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306 <br /> <br />Account No, <br /> <br />Present Approved Revised <br />Budget Increase Decrease Budget <br /> <br />01-01-34-10-501 $94,362.00 <br />Building & Grounds Maintenance <br />01-06-17-60-089 56,618.13 <br /> Insurance Refunds <br /> <br />$1,615.00 $95,977.00 <br />1,615.00 58,233.13 <br /> <br />Budget Amendment - Capital Projects Fund School Bond <br /> <br /> UPON MOTION of Commissioner Casper, seconded by Commissioner Payne with <br />Commissioners Casper and Payne and Chairman Carpenter voting for, the Board <br />adopted the following budget amendment. <br /> <br />BUDGET REVISION/AMENDMENT REQUEST <br /> <br />DEPARTMENT OF CAPITAL PROJECTS FUND - SCHOOL BOND <br />AMOUNT: $327,914.00 <br />TYPE OF ADJUSTMENT: Supplemental Request <br />PURPOSE OF REQUEST: To adjust budget for interest earnings <br />contributed to General Fund. <br /> <br />previously <br /> <br /> Present Approved <br />Account No, Budget Increase <br /> <br />Decrease <br /> <br />Revised <br />Budget <br /> <br />37-9-36-30-703 <br /> Contribution to GF <br />37-6-36-60-010 <br /> Interest on Invest. <br />37-6-36-60-011 <br /> Interest on Invest. <br /> <br />$1,760,000.00 <br />1,360,000.00 <br /> <br /> 400,000.00 <br /> <br />327,914.00 <br />253,000.00 <br /> <br /> 74,914.00 <br /> <br />$2,087,914.00 <br /> <br /> 1,613,000.00 <br /> <br /> 474,914.00 <br /> <br />Budget Amendment Capital Projects Fund - Coddle Creek Reservoir <br /> <br /> UPON MOTION of Commissioner Casper, seconded by Commissioner Payne with <br />Commissioners Casper and Payne and Chairman Carpenter voting for, the Board <br />adopted the following budget amendment. <br /> <br />BUDGET REVISION/AMENDMENT REQUEST <br /> <br />DEPARTMENT OF CAPITAL PROJECTS FUND - CODDLE CREEK RESERVOIR <br />AMOUNT: $1,661,000.00 <br />TYPE OF ADJUSTMENT: Supplemental Request <br />PURPOSE OF REQUEST: To adjust Coddle Creek budget to HDR-Paul Watson projected <br />final costs. <br /> <br /> Present Approved Revised <br />Account No. Budget Increase Decrease Budget <br /> <br />39-6-36-33-002 $ 371,604.00 <br /> Contribution from Utility <br />39-9-36-30-161 2,991,000.00 <br />Engineering <br />39-9-36-30-830 <br />Dam Construction <br />39-6-36-60-010 <br />Interest on Invest. <br />39-6-36-60-011 <br />Interest on Invest. <br />39-6-36-33-001 <br />Contrib. from GF <br /> <br />15,094,604.00 <br />1,445,000.00 <br />155,000.00 <br />1,629,000.00 <br /> <br /> 371,604.00 <br /> <br /> 16,000.00 <br />1,273,396.00 <br /> <br /> 115,000.00 <br /> <br /> 35,000.00 <br />1,511,000.00 <br /> <br /> -0- <br /> <br /> 3,007,000.00 <br />16,368,000.00 <br /> <br /> 1,560,000.00 <br /> <br /> 190,000.00 <br /> 3,140,000.00 <br /> <br />Budget Amendment - Special Revenue Fund - CDBG Project <br /> <br /> UPON MOTION of Commissioner Casper, seconded by Commissioner Payne with <br />Commissioners Casper and Payne and Chairman Carpenter voting for, the Board <br />adopted the following budget amendment. <br /> <br /> <br />