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1985 REVENUES <br />FUND: CAPITAL IMPROVEMENT 11-100 <br />TAXES 500 <br />5040 Sales Tax <br />$ 41,000.00 <br />SUBTOTAL $41,000.00 <br />CHARGES FOR SERVICES 550 <br />5540 Service Exp. Fees $121,500.00 <br />SUBTOTAL $121,500.00 <br />OTHER REVENUE 580 <br />5810 Earnings on Deposits <br />5890 Fund Balance Carryover <br />SUBTOTAL <br />$ 17,000.00 <br />104,120.00 <br />TRANSFERS 590 <br />5941 Transfer from Water Fund 31,000.00 <br />5942 Transfer from Sewer Fund 31,000.00 <br />SUBTOTAL <br />GRAND TOTAL <br />$121,120.00 <br />$ 62,000.00 <br />$345,620.00 <br />