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<br />\ 3,.q <br /> <br />APPENDIX F <br />BUDGET AMENDMENTS <br />CAPITAL CONSTRUCTION FUND <br /> <br /> 1991 1991 <br /> ADOPTED AMENDED <br /> BUDGET BUDGET <br />REVENUES <br />Sales Tax $525,000 $525,000 <br />Other Revenue 188,380 300,000 (1 ) <br />Total $713,380 $825,000 <br /> <br />EXPENDITURES <br /> <br />Other Services/Charges <br />Debt Service <br />Capital Outlays <br />Total <br /> <br />$1,000 <br />521,480 <br />115,900 <br />$638,380 <br /> <br />$1,000 <br />521,480 <br />188,000 (2) <br />$710,480 <br /> <br />(1), Adjust December 31, 1990 fund balance carryover to actual - $111 ,620,00 <br /> <br />(2), Capital Construction projects carried over into 1991, <br />City Hall $64,100 - Rec Center $5,000, - Library 3,000) <br />