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Debt Service Fund <br />From unappropriated surplus $ -p- <br />From property taxes $ _0_ <br />From transfers from other funds $ 18,982 <br />From other revenue sources $ -0- <br />Total Debt Service Fund $ 18,982 <br />Total Revenue All Funds $3,002,976 <br />Less Interfund Transfers $ 496,338 <br />NET TOTAL REVENUE $2,506,638 <br />Section 2. That the estimated. expenditures for each fund <br />of the City of Louisville are as follows: <br />General Fund $ 993,536 <br />Enterprise Fund $1,363,227 <br />Special Revenue Fund $ 197,043 <br />Trust & Agency Fund $ 370,195 <br />Debt Service Fund $ 18,982 <br />Total Expenditures $2,942,983 <br />Less Interfund Transfers $ 496,338 <br />NET TOTAL EXPENDITURES $2,446,645 <br />Section 3. That the budget for the City of Louisville, <br />Colorado, for the fiscal year beginning January 1, 1977, and <br />ending December 31, 1977, as heretofore submitted to the City <br />Council by the City Administrator and as changed and amended by <br />said City Council be, a:ad the same hereby is adopted and approved <br />as the budget for the City of Louisville for said fiscal year. <br />Section 4. That the Budget herein approved and adopted <br />shall be signed by the :Mayor and the City Clerk and made a <br />part of the public records of the City. <br />ADOPTED THIS 19TH DAY OF OCTOBER, 1976. <br />J <br />MAYOR <br />aJ"" <br />ATTEST; ., <br />CITY CLERK <br />