaf~ons p00.0~ <br />$587, <br />722~-9821 $31,DO~.OC <br />4509 ~618,~OQ.O <br />entFees <br />Pssessm ~~vestments <br />45164515"~67~ lntereston ents <br />45~~515-670~ pther4mP~0`~em g736,~11 <br />4515-9830 g47 30` <br />Q5~9 <br />$102~~ <br />AdeGuate FaciCiCies Fees <br />~nterest on ~n~~tments <br />4626722Q-65~$ ovati~ons <br />_ :,,,,,,a & Ren <br />O ~ ,~ G" <br />Budg ~~ <br />ay- <br />pate. ~ ~enied <br />TYPe of Adlustment uncKon <br />~ Intema~ Transfer W ~th~n F <br />een FuncfionlFurds <br />~ T~ansfer Be~ <br />a SuPPlemental Reauest <br />Incre~se <br />De~rease <br />R vised Bud9et <br />~ <br />`5~,~~°~" • - <br />$11,a 7~4 ~ <br />$599 <br />~~ a 2.00 <br />g33,62a.00 <br />~45 ~a90.00 <br />$1,545 ~21.00 <br />$q2.,40~ Q~ <br />~~ 587,62~.00 <br />Coun~y N1ana9er -~ <br />Qate _~- ~penied <br />~] ApFfO~ed <br />$2,281,: <br />$ 98 <br />~ 6 <br />$o~ d Of Commiss~oners ~---- <br />pate'. _~-~ <br />penied <br />~ APprOVed ^ <br />