597
<br />
<br /> Bo
<br />Utility
<br />1993:
<br />
<br /> The FollowingAmounts are hereby appropriated in the Water and Sewer
<br />?und for the fiscal year beginning July 1, 1992, and ending June 30,
<br />
<br />Administration & Operations
<br />
<br />$1,884,646.00
<br />
<br />TOTAL EXPENDITURES
<br />
<br />$1,884,646.00
<br />
<br />Section ~II. Water and Sewer District of Cabarrus County
<br />
<br /> A.! It is estimated that the following revenues will be available in the
<br />Water an~ Sewer DiStrict of Cabarrus County Fund for the fiscal year beginning
<br />July 1, 1992, and ending June 30, 1993:
<br />
<br /> Bo
<br />District
<br />ending J~
<br />
<br />Section
<br />
<br /> mo
<br />Landfill
<br />1993:
<br />
<br /> Bo
<br />for the
<br />
<br />Section
<br />
<br /> Th
<br />dollars
<br />purpose
<br />the Gene
<br /> Th~
<br />the purp~
<br />percent.
<br />1991.
<br />
<br />Section
<br />
<br /> The
<br />districts
<br />
<br />Water Service Taps
<br />Water Sales
<br />Sewer Sales
<br />Sewer Service Taps
<br />Reconnection Fees
<br />Late Charges
<br />Service call Fees
<br />Miscellaneous Revenues
<br />Interest on Investments
<br />Fund Balance Appropriated
<br />
<br />108,000 00
<br />1,264,560 O0
<br />71,581 00
<br />3,200 O0
<br />6,900 00
<br />7,020 00
<br />30000
<br />1,599.00
<br />30,000.00
<br />90,856.34
<br />
<br />1,000.00
<br />
<br />TOTAL REVENUES
<br />
<br />$1,583,417.34
<br />
<br /> The following amounts are hereby appropriated in the Water & Sewer
<br />of Cabarrus County Fund for the fiscal year beginning July 1, 1992, and
<br />Lne 30, 1993:
<br />
<br />Administration & Operations
<br />
<br />$1,583,417.34
<br />
<br />TOTAL EXPENDITURES
<br />
<br />$1,583,417.34
<br />
<br />Landfill Fund
<br />
<br /> It is estimated the following revenues will be available in the
<br />Fund for the Fiscal Year beginning July 1, 1992 and ending June 30,
<br />
<br />Landfill Tipping Fees
<br />Tire Disposal Fees
<br />Recycling Revenue
<br />
<br />TOTAL REVENUES
<br />
<br />1,099,194.00
<br /> 50,000.00
<br /> 26,000.00
<br />
<br />$1,175,694.00
<br />
<br /> The following amounts are hereby appropriated in the Landfill Fund
<br />'iscal Year beginning July 1, 1992 and ending June 30, 1993:
<br />
<br />Sanitary landfill
<br />Recycling Department
<br />
<br />$834,495.46
<br />341,198.54
<br />
<br />TOTAL EXPENDITURES
<br />
<br />$1,175,694.00
<br />
<br />re is hereby levied a tax at the rate of 58 cents per one hundred
<br />~aluation of property listed for taxes as of January 1, 1992, for the
<br />f raising the revenue listed as "PROPERTY TAX CURRENT COLLECTIONS" in
<br />al Fund.
<br />s rate of tax is based on an estimated total valuation of property for
<br />,ses of taxation of 4,469,000,000 estimated collection rate of 96.65
<br />The estimated rate of collections is based on the fiscal year ending
<br />
<br />following tax rates listed below are hereby levied for the fire
<br />
<br />
<br />
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