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<br />SECTION 2. That the estimated revenue for each fund as provided for in the budget, <br />are as follows: <br /> <br />GENERAL FUND <br /> <br />From unappropriated surplus <br />From the general property tax levy <br />From sources than general tax <br />Total General Fund <br /> <br />$ 704,790 <br />838,710 <br />4.140.965 <br />$ 5.684.465 <br /> <br />SPECIAL REVENUE FUNDS <br /> <br />From unappropriated surplus <br />From sources other than general tax <br />Total Special Revenue Funds <br /> <br />$ 492,485 <br />1.712.780 <br />$ 2.250.265 <br /> <br />DEBT SERVICE FUND <br /> <br />From sources other than general tax <br />Total Debt Service Funds <br /> <br />$ 195.815 <br />$ 195.815 <br /> <br />CAPITAL CONSTRUCTION FUND <br /> <br />From unappropriated surplus <br />From sources other than general tax <br />Total Capital Construction Fund <br /> <br />$ 66,850 <br />854.630 <br />$ 921.480 <br /> <br />ENTERPRISE FUNDS <br /> <br />From unappropriated surplus <br />From sources other than general tax <br />Total Enterprise Funds <br /> <br />$ 272,940 <br />12.242.820 <br />$ 1 2.51 5.760 <br /> <br />INTERNAL SERVICE FUND <br /> <br />From sources other than general tax <br />Total Internal Service Fund <br /> <br />$ 55.635 <br />$ 55.635 <br /> <br />TOTAL REVENUES ALL FUNDS <br /> <br />$ 21.578.420 <br />