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<br />Debt Service Fund <br /> From unappropriated surplus $ 0 <br /> From property taxes $ 0 <br /> From transfers from other funds $ 18,482 <br /> From other revenue sources $ 125,143 <br /> Total Debt Service Fund $ 143,625 <br /> Total Revenue All Funds $ 5,831,867 <br /> Less Interfund Transfers $ 1,212,156 <br /> NET TOTAL REVENUE $ 4,619,711 <br /> Section 2. That the estimated expenditures for each fund of the <br />City of Louisville are as follows: <br /> General Fund $ 2,284,343 <br /> Enterprise Fund $ 1,871,003 <br /> Special Revenue Fund $ 990,286 <br /> Trust & Agency Fund $ 235,903 <br /> Debt Service Fund $ 143,625 <br /> Total Expenditures $ 5,525,160 <br /> Less Interfwld Transfers $ 1,212,156 <br /> NET TOTAL EXPENDITURES $ 4,313,004 <br /> <br />Section 3. That the budget for the City of Louisville, Colorado, <br />for the fiscal year beginning January 1, 1978, and ending December <br />31, 1978, as heretofore subrnitted to the City Council by the City <br />Administrator and as changed and amended by said City Council be, <br />and the same hereby is adopted and approved as the budget for the <br />City of Louisville for said fiscal year. <br /> <br />Section 4. That the Budget herein approved and adopted shall <br />be signed by the Mayor and the City Clerk and made a part of the <br />public records of the City. <br /> <br />ADOPTED THIS 18TH DAY OF OCTOBER, 1977. <br /> <br />~C9!iltL41) <br /> <br />MAYOR <br />/ <br />./ <br /> <br />ATTEST: <br /> <br /> <br />/J Lf/' J. <br />CITY CLERK <br /> <br />l <br />