Laserfiche WebLink
<br /> APPENDIX B <br /> AMENDMENTS TO STREET IMPROVEMENT FUND <br /> 1984 1984 <br /> Adopted Budget Amended Budget <br /> REVENUES <br /> Fund Balance Carryover $ 48,500 $ 27,084 <br /> Earnings on Deposits & Invest. 15,000 5,000 <br /> Special Assessments 20,000 0 <br /> Service Exp. Fees 225,000 210,000 <br /> Transfers From Gen. Fund 47,613 47,613 <br /> Total $356,113 $289,697 <br /> EXPENDITURES <br /> Repairs & Maint. - Seal Coat $ 90,000 $185,800 <br /> Repairs & Maint. - Sidewalks 35,000 50,600 <br /> All Other Expenditures 51,000 51,000 <br /> Total $176,000 $287,400 <br />